F ACT
BOOK 2009
52
Liabilities Operating
Profit Total
Pad-up Capital
Mill. Sh Annual
EPS Rp
BV Rp
PER X
PBV X
Net Income
Billion Rp Assets
Sales Equity
DER X
Financial Statement Date: December 2008 and Fiscal Year End: December
INDUSTRY CLASSIFICATION STOCK NAME
FINANCIAL DATA RATIOS
Laguna Cipta Griya Tbk Lamicitra Nusantara Tbk
Lippo Cikarang Tbk Lippo Karawaci Tbk
Modernland Realty Ltd Tbk New Century Development Tbk
Pakuwon Jati Tbk Panca Wiratama Sakti Tbk
Perdana Gapuraprima Tbk Ristia Bintang Mahkotasejati Tbk
Royal Oak Development Asia Tbk Sentul City Tbk
Summarecon Agung Tbk Suryainti Permata Tbk
Suryamas Dutamakmur Tbk
BUILDING CONSTRUCTION
Adhi Karya Persero Tbk Duta Graha Indah Tbk
Jaya Konstruksi Manggala Pratama Tbk Surya Semesta Internusa Tbk
Total Bangun Persada Tbk Wijaya Karya Persero Tbk
OTHERS INFRASTRUCTURE, UTILITIES TRANSPORTATION
ENERGY
Perusahaan Gas Negara Persero Tbk
TOLL ROAD, AIRPORT, HARBOR AND ALLIED PRODUCTS
Citra Marga Nusaphala Persada Tbk Jasa Marga Persero Tbk
Nusantara Infrastructure Tbk
TELECOMMUNICATION
Bakrie Telecom Tbk Excelcomindo Pratama Tbk
Indosat Tbk Infoasia Teknologi Global Tbk
Mobile-8 Telecom Tbk Telekomunikasi Indonesia Tbk
TRANSPORTATION
Arpeni Pratama Ocean Line Tbk Berlian Laju Tanker Tbk
Centris Multi Persada Pratama Tbk Humpuss Intermoda Transportasi Tbk
Indonesia Air Transport Tbk Jasa Angkasa Semesta Tbk
Mitra Rajasa Tbk Panorama Transportasi Tbk
Pelayaran Tempuran Emas Tbk Rig Tenders Tbk
Rukun Raharja Tbk Samudera Indonesia Tbk
Steady Safe Tbk Trada Maritime Tbk
Zebra Nusantara Tbk
NON BUILDING CONSTRUCTION
Bukaka Teknik Utama Tbk Darma Henwa Tbk
Indika Energy Tbk Truba Alam Manunggal Engineering Tbk
OTHERS 2.80
19 284
2.47 1.25
1.58 1.09
0.67 7,235
5,418 1,709
2,949 176
-180 3.17
-0.63 -0.04
-1.83 8,710
3,497 5,214
2,314 123
-4.64 0.73
0.70 835
1,836 -1,001
869 92
44 9.99
0.36 77
31 45
28 -11
4.53 -0.83
-3.70 1,378
368 1,015
317 66
1.46 131
179 -48
49 2
9 392
23 164
12,793 2.66
0.21 11.35
0.38 0.67
5,928 3,069
2,095 5,105
407 169
36 23
609 38
0.44 1.25
100 -67
4,661 -14
345 -38.45
1.60 0.82
3.52 1,892
1,558 4,589
339 1,285
1.71 0.45
3.24 2,999
270
536 65.02
0.40 -0.95
900 0.61
4,798 4,071
727 732
-403 -6
1.95 391
147 243
-30.53 0.68
339 9
-4 5,434
3,204 16.63
1.79 51,693
33,995 17,410
28,482 28,912
24,604 4,308
9,765 1,753
-15 7,090
5,082 8,546
3,464 36
708 25.95
3.22 126.89
1.33 0.93
2.47 2,791
1,319 1,415
572 257
72 2,000
23,960 26
295 98.28
2.00 5,846
27 237
8.24 0.93
3.11 -42.21
0.67 2.02
1,338 892
162 13.92
0.54 1.35
2,936 2,251
1,491 737
1,753 121
626 581
2,338 173
102 1,369
781 5,541
11 156
4.55 865
1,353 119
61 1,378
513 7.75
104 966
8.74 0.94
1.18 0.32
0.59 23.01
4.04 45
324 7.30
1.02 0.50
5,125 4,525
584 6,640
368 81
1,801 -4
255 -21.22
0.35 120
6 -17
4,007 187
15.61 1.10
1.27 1.31
1,791 997
786 107
82 55
4,207 0.16
3,630 2,054
1,569 1,267
221 94
6,436 9,510
-2 231
-96.82 2,199
80 -20
-16 2,543
344 0.10
1,595 265
1,299 52
-10 0.20
13,475 11
3,207 4
165 -0.51
-0.04 -1.86
1,409 867
530 308
60 -1
34 -64.97
3,563 2,472
1,004 454
0.75 543
346 197
- -2
-5 5,889
3.08 1.54
1,854 794
1,060 237
39 0.14
2.62 1,401
929 473
277 70
14 696
185 19
244 11.35
0.68 95.91
2.06 -66.68
0.69
0.43
15,548 -12
110 -15.02
-1,453
5.23 8,732
5
0.72 2.47
47 570
53.86 1.51
1.78 8.80
26 295
8.80
98.28
1,085 5,207
208 1,001
10,129
3
162 1,164
1.96 1.96
3.05
96 1,214
4.11 0.59
1.63
608 -445.79 1.56
0.74 -69
1,385
1,561 1,158
25,551 17,509
7,075 3.
