PT Cipta Selera Murni Tbk.

csmi

+0.35%

Overview

CSMI Overview

PT Cipta Selera Murni Tbk is an Indonesia-based company. The Company is engaged in restaurant activities and trading. The Company started business in the form of fast-food restaurants trademarked as Texas Chicken. It operates approximately eight dan 29 outlets, respectively. It operates through four segments: Java, Sumatera, Kalimantan, and Sulawesi. Texas Chicken's food categories include Chicken, Burger and Wraps, Sides, Desserts, Dipping Sauce, and Rice. The Burger and Wraps category provide Mexican Burger, Tex Supreme Burger, Classic Burger, Crispy Chicken Burger, Mexicana Wrap, Tex Wrap, Tender Wrap, Zesty Crunch Burger, and Zesty Crunch Wrap. The Sides category includes Honey Butter Biscuits, Fries, Coleslaw and Mashed Potatoes. Its Desserts includes Shortcake, ICE Cream Cone and ICE Cream Sundae. The Dipping Sauce category includes Spicy BBQ Sauce. The Rice category includes Spicy Omomo Chicken Rice, Spicy BBQ Chicken Rice, and Teriyaki Chicken Rice.

1.02.03.04.05.06.0ValueCompetitiveFutureFinancialsDividend
Exchange
Indonesia Stock Exchange

Symbol: CSMI

Watchlist
Market Cap.
IDR 2.34Trillion

~$146.37M USD

Industry
Tourism & Recreation
Sub-Industry
Restaurants
Sector
Consumer Cyclicals

Valuation

CSMI Valuation Metrics

2,870

IDR
+0.3%

Closing Price on 2024-04-18

Price to Equity

-740.97

P/E

At -740.97x P/E TTM, CSMI.JK is trading at a discount to its peers in the Consumer Services sector.

Price to Book

270.39

P/B

At 270.39x P/B TTM, CSMI.JK is trading at a premium to its peers in the Consumer Services sector (avg 1.4x).

Price to Sales

574.42

P/S

At 574.42x P/S TTM, CSMI.JK is trading at a premium to its peers in the Consumer Services sector (avg 2.3x).

Valuing PT Cipta Selera Murni Tbk. based on its trailing twelve months (TTM) valuation metrics against its peers in the Consumer Services sector

Historical Price to Earnings

Other Valuation Metrics

Valuing PT Cipta Selera Murni Tbk. relative to other stocks in the Consumer Services sector

Price/Cash Flow
1418.62x
Price/Forward Earnings
-
Enterprise Value/Revenue
576.88x
Enterprise Value/EBITDA
-5427.41x
PEG Ratio
-

Analyst Ratings

No analyst ratings available yet.

Valuation Recap of CSMI stock
WeightNotesScore
High
The P/E ratio is calculated by dividing the market price of a company's stock by its earnings per share (EPS). It is a key tool for investors and analysts to assess whether a stock is overvalued, undervalued, or fairly valued. A P/E ratio of -740.97x is below the ID market average of 8.46x and is trading at a discount to peers in the Consumer Services sector (5.80x). In fact, less than 25% of its peers trade at a lower P/E ratio than CSMI.

High
The P/B ratio is calculated by dividing the market price of a company's stock by its book value per share (BVPS). It measures the company's stock value relative to its assets minus liabilities. A P/B ratio of 270.39x is above the peers average of 1.41x in the Consumer Services sector. CSMI trades at a higher P/B ratio than >75% of its peers in the Consumer Services sector.

Medium
The P/S ratio is calculated by dividing the market price of a company's stock by its sales per share. It measures the company's stock value relative to its sales. A P/S ratio of 574.42x is above the peers average of 2.30x in the Consumer Services sector. When considered alongside the Forward Price/Earnings ratio, they serve to illustrate investors' expectations of CSMI's valuation relative to its current sales and future earnings growth.

Low
The Price/Cash Flow ratio (P/CF) is calculated by dividing the market price of a company's stock by its cash flow per share. It measures the company's stock value relative to its cash flow, and is sometimes said to be a more objective measure of a company's value because cash flows cannot be manipulated as easily as earnings, which considers non-cash items such as depreciation and amortization. CSMI's P/CF ratio of 1418.62x is considered a relatively high ratio by analysts.

