PSAT Overview
PSAT
PT Pancaran Samudera Transport Tbk
875
+0.00%Quality radar — PSAT vs sub-sector
Financial snapshot+
Market capRp 1.30T
P/E (TTM)-49.94x
P/B0.99x
ROE-2.1%
Net margin-2.6%
Dividend yield—
Debt/Equity0.17
Company information+
SectorEnergi
Sub-sectorMinyak, Gas & Batu Bara
IndustryBatu Bara
Listing boardUtama
Listed2025-07-08
IPO priceRp 900
AddressGedung Kirana Three Bellatera Lt. 11 Jl. Boulevard Raya Kav. 1, Kelapa Gading Jakarta Utara 14240
WebsiteVisit →
Major shareholders+
PT Profitama Hasil Indah
PT Surya Mitra Pancaran
Saham Treasury
Masyarakat Warkat
Masyarakat Non Warkat
Management+
Directors (2)
- Susanto
- Wendi Arifin
Commissioners (2)
- Olivia Djoharsjah
- Mardiman Sane
All-time price commentary
PSAT closed at 875 , -32.95% YTD. Over 52 weeks it has traded between 698 and 2.730. Current price sits in the 9th percentile of its 52-week range.
52W Low52W High
698Current: 8752.730
Operational & Commodity
The commodity benchmarks this company’s revenue rides, end-of-day.
Mining deskRevenue share estimated from commodity exposure·End-of-day
Operational metrics · coming next
Production and sales volume, overburden and strip ratio, and product specs (calorific value for coal, metal grades) from PSAT’s annual reports are being added, so you can read the assets behind the earnings, not just the revenue line.
Broker Flow
Tape Events
Fundamentals
What you pay for, and what you get back.
Mixed signals
How PT Pancaran Samudera Transport Tbk compares to 0 peers in Minyak, Gas & Batu Bara.
P/E Ratio
-49.94x
P/B Ratio
0.99x
P/S Ratio
1.29x
EV/EBITDA
9.23x
Ownership Structure
Peer Comparison
Financial Statements
Income Flow — 2025-12-31
Revenue
284.3B
COGS
-267.8B
Gross Profit
16.5B
OpEx
-36.4B
Op. Income
-19.9B
Tax & Other
1.9B
Net Income
-18.0B
Financial Statements
| Metric | 2025-12-31 | 2025-09-30 |
|---|---|---|
| Revenue | 284.3B | — |
| Gross Profit | 16.5B | — |
| Operating Income | -19.9B | — |
| Net Income | -18.0B | — |
| EBITDA | -14.4B | — |
| Total Assets | 1.7T | 1.7T |
| Total Equity | 1.3T | 1.3T |
| Total Debt | 236.1B | 207.7B |
| Operating Cash Flow | 8.2B | — |
| Free Cash Flow | -78.0B | — |
Dividend History
TTM Div Yield
—
Payout Ratio
—
EPS
-17,42
Research Notes