Efek Terdaftar

Siwani Makmur Tbk, PT d/h Van Der Horst Indonesia Tbk

Security name
Siwani Makmur Tbk d/h Van Der Horst Indonesia Tbk
Issuer
Siwani Makmur Tbk, PT d/h Van Der Horst Indonesia Tbk
ISIN Code
ID1000063902
Short Code
SIMA
Type
Saham Biasa
Listing Date
June 03, 1994
Stock Exchange
IDX
Status
Active
Nominal
500.00
Current Amount
442,589,871.00
Currency
IDR
Form
Electronic
Effective Date ISIN
January 30, 2001
Activity Sector
PLASTICS & PACKAGING
Number of Securities
442,589,871 (Total)
As of 6 Nov 2024
99.91% Scripless = 442,174,122.000
Local Percentage
99.89%
Foreign Percentage
0.01%

Corporate Action

Type of CA Ratio Cum Date Record Date Distribution Date Status
Proxy Voting   - 27 May 2019 18 Jun 2019 Active
Proxy Voting   - 27 Apr 2018 22 May 2018 Active
Proxy Voting   - 27 Apr 2017 22 May 2017 Active
Proxy Voting   - 17 Nov 2015 10 Dec 2015 Active
Proxy Voting   - 01 Jun 2015 25 Jun 2015 Active
Proxy Voting   - 20 May 2015 11 Jun 2015 Cancelled
Proxy Voting   - 25 Jul 2014 18 Aug 2014 Active
Proxy Voting   - 30 May 2014 17 Jun 2014 Active
Proxy Voting   - 27 Sep 2013 16 Oct 2013 Active
Proxy Voting   - 07 Jun 2013 25 Jun 2013 Active
Proxy Voting   - 05 Dec 2012 21 Dec 2012 Active
Proxy Voting   - 04 Sep 2012 13 Sep 2012 Active
Proxy Voting   - 13 Jun 2012 29 Jun 2012 Active
Proxy Voting   - 14 Jun 2011 30 Jun 2011 Active
Proxy Voting   - 08 Jul 2010 26 Jul 2010 Cancelled
Proxy Voting   - 14 Jun 2010 30 Jun 2010 Active
Proxy Voting   - 12 Jun 2009 29 Jun 2009 Active
Proxy Voting   - 12 Jun 2008 27 Jun 2008 Active
Proxy Voting   - 22 May 2007 07 Jun 2007 Active
Proxy Voting   - 10 Apr 2007 27 Apr 2007 Cancelled
Proxy Voting   - 13 Jun 2006 28 Jun 2006 Active
Proxy Voting   - 14 Jun 2005 30 Jun 2005 Active
Proxy Voting   - 09 Aug 2004 25 Aug 2004 Active
Proxy Voting   - 03 Jun 2003 19 Jun 2003 Active
Proxy Voting   - 20 May 2003 05 Jun 2003 Cancelled
Cash Dividend   29 Jul 2002 01 Aug 2002 15 Aug 2002 Active
Proxy Voting   - 30 May 2002 17 Jun 2002 Active
Cash Dividend   07 Dec 2001 12 Dec 2001 28 Dec 2001 Active
Mixed Dividend   08 May 2001 11 May 2001 28 May 2001 Active