VK

PT VKTR Teknologi Mobilitas

VKTR · JK · Consumer Cyclical / Recreational Vehicles

$835+65.00 (+8.44%)

Close Sep 23, 2026 · end-of-day

Market Stats

Previous Close$770
Open$775
Day Range$775 – $835
52-Week Range$240 – $1,340
Volume93.40M
Market Cap$28.87T
P/E (TTM)0.00
Forward P/E217.39
EPS$-0.28
Dividend Yield0.00%
Beta1.50
50-Day Avg$808.23
200-Day Avg$811.77

Price History

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About

PT VKTR Teknologi Mobilitas Tbk, together with its subsidiaries, manufactures and trades in automotive and metal components in Indonesia and internationally. The company offers electric buses, trucks, forklifts, and loaders, as well as foundry, vehicle body, and automotive components. It also engages in the trading of battery-based electric vehicles; and wholesale and leasing of automotives. The company was founded in 2007 and is headquartered in Jakarta Selatan, Indonesia. PT VKTR Teknologi Mobilitas Tbk operates as a subsidiary of PT Bakrie & Brothers Tbk.

Company Details

Sector
Consumer Cyclical
Industry
Recreational Vehicles
CEO
Mr. Gilarsi Wahju Setijono
Employees
1.49K
Headquarters
Bakrie Tower, Jakarta Selatan, Indonesia, 12940, Indonesia
Website
https://vktr.id

Leadership

  • Mr. Gilarsi Wahju SetijonoCEO & President Director · b. 1962
  • Engineer Achmad Amri Aswono PutroFinance Director & Director · b. 1965
  • Mr. Dino Ahmad RyandiCOO & Director · b. 1970
  • Mr. Lulus Hery TrionoHead of Internal Audit Unit
  • Ms. Indah Permatasari SaugiChief of Corporate Affairs & Corporate Secretary · b. 1984

Financials

Income Statement

Line item2020-12-312021-12-312022-12-312023-12-312024-12-312025-12-31
Total Revenue$363.56B$679.18B$1.07T$1.06T$1.00T$1.09T
Cost of Revenue$390.27B$565.56B$878.47B$854.13B$825.51B$906.06B
Gross Profit$-26.71B$113.62B$192.66B$207.73B$178.15B$183.17B
Operating Income$-124.95B$34.84B$79.29B$51.30B$9.40B$16.25B
EBITDA$-143.29B$42.09B$84.03B$59.99B$30.95B$82.34B
Net Income$-140.64B$20.91B$49.60B$5.43B$7.57B$-11.37B
Interest Expense$3.27B$4.96B$6.63B$11.69B$7.60B$17.09B

Balance Sheet

Line item2019-12-312020-12-312021-12-312022-12-312023-12-312024-12-312025-12-31
Total Assets-$601.70B$770.18B$1.03T$1.67T$1.61T$1.80T
Total Liabilities-$462.40B$582.88B$758.02B$520.50B$452.68B$553.02B
Total Equity-$82.76B$107.96B$182.22B$1.04T$1.05T$1.04T
Cash$87.22B$6.64B$26.50B$70.89B$735.90B$75.12B$51.99B
Total Debt-$82.92B$135.92B$364.64B$50.36B$123.87B$219.43B
Net Debt$-87.22B$76.28B$109.42B$293.75B$-685.54B$48.75B$167.44B

Cash Flow

Line item2020-12-312021-12-312022-12-312023-12-312024-12-312025-12-31
Operating Cash Flow$28.92B$-8.42B$-240.67B$-88.68B$-122.22B$60.86B
Investing Cash Flow$-18.36B$-9.71B$-237.45B$40.74B$-607.60B$-172.53B
Financing Cash Flow$-15.88B$37.98B$522.52B$712.94B$69.04B$88.37B
Capital Expenditure$12.29B$9.06B$27.39B$47.69B$278.05B$146.41B
Free Cash Flow$16.63B$-17.48B$-268.06B$-136.37B$-400.27B$-85.55B
Dividends Paid-----$5.00B

Key Statistics & Ratios

Market Cap
$28.87T
Enterprise Value
$36.56T
Trailing P/E
0.00
Forward P/E
217.39
Price / Sales
21.84
Price / Book
35.05
EPS
$-0.28
Book Value
$23.82
Revenue (TTM)
$1.32T
Gross Profit (TTM)
$221.88B
EBITDA
$102.80B
Profit Margin
-1.13%
Operating Margin
-1.61%
Return on Equity
0.20%
Return on Assets
0.82%
Shares Outstanding
43.75B
Shares Float
22.34B
Beta
1.50
Dividend Yield
0.00%
Dividend Rate
$0
Payout Ratio
0.00%