Stock Price
4,530.00
Daily Change
10.00 0.22%
Monthly
1.57%
Yearly
-5.63%
Q3 Forecast
4,480.68

Charoen Pokphand reported IDR16.4B in Ordinary Share Capital for its fiscal quarter ending in June of 2025.



Financials
Assets IDR 43149.27B
Cash and Equivalent IDR 3381.68B
Cost of Sales IDR 13764.43B
Current Assets IDR 21712.54B
Current Liabilities IDR 8722.42B
Debt IDR 7885.83B
EBIT IDR 587.71B
EBITDA IDR 664.68B
Employees 9.39K
Interest Income IDR 33.95B
Loan Capital IDR 2797.69B
Market Capitalization IDR 74282.94B
Net Income IDR 363.36B
Operating Expenses IDR 14800.15B
Operating Profit IDR 556.84B
Pre-Tax Profit IDR 465.97B
Sales Revenues IDR 15356.99B
Stock IDR 15013.02B
Trade Creditors IDR 1810.94B
Trade Debtors IDR 3670.73B

Ordinary Share Capital Change Date
Indocement Tung IDR 3.35B 1.84T Jun/2025
Ioi Corporation BHD MYR 6.2B 5.41B Jun/2025
Kalbe Farma IDR 45.39B 423.36B Jun/2025
Kuala Lumpur Kepong MYR 1.11B 623.36M Jun/2025
Pt Vale Ind USD 10.54B 10.4B Jun/2025
Semen Indonesia IDR 6.74B 668.42B Jun/2025
Sime Darby Plantation Bhd MYR 6.92B 5.28B Jun/2025
SLC Agrícola BRL 441.21M 1.57B Jun/2025