4. 5.
74
-12 1,176
-10
116 -53
36
200
0.14 1,133
-124 -117
270 158
-0.92
674 -1.72
60,690 22,307
10,619 20,160 2,570
695 10
2,202 379
137 18,659
4,733 1,879
52 6
6,559
12,794 4,657
634
11.98 1.21
1.77
5.60 1.38
198
88
703
1 35
34.
445 1,893
59 17
2,750
359 190
-1 96
2.19 1.39
327 0.25
0.15 -1.80
0.57 0.86
14.05 4.35
10.62 0.29
0.68 -2
5.71 118
11 107
3 328
1.64
2.25 178
0.54 32.83
0.30
0.02 102 674.13
13 15
6 35
5 346
277 599
-323 2
28 1
1 327
-11 2.46
162 -9 10,033
-1 100 -429.12
4.05 -23
28. 11,788
6,928
20,236 83
639 456
35. 36.
37.
3. 27.
26. 25.
75
79
1. 4.
2. 15.
13. 14.
11. 6.
5. 4.
3.
10. 7.
2. 1.
74 73
1.
6. 5.
3. 2.
72
3. 1.
71 7.
69
6. 1.
2.
62
39. 30.
38. 31.
32. 33.
0.12 174
15 9
11 1
1,148 165
152 10.07
679 -1
117 -1
1,408 113
0.30 0.43
10.50 0.56
-97.44 1.96
4,500 2,553
465 371 17,302
21 260
20 37.32
1.49 1.75
2,032 515
1,022 -275
-3,912
-1,069 527
1,702 91,256
47,258 34,314
7,294 5,656
1,608 7,006
90 46
36 27
24,976 19,079
5,897 -8
-9 54
-174 930
604 414
190 293
2,968 1,322
1,606 -22
-60 2,150
-28 270
125 145
552 1,155
465 690
502 118
89 442
71 1
69 15
1 0.09
680 0.91
1,033
-68 141
-481 -7,118
-7 656
-11 69
29.
12. 347
1,372 708
6,800 21
3,057 9
8 5.49
4. 288
156 5,771
4,304
1. -2
2. 14,643
7,759 6,572
3,354
12,553 11,314
1,069 1,197
274 -465
3,960 -4.85
2.11 10.58
8. 132
63 68
78 9
5 428
11 11.87
0.82 0.93
9. 1,292
797 494
1,172 231
155 1,141
136 433
1.62 0.51
1.61
5,886 2,842
3,042 2,410
287 116 15,610
7 195
6.74 0.26
0.93
F ACT
BOOK 2009
53
Liabilities Operating
Profit Total
Pad-up Capital
Mill. Sh Annual
EPS Rp
BV Rp
PER X
PBV X
Net Income
Billion Rp Assets
Sales Equity
DER X
Financial Statement Date: December 2008 and Fiscal Year End: December
INDUSTRY CLASSIFICATION STOCK NAME
FINANCIAL DATA RATIOS
FINANCE BANK
Bank Agroniaga Tbk Bank Artha Graha Internasional Tbk
Bank Bukopin Tbk Bank Bumi Arta Tbk
Bank Bumiputera Indonesia Tbk Bank Capital Indonesia Tbk
Bank Central Asia Tbk Bank Century Tbk
Bank CIMB Niaga Tbk Bank Danamon Indonesia Tbk
Bank Ekonomi Raharja Tbk Bank Eksekutif Internasional Tbk
Bank Himpunan Saudara 1906 Tbk Bank Int l Indonesia Tbk
Bank Kesawan Tbk Bank Mandiri Persero Tbk
Bank Mayapada Internasional Tbk Bank MEGA Tbk
Bank Negara Indonesia Tbk Bank OCBC NISP Tbk
Bank Nusantara Parahyangan Tbk Bank Pan Indonesia Tbk
Bank Permata Tbk Bank Rakyat Indonesia Persero Tbk
Bank Swadesi Tbk Bank Tabungan Pensiunan Nasional Tbk
Bank Victoria International Tbk Bank Windu Kentjana International Tbk
FINANCIAL INSTITUTION
