Resultados financieros en millones de dólares estadounidenses. El ejercicio fiscal es febrero - enero.
Breakdown
TTM
12/31/2024
12/31/2023
12/31/2022
12/31/2021
12/31/2020
Ingresos
6,903,307
6,867,399
6,640,645
6,524,369
6,179,584
5,327,689
Crecimiento de los Ingresos (YoY)
1%
3%
2%
6%
16%
13%
Costo de los ingresos
1,954,141
1,941,212
1,902,397
1,783,325
1,472,780
1,093,065
Utilidad bruta
4,949,166
4,926,187
4,738,248
4,741,044
4,706,804
4,234,624
Venta, General y Administración
485,545
495,244
439,050
391,945
337,518
356,446
Investigación y Desarrollo
--
--
--
--
--
--
Gastos de Operación
610,572
607,431
504,176
458,573
400,889
418,623
Otras Ingresos (Gastos) No Operativos
-1,009,701
-934,313
-673,167
-640,175
-464,233
-356,881
Ingreso antes de impuestos
1,402,182
1,476,550
1,804,519
1,911,766
1,935,964
1,509,454
Gasto por Impuesto a la Renta
39,080
53,515
182,825
222,325
334,611
442,878
Ingreso Neto
1,302,532
1,361,624
1,560,307
1,637,579
1,548,975
1,009,625
Crecimiento de la Utilidad Neta
-19%
-13%
-5%
6%
53%
23%
Acciones en Circulación (Diluidas)
22,314.73
22,551.51
22,577.15
22,298.18
20,860.67
20,860.67
Cambio de Acciones (YoY)
-1%
0%
1%
7%
0%
0%
EPS (Diluido)
58.37
60.37
69.11
73.44
74.25
48.39
Crecimiento de EPS
-18%
-13%
-6%
-1%
53%
23%
Flujo de efectivo libre
3,351,356
2,622,000
1,686,358
1,471,830
-1,484,245
2,431,633
Flujo de efectivo libre por acción
--
--
--
--
--
--
Margen bruto
71.69%
71.73%
71.35%
72.66%
76.16%
79.48%
Margen de operación
62.84%
62.88%
63.75%
65.63%
69.67%
71.62%
Margen de beneficio
18.86%
19.82%
23.49%
25.09%
25.06%
18.95%
Margen de flujo de caja libre
48.54%
38.18%
25.39%
22.55%
-24.01%
45.64%
EBITDA
4,422,868
4,399,390
4,279,936
4,322,103
4,344,127
3,852,726
Margen de EBITDA
64.06%
64.06%
64.45%
66.24%
70.29%
72.31%
D&A para EBITDA
84,274
80,634
45,864
39,632
38,212
36,725
EBIT
4,338,594
4,318,756
4,234,072
4,282,471
4,305,915
3,816,001
Margen de EBIT
62.84%
62.88%
63.75%
65.63%
69.67%
71.62%
Tasa de Impuesto Efectiva
2.78%
3.62%
10.13%
11.62%
17.28%
29.34%
Follow-Up Questions
¿Cuáles son los estados financieros clave de Tower Bersama Infrastructure Tbk PT?
¿Cuáles son los ratios financieros clave para PTFRF?
¿Cómo se desglosan los ingresos de Tower Bersama Infrastructure Tbk PT por segmento o geografía?
¿Es rentable Tower Bersama Infrastructure Tbk PT?
¿Tiene Tower Bersama Infrastructure Tbk PT alguna deuda?
¿Cuántas acciones en circulación tiene Tower Bersama Infrastructure Tbk PT?
Estadísticas clave
Cierre Anterior
$0.1
Precio de apertura
--
Rango del día
-
Rango de 52 semanas
$0.1 - $0.44
Volumen
--
Volumen promedio
0
EPS (TTM)
0.00
Rendimiento de dividendos
--
Cap. de mercado
$2.2B
¿Qué es PTFRF?
PT Tower Bersama Infrastructure Tbk is a holding company, which engages in the provision of leasing space for antennas and other equipment for wireless signal transmission at tower sites under long-term agreements. The company is headquartered in Jakarta Selatan, Dki Jakarta and currently employs 870 full-time employees. The company went IPO on 2010-10-26. Its segments include Tower, Repeater, Building and Fiber Optic. The firm provides its tower leasing service through build-to-suit and collocation site solutions. Built-to-suit tower sites are constructed based on orders from telecommunications operators, while collocation is leasing on existing tower sites. The company provides various services to its customers, including planning and design, site acquisition, licensing, construction and deployment, and operation and maintenance of tower infrastructure. The firm also provides telecommunications operators with access to its distributed antenna system (DAS) networks in shopping malls and office buildings in urban areas. The firm owns and operates approximately 70 DAS and repeater sites in urban areas.