GEMS
Golden Energy Mines Tbk
Financial snapshot+
Company information+
Major shareholders+
Management+
- Bonifasius
- Iwan Hermawan
- Yoghi Nuswantoro
- R. Utoro
- Suhendra
- Paulus Yuniar
- Lokita Prasetya
- Achmad Ananda Djajanegara
- Alex Sutanto
- Feriwan Sinatra
- Dr. Ir. Bambang Setiawan
- Ketut Sanjaya
GEMS closed at 6.750 , -16.92% YTD and -27.03% over the trailing year. Over 52 weeks it has traded between 5.806 and 11.200. Current price sits in the 18th percentile of its 52-week range.
The commodity benchmarks this company’s revenue rides, end-of-day.
Mining deskRevenue share estimated from commodity exposure·End-of-day
Production and sales volume, overburden and strip ratio, and product specs (calorific value for coal, metal grades) from GEMS’s annual reports are being added, so you can read the assets behind the earnings, not just the revenue line.
What you pay for, and what you get back.
How Golden Energy Mines Tbk compares to 0 peers in Minyak, Gas & Batu Bara.
- Emiten News· 12 Apr 2026
PT Golden Energy Mines Tbk (GEMS) announced a Rp6.41 billion allocation for coal‑exploration activities in Q1 2026, carried out by its subsidiaries PT Borneo Indobara (BIB) and PT Barasentosa Lestari (BSL) through pre‑production, development and geotechnical drilling in the Girimulya Utara, Sebambang Bawah, Muara Lakitan and Belani blocks. The program, which includes 40 boreholes totalling 3,650 m and costs of Rp1.45 billion for development drilling and Rp4.78 billion for Muara Lakitan, aims to augment the company’s coal reserve base and support future production expansion. The disclosed spending underscores GEMS’ commitment to growth, which analysts view as a positive catalyst for the stock and may bolster investor confidence in the sector.
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| Metric | 2025-12-31 | 2025-09-30 |
|---|---|---|
| Revenue | 676.2M | 593.4M |
| Gross Profit | 205.9M | 164.3M |
| Operating Income | 100.6M | 63.3M |
| Net Income | 58.9M | 47.6M |
| EBITDA | 99.2M | 69.2M |
| Total Assets | 1.2B | 1.1B |
| Total Equity | 708.6M | 649.0M |
| Total Debt | 134.4M | 158.2M |
| Operating Cash Flow | 38.7M | 42.7M |
| Free Cash Flow | 31.9M | 39.1M |