Adira Dinamika Multi Finance Tbk BFI Finance Indonesia Tbk
Buana Finance Tbk Clipan Finance Indonesia Tbk
Danasupra Erapacific Tbk Duta Kirana Finance Tbk
Indocitra Finance Tbk Mandala Multifinance Tbk
Trust Finance Indonesia Tbk Verena Oto Finance Tbk
Wahana Ottomitra Multiartha Tbk
SECURITIES COMPANY
Asia Kapitalindo Securities Tbk HD Capital Tbk
JJ NAB Capital Tbk Kresna Graha Sekurindo Tbk
Panca Global Securities Tbk Panin Sekuritas Tbk
Reliance Securities Tbk Trimegah Securities Tbk
Yulie Sekurindo Tbk
INSURANCE
Asuransi Bina Dana Arta Tbk Asuransi Bintang Tbk
Asuransi Dayin Mitra Tbk Asuransi Harta Aman Pratama Tbk
Asuransi Jasa Tania Tbk Asuransi Multi Artha Guna Tbk
Asuransi Ramayana Tbk Lippo General Insurance Tbk
Maskapai Reasuransi Ina. Tbk Panin Insurance Tbk
0.66 77
686 1.93
0.22 1.25
6,809 1,849
2,791 1,364
526 315
4,068 0.43
1.79 725
133 592
175 11
12 1.39
0.77 437
215 222
236 30
30 500
5 93
32.83 300
13 302
46 56
2 3
80 34
2.55 200
120 80
97 12
6 174
4 192
3.72 0.44
51 431
1 -3
1 255
56 7
49 1.45
968 586
382 289
96 31
3,655 51
422 26.52
2.08 12
149 174
132 36
720 934
629 304
0.25 378
261 116
63 9
4 584
-56 64
-16.25 5.94
-0.90 0.78
-39 108
86 -157
-118 2,120
602 466
137 10
138 135.82
1.19
1.66
96 4.02
3,433 3,157
276 1,338
38 21
2,000 0.92
596 477
119 146
18 12
1,002 1.64
43 32
11 1
-1 -1
48 -68
74 -8.06
7.48 0.02
21 13
8 0.40
-8 -7
109 -1
616 -768.12 1.02
0.37 43
1 42
3 -3
-0.06 68
43 451
4.04 0.39
1.02 1,607
433 1,175
323 158
113 2,603
36 606
13.42 0.79
1.60 1,750
883 867
275 75
51 1,431
305 1,785
3.25 0.55
0.74 0.84
3,531 2,173
1,357 890
330 232
760 220
10 4
2,742 2,095
1,833 262
3,502 10
151 9.24
528 541
44 35
13,697 12,080
1,617 2,638
593 379
944 19
868 1.84
1,713 2.99
3.81 1,077
283 133
30 12,330
483 1,813
10.01 0.88
11.59 246,077 223,720
22,357 30,632
8,346 5,958
9.87 64,392
55,665 7,935
6,598 1,122
701 20,288 0.67
12.07 34,246
30,615 3,631
3,257 452
317 1,625
309 1,766
8.50 11.34
80 1,010
4.53 4.80
34,861 31,991
2,870 3,981
673 502
2,577 16
369 105.04 950
640 60
41 5,513
4,562 358,439 327,897
30,514 10.42
2,162 2,027
135 220
-6 3
502 25
134 38.52
3.73 10
99 311
55 38
1,500 1,977
1,777 201
9.09 18,211
16,583 1,628
1,636 381
262 2,670
10.22 1.48
303 2,097
9.55 5,586
7,121 -1,535
807 -6,950
-7,281 28,350 8
128 13.87
3.44 234
944 170
18 12
1,511 1,704
1,511 193
170 5.02
0.35 4.20
41 28
2,310 12
2,044 1,651
393 220
4 32,633
30,465 2,163
3,681 553
369 5,715
65 100 807.37
2.34 9.95
2,582 2,347
236 364
1 1
2,349 0.29
593 1.75
1.46