Analysis of Financial Statementss in the Consumer Goods Sector at PT Unilever Indonesia Tbk for the 2015-2024 Periode

Authors

  • Haady Rafi Sadimo Pamulang University, Management Study Program

Keywords:

Rasio Likuiditas, Solvabilitas,

Abstract

This study aims to determine the financial performance of PT. Unilever Indonesia Tbk from 2016 to 2024, measured using liquidity and solvency ratios. The data used in this study are the financial statements of PT. Unilever Indonesia Tbk from 2015 to 2024. The analysis method applied is a quantitative descriptive method, with the aim of describing the company's financial condition based on the value of financial ratios for each year from 2015 to 2024. The results of the study show that during the observation period, the company's liquidity condition will be analyzed to see fluctuations and adequacy levels. Solvency ratios will be examined to identify trends in capital structure and debt burdens in recent years. Overall, this study is expected to provide a comprehensive overview of the financial performance of PT. Unilever Indonesia Tbk and provide strategic recommendations for improving asset management effectiveness and cost efficiency to strengthen future profitability.

Downloads

Published

2025-12-19