Sudarshan Chemical I...
BSE:506655
Rp 788,05
Rp0,00 (0,00%)
788,05 Rp
Rp0,00 (0,00%)
End-of-day quote: 03/27/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

Rp22,50
Earnings Per Share
Rp425,81
Revenue Per Share
45,40%
Gross Margin %
Rp61,95 B
Market Cap
Rp1,93 B
Long-Term Debt
Earnings Per Share
Rp22,50
Revenue Per Share
Rp425,81
Gross Margin %
45,40%
Market Cap
Rp61,95 B
Long-Term Debt
Rp1,93 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2013 2012
EPS Earnings Per Share Rp22,50 Rp15,90 Rp6,50 Rp18,70 Rp20,40 Rp18,98 Rp13,19 Rp3,18 Rp4,85
Earnings Earnings Rp1,77B Rp1,10B Rp450,00M Rp1,29B Rp1,41B Rp1,31B Rp913,14M Rp220,15M Rp335,77M
RPS Revenue Per Share Rp425,81 Rp366,72 Rp332,48 Rp317,90 Rp269,26 Rp246,74 Rp213,28 Rp0,00 Rp115,60
Revenue Revenue Rp33,46B Rp25,39B Rp23,02B Rp22,01B Rp18,64B Rp17,08B Rp14,77B Rp0,00M Rp8,00B
OCF Operating Cash Flow Rp370,37M Rp1,93B Rp2,87B Rp1,78B Rp1,65B Rp2,63B Rp0,00M Rp0,00M Rp623,19M
FCF Free Cash Flow Rp-575,29M Rp1,15B Rp946,46M Rp-1,32B Rp-1,04B Rp72,41M Rp0,00M Rp0,00M Rp0,00M
OM Operating Margin 6,99% 7,30% 4,95% 8,47% 10,36% 10,20% 8,75% 6,10% 8,41%
GM % Gross Margin % 45,40% 42,64% 39,00% 40,55% 41,54% 41,43% 39,39% 28,85% 28,79%
FCFS Free Cash Flow Per Share Rp-8,11 Rp16,61 Rp13,67 Rp-19,08 Rp-15,08 Rp1,05 Rp-4,52 Rp-13,76 Rp-5,20
LT Debt Long-Term Debt Rp16,32B Rp1,93B Rp4,53B Rp3,69B Rp3,08B Rp2,25B Rp1,13B Rp2,15B Rp1,23B
Sha. Stocks 78,57M 69,23M 69,23M 69,23M 69,23M 69,23M 69,23M 69,23M 69,23M
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