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Saham Chitose (CINT)

Stock Code CINT
Sharia Compliant Stock Sharia
Company Name PT Chitose Internasional Tbk.
Business Scope Industrial, Trading and Furniture Services
Established Date 15-Jun-78
Head Office & Plant
Address Jln. Industri III No. 5
Kelurahan Utama, Kecamatan Cimahi Selatan
Kota Cimahi, Jawa Barat
Phone (022) 603 – 1900
Fax (022) 603 – 1855
Website PT Chitose Internasional Tbk
Board of Commissioners Marcus Brotoatmodjo
Marusaha Siregar (independent commissioner)
Board of Directors Dedie Suherlan
Fadjar Swatyas
Timatius J. Paulus
Kazuhiko Aminaka
Aan (independent director)
Corporate Secretary Fadjar Swatyas
Audit Committee Marusaha Siregar
Yohanes Linero
Wisnu Broto
Public Accountant KAP Koesbandijah, Beddy Samsi & Setiasih
Law Consultant Budiarto Law Partnership
Appraisal Company KJPP Felix Sutandar & Rekan
Notary Public Popie Savitri Martosuhardjo Pharmanto, S.H.
Securities Administration Bureau PT Sinartama Gunita
Lead Underwriter PT Danareksa Sekuritas, PT Sinarmas Sekuritas
Shares offered (shares) :
Offering shares 300.000.000
Company listing 700.000.000
Total listed shares 1.000.000.000
Offering price (Rp) 330
Par value per share (Rp) 100
Fund rised (Rp) 99.000.000.000
Market Capitalization (Rp) 330.000.000.000
Number of subscribed shares (shares) 561.258.400
Number of subscribers (party) 795
Number of shareholders (party) – Through IPO 795
Effective Date 17-Jun-2014
Offering period 19, 20 & 23 June 2014
Allotment date 25-Jun-2014
Refund date 26-Jun-2014
Share certificates delivery date (scriptless) 26-Jun-2014
Listing date on IDX 27-Jun-2014
Listing Board Development Board
IDX Sectoral Classification:
Sector and Subsector 26-Jun-14
Average PER Average PBV
5. Consumer Goods Industry 16,09 4,30
55. Houseware (9,25) 0,47
Financial Information Highlight (in Rp unless otherwise stated)
31-Dec-13 31-Dec-12 31-Dec-11
Cash & Cash Equivalents 41.701.625.367 34.395.084.151 26.374.154.705
Account Receivables 50.308.071.780 47.109.652.851 40.243.169.043
Current Assets 140.143.855.044 101.658.767.121 84.809.786.405
Property, Plan and Equipment 116.197.595.740 12.802.909.975 14.004.021.881
Non-Current Assets 122.771.603.635 17.630.821.536 16.283.266.790
Total Assets 262.915.458.679 119.289.588.657 101.093.053.195
Current Liabilities 70.807.288.786 42.456.533.531 37.849.510.083
Non-Current Liabilities 6.991.371.106 5.643.210.629      5.207.064.172
Total Liabilities 77.798.659.892 48.099.744.160 43.056.574.255
Authorized Capital (Shares) 2.000.000.000 2.000 2.000
Authorized Capital (Rp) 200.000.000.000 2.000.000.000 2.000.000.000
Paid up Capital (Shares) 700.000.000 2.000 2.000
Paid up Capital (Rp) 70.000.000.000 2.000.000.000 2.000.000.000
Par Value (Rp)                                                                          100            1.000.000            1.000.000
Retained Earnings 28.939.820.162 69.219.844.497    56.066.478.940
Total Equity 185.116.798.787 71.189.844.497 58.036.478.940
Revenues 288.128.866.854 253.502.629.876 239.434.771.709
Cost of Revenue 208.077.213.140 190.868.759.089 180.632.877.530
Gross Profit 80.051.653.714 62.633.870.787 58.801.894.179
Operating Income (Expenses) (44.107.161.309) (30.889.024.866) (30.795.485.001)
Operating Profit 35.944.492.405 31.744.845.921 28.006.409.178
Other Income (Expenses) 15.682.239.222 (1.105.030.766) (1.232.359.557)
Income (Loss) Before Tax 51.626.731.627 30.639.815.155 26.774.049.621
Tax Income (Expenses) (9.472.567.077) (7.486.449.598) (6.646.130.633)
Net Profit For The Period 42.154.164.550 23.153.365.557 20.127.918.988
Other Comprehensive Income                                                        82.050.474.239                            –                            –
Total Comprehensive Income For The Period 124.204.638.789 23.153.365.557 20.127.918.988
Income For The Period Attributable to Parent Entity 41.988.591.730 23.153.365.557 20.127.918.988
Cash Flow from Operating Activities 20.507.393.445 22.829.086.207 16.434.438.822
Cash Flow from Investing Activities (11.650.806.954) (1.574.903.272) (3.712.771.738)
Cash Flow from Financing Activities (1.550.045.274) (13.233.253.489) (8.089.890.247)
Net Increase (decrease) in Cash and Cash Equivalent 7.306.541.217 8.020.929.446 4.631.776.837
Cash and Cash Equivalents at Beginning of Year 34.395.084.151 26.374.154.705 21.742.377.868
Ending Balance of Cash and Cash Equivalent 41.701.625.368 34.395.084.151 26.374.154.705

SHAREHOLDER INFORMATION

Before Public Offering
Shares Par Value (Rp) % Value (Rp)
Authorized Capital 2.000.000.000 100 200.000.000.000
Paid Up Capital
1, PT Tritirta Inti Mandiri 684.250.000 100 97,75% 68.425.000.000
2, PT Bina Analisindo Semesta 12.250.000 100 1,75% 1.225.000.000
3, Benny Sutjianto 3.500.000 100 0,50% 350.000.000
4, Public                              –                      –                  –                                  –
Total Paid Up Capital          700.000.000 100 100,00%            70.000.000.000
Unissued Stocks 1.300.000.000 130.000.000.000

 

After Public Offering
Shares Par Value (Rp) % Value (Rp)
Authorized Capital 2.000.000.000 100 200.000.000.000
Paid Up Capital
1, PT Tritirta Inti Mandiri 684.250.000 100 68,43% 68.425.000.000
2, PT Bina Analisindo Semesta 12.250.000 100 1,23% 1.225.000.000
3, Benny Sutjianto 3.500.000 100 0,35% 350.000.000
4, Public      300.000.000                   100 30,00%     30.000.000.000
Total Paid Up Capital   1.000.000.000 100 100,00%   100.000.000.000
Unissued Stocks 1.000.000.000 100.000.000.000
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