Beli & Jual Master Print Tbk. - Harga PTMR Hari Ini
Quarterly
Yearly
Income Statement
Revenue
Net Profit
Net Loss
Profit margin %
Q4
’24
Q1
’25
Q2
’25
Q3
’25
Q4
’25
| Item | Q4 2025 | Y/Y Change |
| Revenue | Rp127,11 M | -1.33% |
| Cost of Revenue | Rp93,51 M | +1.07% |
| Gross Profit | Rp33,6 M | -7.45% |
| General Expenses, Depreciation, Interest | Rp28,73 M | +17.62% |
| Operating Profit | Rp4,87 M | -59.01% |
| Other Income | -Rp34,47 M | +1569.55% |
| EBT | -Rp29,6 M | -401.55% |
| Taxes | Rp3,56 M | -221.63% |
| Net Income | -Rp25,95 M | -477.3% |
Balance Sheet
Assets
Liabilities
Debt to Asset %
Q4
’24
Q1
’25
Q2
’25
Q3
’25
Q4
’25
| Item | Q4 2025 | Y/Y Change |
| Total Assets | Rp120,85 M | -24.27% |
| Total Liabilities | Rp48,16 M | -20.26% |
| Total Equity | Rp72,52 M | -26.7% |
| Total Liabilities & Total Equity | Rp120,68 M | -24.26% |
Cash Flow
Operating
Investing
Finance
Net CF
Q4
’24
Q1
’25
Q2
’25
Q3
’25
Q4
’25
| Item | Q4 2025 | Y/Y Change |
| CF from Operations | Rp9,27 M | -253.47% |
| CF from Investment | Rp642,82 jt | -59.72% |
| CF from Financing | Rp16,2 M | -309.94% |
| Net Cash Flow | Rp7,58 M | -9020.24% |








