pirana
AGII Overview
AGII

AGII

PT Samator Indo Gas Tbk

2.620
-1.50%
IDX80KOMPAS100JII70
Quality radar — AGII vs sub-sector
Financial snapshot+
Market capRp 8.03T
P/E (TTM)98.59x
P/B2.14x
ROE2.3%
Net margin2.8%
Dividend yield33.00%
Debt/Equity1.03
Company information+
SectorBarang Baku
Sub-sectorBarang Baku
IndustryBarang Kimia
Listing boardPemantauan Khusus
Listed2016-09-28
AddressGedung UGM - Samator Pendidikan Tower A Lantai 5-6 Jl. Dr. Sahardjo No. 83, Manggarai Tebet, Jakarta Selatan 12850
WebsiteVisit →
Major shareholders+
PT Samator
PT Saratoga Investama Sedaya
Matrix Company Limited
PT Aneka Mega Energi
Saham Treasury
Masyarakat Warkat
Masyarakat Non Warkat
Ferryawan Utomo
Nini Liemijanto
Ir. Sigit Purwanto
Management+
Directors (6)
  • RACHMAT HARSONO, BSc., MBA
  • IMELDA MULYANI HARSONO, BA., MM., LL.M.
  • IR. SIGIT PURWANTO
  • BUDI SUSANTO
  • ANDY PURWOHARDONO
  • NONI MULIANTI
Commissioners (9)
  • HEYZER HARSONO
  • RASID HARSONO
  • FERRYAWAN UTOMO, IR. M.M.
  • MICHAEL W. P. SOERYADJAYA
  • SUTANTO
  • ROBIYANTO
  • ATIFF IBRAHIM GILL
  • HANS-GERD WIENANDS-ADELSBACH
All-time price commentary

AGII closed at 2.620 , +72.94% YTD and +142.59% over the trailing year. Over 52 weeks it has traded between 715 and 3.600. Current price sits in the 66th percentile of its 52-week range.

52W Low52W High
715Current: 2.6203.600
Broker Flow
Tape Events
Fundamentals

What you pay for, and what you get back.

Premium with weak returns

How PT Samator Indo Gas Tbk compares to 0 peers in Barang Baku.

P/E Ratio
98.59x
P/B Ratio
2.14x
P/S Ratio
2.65x
EV/EBITDA
16.18x
Ownership Structure
Peer Comparison
Financial Statements
Income Flow — 2026-03-31
Revenue
762.1B
COGS
-398.1B
Gross Profit
364.0B
OpEx
-240.0B
Op. Income
124.0B
Tax & Other
-88.8B
Net Income
35.2B
Net margin: 4.6% of revenue flows to net income.
Financial Statements
Metric2026-03-312025-12-31
Revenue762.1B797.6B
Gross Profit364.0B364.6B
Operating Income124.0B93.5B
Net Income35.2B-2.2B
EBITDA169.7B138.7B
Total Assets8.5T8.5T
Total Equity3.9T3.8T
Total Debt4.0T4.0T
Operating Cash Flow57.5B124.7B
Free Cash Flow-2.1B8.8B
Dividend History
TTM Div Yield
+33.00%
Payout Ratio
EPS
26,88
Research Notes