Indofood Agri Resources Ltd. is a leading agribusiness company in Indonesia, primarily engaged in the production of palm oil, packaged foods, and agricultural products. The company's competitive position is bolstered by its extensive plantation assets, which cover approximately 300,000 hectares, and its integrated supply chain that enhances cost efficiency and product quality.
Indofood Agri generates revenue through the cultivation and processing of palm oil, which is sold both domestically and internationally. The company benefits from strong pricing power due to its scale and established brand presence in the Indonesian market. Its integrated operations allow for cost efficiencies and higher margins compared to competitors.
Fluctuations in palm oil prices, which directly impact revenue and margins
Changes in consumer demand for packaged foods in Indonesia
Regulatory changes affecting palm oil production and exports
Currency fluctuations, particularly the USD/IDR exchange rate
Long-term regulatory changes impacting palm oil sustainability and production practices
Environmental risks associated with palm oil cultivation, including deforestation concerns
Increasing competition from other palm oil producers in Southeast Asia
Potential market share loss to alternative oils and plant-based products
Moderate financial risk due to exposure to commodity price volatility
Liquidity risks if cash flow generation does not meet operational needs
high - The company's performance is closely linked to GDP growth in Indonesia, as consumer spending on packaged foods tends to rise with economic expansion.
Moderate - Rising interest rates could increase financing costs for expansion projects, but the company’s current debt levels are manageable.
minimal - The company has a manageable debt-to-equity ratio of 0.57, indicating limited reliance on external credit.
value - The company's low valuation multiples (P/S of 0.5x) and strong cash flow generation appeal to value investors.
moderate - The stock has shown stable performance with a 1-year return of 21%, indicating moderate volatility.