BR

PT Barito Renewables Energy Tb

BREN · JK · Utilities / Utilities - Renewable

$3,180+100.00 (+3.25%)

Close Sep 18, 2026 · end-of-day

Market Stats

Previous Close$3,080
Open$3,080
Day Range$3,000 – $3,180
52-Week Range$2,297.1 – $10,711.49
Volume17.14M
Market Cap$378.60T
P/E (TTM)136.98
Forward P/E0.00
EPS$20.66
Dividend Yield0.14%
Beta0.36
50-Day Avg$3,291.4
200-Day Avg$5,347.73

Price History

Open in new tab
Loading price history…

About

PT Barito Renewables Energy Tbk generates and sells power through geothermal and wind resources in Indonesia. It also offers management consulting services. The company was founded in 2018 and is based in Jakarta, Indonesia. PT Barito Renewables Energy Tbk is a subsidiary of PT Barito Pacific Tbk.

Company Details

Sector
Utilities
Industry
Utilities - Renewable
CEO
Mr. Hendra Soetjipto Tan
Employees
707
Headquarters
Wisma Barito Pacific II, Jakarta, Indonesia, 11410, Indonesia
Website
https://www.baritorenewables.co.id

Leadership

  • Mr. Hendra Soetjipto TanPresident Director
  • Mr. Hsing Chee HsingFinance Director & Director
  • Ms. . MerlyCommissioner & Corporate Secretary

Financials

Income Statement

Line item2020-12-312021-12-312022-12-312023-12-312024-12-312025-12-31
Total Revenue$520.64M$537.36M$569.78M$594.94M$596.82M$605.19M
Cost of Revenue-----$170.11M
Gross Profit$520.64M$537.36M$569.78M$594.94M$596.82M$605.19M
Operating Income$328.33M$376.68M$402.31M$442.69M$441.19M$427.65M
EBITDA$387.07M$438.93M$470.53M$496.38M$510.78M$519.96M
Net Income$63.70M$86.10M$91.13M$107.42M$122.11M$130.58M
Interest Expense$86.14M$83.84M$82.74M$131.00M$129.93M$117.35M

Balance Sheet

Line item2020-12-312021-12-312022-12-312023-12-312024-12-312025-12-31
Total Assets$3.33B$3.44B$3.39B$3.51B$3.79B$3.87B
Total Liabilities$2.49B$2.46B$2.96B$2.86B$3.05B$2.99B
Total Equity$417.76M$496.25M$191.50M$444.11M$516.86M$637.19M
Cash$123.26M$203.35M$169.33M$247.79M$162.72M$344.66M
Total Debt$1.61B$1.58B$2.07B$1.99B$2.10B$2.07B
Net Debt$1.49B$1.38B$1.90B$1.74B$1.94B$1.72B

Cash Flow

Line item2020-12-312021-12-312022-12-312023-12-312024-12-312025-12-31
Operating Cash Flow--$237.36M$227.21M$268.41M$224.90M
Investing Cash Flow$-25.10M$-77.48M$-60.87M$-38.52M$-227.65M$-250.38M
Financing Cash Flow$-108.68M$-77.36M$-210.73M$-110.23M$-125.83M$-21.67M
Capital Expenditure$24.13M$72.87M$51.38M$28.61M$116.75M$129.21M
Free Cash Flow$-24.13M$-72.87M$-51.38M$-28.61M$151.66M$95.68M
Dividends Paid-$9.23M$36.00M$32.87M$48.50M$0

Key Statistics & Ratios

Market Cap
$378.60T
Enterprise Value
$452.81T
Trailing P/E
136.98
Forward P/E
0.00
Price / Sales
591971.60
Price / Book
33.67
EPS
$20.66
Book Value
$0.005
Revenue (TTM)
$639.55M
Gross Profit (TTM)
$622.71M
EBITDA
$525.22M
Profit Margin
24.06%
Operating Margin
73.53%
Return on Equity
21.48%
Return on Assets
7.43%
Shares Outstanding
133.78B
Shares Float
16.83B
Beta
0.36
Dividend Yield
0.14%
Dividend Rate
$4.09
Payout Ratio
19.83%

Dividends

20261×
$4.09Jul 3, 2026
20242×
$3.78Dec 12, 2024$2.03Jun 7, 2024
20231×
$3.91Nov 23, 2023