PT. Andhi Chandra Automotive Products Tbk.  
   
ACAP
Andhi Chandra Automotive Products Tbk
Af          :
Sector Code : 42
Sector Name : AUTOMOTIVE AND COMPONENTS

(In thousand rupiah except Par Value, Closing Price and Ratios)

Financial Statement Date    : 30-Jun-2001
Fiscal Year Ends            : Dec
Months Covered in Income St : 6

Summary of Balance Sheet
  Receivables               :      31,880,939.29
  Inventories               :      25,262,283.39
  Current Assets            :      78,041,415.59
  Fixed Assets              :      56,110,763.25
  Other Asstes              :         748,956.70
  Total Assets              :     138,958,573.74
  Current Liabilities       :      20,551,747.19
  Longterm Liabiities       :       3,944,930.64
  Total Liabilities         :      24,496,677.83
  Authorized                :         300,000.00
  Paid-up Capital           :      80,400,000.00
  Par Value                 :                500
  Paid-up Capital Shares    :         160,800.00
  Retained Earnings         :      17,657,920.45
  Total Equity              :     114,461,895.91
  Minority Interest         :               0.00

Summary of Income Statement
  Total Sales               :      75,584,867.70
  Cost of Good Sold         :      60,903,031.56
  Gross Profit              :      14,681,836.14
  Operating Profit          :      10,629,695.14
  Other Income              :       1,347,838.74
  Eearning Before Tax       :      11,977,533.88
  Tax                       :       3,565,286.74
  Net Income                :       8,412,247.14
  Closing Price             :           1,975.00

Per Share Data (Rp)
  Eps                       :             104.63
  Book Value                :             711.83

Financial Ratios
  Debt Equity Ratio (X)     :                .21
  Roa (%)                   :              12.11
  Roe (%)                   :              14.70
  Npm (%)                   :              11.13
  Opm (%)                   :              14.06

Cash Flow
  CF from Operating Activities                        :               0.00
  CF from Investing Activities                        :               0.00
  CF from Financing Activities                        :               0.00
  Net Increase in Cash & Cash Equivalent              :               0.00
  Cash & Cash Equivalent at The Beginning of The Year :               0.00
  Cash & Cash Equivalent at The End of The Year       :               0