PT. Dataindo Inti Swakarsa

          PT. Dataindo Inti Swakarsa
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Steady Safe Pays Off Debt End of July
Bisnis Indonesia, B2, 2006-07-13
PT Steady Safe Tbk plans to pay off its yearly record and debt to the Jakarta Stock Exchange by the end of this month. The company was unable to pay the debt off last month because its taxi and bus armada operation income decreased.
Steady Safe to Issue Rp.150 Billion in Bonds
www.tempointeraktif.com, 2004-02-09
PT Steady Safe Tbk plans to issue bonds worth Rp 150 billion in semester IV 2004 to finance bus and taxi rejuvenations. In 2004, the company plans to rejuvenate 3,500 taxis and 1,000 buses. For that purpose, the company requires Rp.120 million per unit for new taxis, Rp.650 million per unit for new buses and Rp.150 million per unit for Japanese used buses. For the moment, Steady Safe owns 400 new taxis and 50 units of Japanese used buses.
 
Steady Safe Tbk., PT
Indonesia Company Report
Last Update 29-November-2023
Major Businessline : Transportation taxi and busses

PT. Dataindo Inti Swakarsa
3rd Floor, Gapura Raya Building
Jl. Bangka Raya No. 4, Pela Mampang Email : info@disb2b.com
Jakarta 12720, Indonesia
Selective Member’s Information US $ Select All
Address 0.66
Telephone number(s) [2] [21-Dec-22] 0.44
Facsimile number(s) [1] [21-Dec-22] 0.44
Email [21-Dec-22] 1.00
Website [21-Dec-22] 0.28
Personnel (Commissioner [2], Director [2]) 2.20
Establishment Date 0.77
Tax Number (NPWP) [21-Dec-22] 0.77
Business Activity [21-Dec-22] 0.44
Legality (Ownership Type, Investment Type) 0.39
Number of employees [30-Oct-14] 0.77
Authorised Capital [26-Apr-18] 3.85
Paid Up Capital [26-Apr-18] 3.85
Banker(s) [1] [25-Sep-08] 0.77
Auditor(s) [1] [27-Feb-07] 1.32
Shareholder(s) [3] 9.90
Number Of Shares 3.30
Share Nominal Value 3.30
Additional Information 0.88
Profit and Loss [2016,2018,2019,2020,2021]
(Net Sales, Cost of Goods Sold, Gross Profit, Operating Expense, Operating Profit (Loss), Other Income (Expense), Profit (Loss) After Tax, Growth)
Balance Sheet [2016,2018,2019,2020,2021]
(Total Assets, Current Assets, Non Current Assets, Other Assets, Total Liabilities, Current Liabilities, Long Term Liabilities, Minority, Shareholder's Equity)
33.00
Listing History
(First Issue, Company Listing, Stock Split, Bonus Shares, Stock Dividen, Bonus Shares, Stock Dividen, Stock Dividen, Right Conversion, Additional Listing without Pre-emptive Rights)
0.77
Ratios (Times) & Per Share Data [2016,2018,2019,2020,2021]
(PER, PBV, Current Ratio, Debt to Equity, Leverage, Gross Profit Margin, Operating Profit Margin, Net Profit Margin, Inventory Turnover, Total Assets Turnover, ROI, ROE)
0.77
TOTAL PRICE (US$)(RP)
Price 100.001.550.000
Payment Method
Credit Card
Bank Transfer in US$
Bank Transfer in RP
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Selective Member`s Discount Price
US$
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Report Content
PROFIT AND LOSS 2020 2021 2022
Revenue 13,613,840 13,229,085 15,397,484
Cost of Goods N/A N/A N/A
Gross Profit 13,613,840 13,229,085 15,397,484
Net Profit Before Tax 3,139,711 4,528,733 5,123,618
The data above is sample data only
Balance Sheet (In RP Millions) 2020 2021 2022
Total Assets 133,260,087 149,168,842 150,180,752
Non Current Assets 1,888,511 1,935,151 2,024,748
Other Assets 2,885,953 4,075,426 50,103,265
Cash on Hand in Bank 47,751,808 43,551,174 27,213,874
Placement in other Bank 3,697,885 2,558,909 7,344,934
Notes & Securities 48,516,569 57,691,639 10,714,256
Loans 28,329,341 39,280,369 52,778,750
Total Liabilities 120,634,642 135,243,441 134,333,598
Cash
Minority 776 990 1,268
Total Deposits 118,251,011 131,985,222 129,555,406
Call Money 796,988 672,224 720,321
Notes Issued 252,202 425,039 652,439
Borrowings 219,652 484,127 525,316
Other Liabilities 1,114,013 1,675,839 2,878,848
Shareholder"s Equity 12,625,445 13,925,401 15,847,154
The data above is sample data only