Sinergi Multi Lestarindo Tbk logo

Sinergi Multi Lestarindo Tbk (SMLE)

Market Open
10 Aug, 08:49
IDX IDX
Rp
168. 00
+4
+2.439%
Rp
- Market Cap
- P/E Ratio
0.45% Div Yield
19.96M Volume
- Eps
Rp 164
Previous Close
Add Transaction
Day Range
163 170
Year Range
68 426
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Summary

SMLE trading today higher at Rp168, an increase of 2.439% from yesterday's close, completing a monthly increase of 76.8421% or Rp73. Over the past 12 months, SMLE stock gained 1.8182%.
SMLE pays dividends to its shareholders, with the most recent payment made on Mar 22, 2024. The next estimated payment will be in 22 Jun 2024 on Jun 22, 2024 for a total of Rp0.1135.
The stock of the company had never split.
The company's stock is traded on 2 different exchanges and in various currencies, with the primary listing on ARCA (USD).

SMLE Chart

Sinergi Multi Lestarindo Tbk (SMLE) FAQ

What is the stock price today?

The current price is Rp168.00.

On which exchange is it traded?

Sinergi Multi Lestarindo Tbk is listed on IDX.

What is its stock symbol?

The ticker symbol is SMLE.

Does it pay dividends? What is the current yield?

Yes, It pays dividends and the current yield is 0.45%.

What is its market cap?

As of today, no market cap data is available.

Has Sinergi Multi Lestarindo Tbk ever had a stock split?

No, there has never been a stock split.

Sinergi Multi Lestarindo Tbk Profile

- Industry
- Sector
- CEO
IDX Exchange
ID1000201205 ISIN
US Country
- Employees
- Last Dividend
- Last Split
- IPO Date

Overview

This company manages an investment fund that specifically targets small-cap companies within the S&P SmallCap 600 Index, adhering to a strategic approach that incorporates Environmental, Social, and Governance (ESG) criteria into its investment process. The objective of the fund is to invest in a substantial portion of the market, aiming to cover 75% of the float-adjusted market capitalization of each Global Industry Classification Standard (GICS) Industry Group present within the S&P SmallCap 600 Index. This investment selection is guided by the ESG scores assigned to the companies by the index provider. The fund commits to investing at least 80% of its total assets in the securities that are part of the index, although in practice, the actual percentage is often much higher. This approach underscores the company’s dedication to promoting responsible investing by prioritizing companies that score well on ESG metrics, reflecting a commitment to ethical practices, sustainability, and corporate responsibility.

Products and Services

  • ESG-Driven Investment Fund

    This fund targets small-cap companies within the S&P SmallCap 600 Index, focusing on investing according to Environmental, Social, and Governance (ESG) criteria. Investments are selected based on the ESG scores provided by the index provider, emphasizing the fund's commitment to responsible investment principles. This strategic focus is designed to achieve growth by concentrating on companies that adhere to high standards of corporate responsibility, sustainability, and ethical practices.

  • Float-Adjusted Market Capitalization Approach

    The investment strategy includes targeting 75% of the float-adjusted market capitalization of each GICS Industry Group within the S&P SmallCap 600 Index. Float-adjusted market capitalization considers the proportion of shares freely available for trading by the public, excluding locked-in shares held by insiders and governments. This method ensures a realistic assessment of each company’s market value, providing a fair and equitable evaluation for investment selection.

Contact Information

Address: -
Phone: NA