Analisis Laporan Keuangan PT Indofood Sukses Makmur Tbk Tahun 2024 - 2025
Analysis of Financial Statements of PT Indofood Sukses Makmur Tbk Year 2024 - 2025
DOI:
https://doi.org/10.63921/jmaeka.v2i4.570Keywords:
analisis laporan keuangan, rasio profitabilitas, rasio solvabilitas, rasio aktivitas, liquidity ratioAbstract
This study aims to analyze the financial performance of PT Indofood Sukses Makmur Tbk during the 2024–2025 period using liquidity, solvency, activity, and profitability ratios. As a company with an integrated vertical business model, Indofood holds a strategic position in maintaining supply stability and production efficiency amid economic fluctuations. The research method employed is a quantitative descriptive analysis of the company’s balance sheets and income statements. The analysis results indicate that the company is in a very healthy and stable financial condition. Liquidity levels have improved, with the Current ratio reaching 4.15% in 2025, signaling a very strong capacity to meet short-term obligations. In terms of solvency, the company successfully mitigated debt risk by reducing the Debt-to-Equity Ratio to 84%, reflecting an increasingly self-reliant capital structure. Profitability also showed a positive trend, with the Net Profit Margin rising to 15%. However, this study found a decline in efficiency in activity ratios, particularly in accounts receivable and inventory turnover, which have tended to slow down. Therefore, the company is recommended to re-optimize current asset management and tighten collection policies to maintain sustainable cash flow.
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Copyright (c) 2026 Sri Hermuningsih, Muh Furqan Ramli, Nurika Dwi P, Ayu Dewi

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