Capacit'e Infraproje...
NSEI:CAPACITE
Rp 223,88
Rp-5,23 (-2,28%)
223,88 Rp
Rp-5,23 (-2,28%)
End-of-day quote: 03/23/2026

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

Rp21,37
Earnings Per Share
Rp258,72
Revenue Per Share
32,36%
Gross Margin %
Rp19,38 B
Market Cap
Rp1,24 B
Long-Term Debt
Earnings Per Share
Rp21,37
Revenue Per Share
Rp258,72
Gross Margin %
32,36%
Market Cap
Rp19,38 B
Long-Term Debt
Rp1,24 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017
EPS Earnings Per Share Rp21,37 Rp15,24 Rp13,83 Rp6,58 Rp0,26 Rp13,39 Rp14,08 Rp11,60 Rp14,00
Earnings Earnings Rp1,81B Rp1,29B Rp1,02B Rp446,72M Rp17,65M Rp909,05M Rp955,89M Rp787,52M Rp564,06M
RPS Revenue Per Share Rp258,72 Rp220,78 Rp243,44 Rp196,61 Rp129,58 Rp225,18 Rp263,31 Rp196,74 Rp282,93
Revenue Revenue Rp21,89B Rp18,68B Rp17,91B Rp13,35B Rp8,80B Rp15,29B Rp17,88B Rp13,36B Rp11,40B
OCF Operating Cash Flow Rp482,43M Rp-356,76M Rp879,10M Rp344,09M Rp755,04M Rp3,52B Rp704,10M Rp910,67M Rp0,00M
FCF Free Cash Flow Rp-528,55M Rp-1,20B Rp5,88M Rp-677,28M Rp-370,63M Rp866,98M Rp-1,54B Rp-497,54M Rp0,00M
OM Operating Margin 12,10% 11,91% 11,65% 8,59% 5,27% 9,43% 9,04% 10,18% 0,00%
GM % Gross Margin % 32,36% 34,53% 34,18% 30,27% 33,65% 34,17% 27,94% 30,19% 0,00%
FCFS Free Cash Flow Per Share Rp-6,05 Rp-16,52 Rp1,32 Rp-9,97 Rp-5,23 Rp12,97 Rp-22,63 Rp-9,75 Rp0,00
LT Debt Long-Term Debt Rp1,49B Rp1,24B Rp1,12B Rp1,37B Rp823,38M Rp935,26M Rp579,84M Rp480,35M Rp671,21M
Sha. Stocks 84,6M 84,6M 73,56M 67,89M 67,89M 67,89M 67,89M 67,89M 40,29M
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