Low
The Enterprise Value/Revenue ratio (EV/R) is calculated by dividing the enterprise value of a company by its revenue. It measures the company's enterprise value relative to its revenue. It is an indicator of how much it costs to buy the company's revenue; the lower the ratio, the cheaper the company's revenue. CSMI's EV/R ratio of 576.88x is considered a relatively high ratio The average EV/R ratio for the Consumer Services sector is 3.18x.

Peers

CSMI Peers and Comparison

Peer Companies

Supertype Fuzzy Search
SymbolCompany Name
Market Cap
(in Trillion IDR)
Total Assets
(in Trillion IDR)
Total Revenue
(in Trillion IDR)
Profit and Loss
(in Trillion IDR)
P/E
P/B
MASAMultistrada Arah Sarana Tbk50.28T8.11T 7.57T 1.17T 43.088.52
FILMPT MD Pictures Tbk.49.22T1.71T 0.37T 0.10T 509.3330.21
MSINPT MNC Digital Entertainment Tbk35.19T6.74T 2.95T 0.26T 133.316.13
MAPIMitra Adiperkasa Tbk29.36T27.52T 33.32T 1.89T 15.502.94
MAPAPT MAP Aktif Adiperkasa Tbk.26.79T10.80T 13.56T 1.39T 19.304.70
CNMAPT Nusantara Sejahtera Raya Tbk18.50T7.37T 5.23T 0.69T 26.903.91
ACESAce Hardware Indonesia Tbk16.09T7.75T 7.61T 0.76T 21.082.62
TRIOTrikomsel Oke Tbk11.08T0.10T 0.75T -0.11T -98.34-2.97
SMSMSelamat Sempurna Tbk10.80T4.57T 5.10T 0.94T 11.443.36
KPIGMNC Land Tbk5.95T32.57T 1.42T 0.39T 15.250.23
Competitiveness Recap of CSMI stock
WeightNotesScore
High
At a market cap of IDR 2,342.10 billion, CSMI.JK ranks 10 in Market Cap out of 10 companies in the Consumer Cyclicals sector.

High
At a PE of -740.97, CSMI.JK ranks 10 out of 10 companies in the Consumer Cyclicals sector for P/E value. The average PE is -5.94 (unadjusted). A high P/E ratio often indicates higher growth expectation, or other qualitative factors that led investors to believe that the company has a defensible competitive advantage compared to its peers in Consumer Cyclicals. In this regard, it trails behind sector leaders such as PT MD Pictures Tbk. (509.33) in the Consumer Cyclicals sector.

Medium
At a PE of -740.97, CSMI.JK is trading at a lower PE than that of its subsector peers in Consumer Services (median of 5.80). A lower P/E value presents a potential value opportunity, but it might also indicate that the company is facing headwinds in its business.

Medium
At a revenue of IDR 0.00 trillion, CSMI.JK ranks 10 in Revenue out of 10 companies in the Consumer Cyclicals sector.

Medium
At a profit of -IDR 0.00 trillion, CSMI.JK ranks 9 in Profit out of 10 companies in the Consumer Cyclicals sector.

Future

Future Growth of CSMI

Growth Forecasts

No data available

Sector Benchmark

Consumer Services companies in Indonesia are growing at a projected rate of 9.48% against the IDX average of +7.6%.

Consumer Services sector overview
No data is available for CSMI at the moment.
Future growth prospect of CSMI
WeightNotesScore
High
CSMI's projected growth rate of 9.48% is above the ID market average of 7.62%.

Medium
CSMI and its peers in the Consumer Services sub-sector belongs to the Consumer Cyclicals sector. Companies in the Consumer Cyclicals sector are projected to have a challenging year heading into 2024. Specifically, earnings are projected to decrease by 0.00% in 2024 while revenue growth is projected to increase by 99.52%. These macroeconomic trends will likely be a headwind for CSMI's earnings growth prospects in the next 2 years.

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Management

Executive Management

President Director

Arriola Arthur Raphael 15.2 years
Radino Miharjo
Director
NamePositionShares%
No data is available for CSMI at the moment.
Expressed in millions IDR, unless otherwise stated

Ownership

CSMI Ownership

Others
22.55%
Insiders
77.45%
Institutions
0%
NameNumber of SharesOwnership (%)Value
Lisa Muchtar458,200,00056.151,315.03B
Masyarakat184,061,50022.55528.26B
Husni Muchtar173,800,00021.3498.81B
No data is available for CSMI at the moment.