IMPP Cuplikan Saham Harga, kapitalisasi pasar, P/E, EPS, ROE, utang/ekuitas, kisaran 52 minggu

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Harga $5.38
Kapitalisasi Pasar $240M
P/E 4.2
EPS $1.29
Pendapatan $161M
ROE 10.5%
Rentang 52M $3–$7

IMPP Grafik Harga Saham OHLCV harian dengan indikator teknis — geser, perbesar, dan sesuaikan tampilan Anda

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rentang
batang

Granularitas batang menyesuaikan dengan periode yang dipilih — arahkan kursor ke bagan untuk melihat buka/tinggi/rendah/tutup untuk sebuah batang.

Pemecahan saham 1
Tanggal ex-dividen Pemecahan Tipe
28 April 2023 1-for-15 Terbalik

Kinerja 10 Tahun Tren Pendapatan, laba bersih, margin, dan EPS

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Pendapatan$161M
2019-12-31 → 2025-12-31
EPS$1.29
2020-12-31 → 2025-12-31
Margin bersih31.0%
2021-12-31 → 2025-12-31
Valuasi & Rasio 07–12

Valuasi Rasio P/E, P/S, P/B, EV/EBITDA — apakah sahamnya mahal atau murah?

Metrik Tren 5 Tahun IMPP rata-rata 5T Median Rekan Kesimpulan
P/E 4.2rata-rata 5T ≈0.9 ≈0.9 4.3 Kurang nilai
P/S 1.5rata-rata 5T ≈3.6 ≈3.6 0.8 Terlalu mahal
P/B 0.5rata-rata 5T ≈1.0 ≈1.0 0.4 Kurang nilai
Price / Cash Flow (Harga / Arus Kas) 3.0rata-rata 5T ≈10.2 ≈10.2 2.3 Kurang nilai
Price / Tangible Book (Harga / Nilai Buku Berwujud) 0.5rata-rata 5T ≈1.0 ≈1.0 · ·

Median rekan dihitung berdasarkan basis standar per metrik dan mungkin tidak selalu cocok dengan basis TTM/MRQ yang ditampilkan untuk saham ini.

nilai · ≈ rata-rata 5T · median industri · penilaian relatif terhadap median

Riwayat Pendapatan EPS aktual vs perkiraan, kejutan %, tingkat keberhasilan, tanggal pendapatan berikutnya

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Kejutan Rata-rata 268.5%
PeriodeLaporanEPS AktualEPS EstimasiKejutan
30 Juni 2026 Sep 10, 2026 $0.70 $0.74 -6.0%
31 Maret 2026 Mei 22, 2026 $0.57 $0.35 64.4%
31 Des. 2025 $0.35 $0.35 0.92%
30 Sep. 2025 $0.29 $0.11 158.5%
30 Juni 2025 $0.35 $0.04 757.8%
31 Maret 2025 $0.30 $0.04 635.3%

Fundamental Lengkap Semua metrik per tahun — laporan laba rugi, neraca, arus kas

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Laporan Laba Rugi 13
Metrik Tren 202520242023202220212020
Revenue $161M$147M$184M$97M$17M$20M
SG&A Expense $5M$5M$5M$2M$614.8K$219.7K
Operating Expenses $38M$26M$26M$16M$7M$7M
Operating Income $40M$44M$66M$30M$-3M$-355.4K
Interest Expense ··$2M$2M$145.0K$10.0K
Interest Income $0$2M$1M$0$0$108
Other Non-op $10M$6M$5M$-308.5K$-154.0K$-38.4K
Net Income $50M$50M$71M$30M$-4M$-393.8K
EPS (Basic) $1.35$1.54$3.22$2.89$-11.87$-0.08
EPS (Diluted) $1.29$1.40$2.93$2.88$-11.87$-0.08
Shares (Basic) 34,499,90929,933,92018,601,5398,559,000318,3514,775,272
Shares (Diluted) 36,230,22133,010,41922,933,6718,593,575318,3514,775,272
EBITDA $40M$44M$66M$30M$-3M·
Neraca 23
Metrik Tren 202520242023202220212020
Cash & Equivalents $6M$68M$92M$51M$3M$6M
Receivables $13M$13M$13M$8M$1M$665.9K
Inventory $5M$7M$7M$6M$258.8K$836.0K
Prepaid Expense $245.0K$250.6K$161.9K$172.9K$150.5K$139.6K
Other Current Assets $1M$652.8K$302.8K$240.0K$0$173.9K
Current Assets $199M$228M$183M$134M$6M$9M
PP&E (Net) $335M$208M$181M$226M$120M$129M
PP&E (Gross) $489M$336M$292M$350M$232M$232M
Accum. Depreciation $154M$128M$111M$124M$112M$103M
Total Assets $547M$450M$377M$366M$128M$138M
Accounts Payable $6M$5M$8M$8M$1M$1M
Accrued Liabilities $4M$3M$3M$3M$486.7K$390.9K
Current Liabilities $17M$29M$15M$24M$9M$4M
Total Liabilities $17M$29M$15M$84M$32M$4M
Long-term Debt ··$0$70M$28M·
Total Debt ··$0$70M$28M·
Common Stock $489.0K$382.8K$332.6K$129.7K$47.8K·
Paid-in Capital $344M$283M$270M$253M$97M·
Retained Earnings $194M$146M$98M$29M$-471.6K·
Treasury Stock $8M$8M$6M$0··
Stockholders' Equity $531M$421M$362M$282M$97M$134M
Liabilities + Equity $547M$450M$377M$366M$128M$138M
Shares Outstanding 44,648,73734,023,63529,812,75512,972,3584,775,2720
Arus Kas 8
Metrik Tren 202520242023202220212020
Operating Cash Flow $81M$78M$80M$41M$5M$9M
Investing Cash Flow $-35M$-107M$12M$-187M$-142.6K$-728.0K
Debt Issued ··$0$48M$28M$0
Net Debt Issued $0$0$-70M$42M$28M·
Stock Repurchased $0$3M$6M···
Net Stock Activity $0$-3M$-6M···
Financing Cash Flow $-108M$5M$-57M$197M$-6M$-9M
Net Change in Cash $-62M$-24M$34M$51M$-1M$-1M
Profitabilitas 5
Metrik Tren 202520242023202220212020
Operating Margin 24.8%29.9%35.9%30.7%-20.1%·
Net Margin 31.0%34.0%38.7%30.4%-21.0%·
EBITDA Margin 24.8%29.9%35.9%30.7%-20.1%·
ROA 10.0%12.1%19.2%11.9%-2.7%·
ROE 10.5%12.8%22.1%15.6%-3.1%·
Likuiditas & Solvabilitas 5
Metrik Tren 202520242023202220212020
Current Ratio 12.07.912.65.50.7·
Quick Ratio 1.22.87.32.40.6·
Debt / Equity ··0.00.20.3·
LT Debt / Equity ··0.00.20.2·
Interest Coverage ··36.218.5-24.0·
Efisiensi 2
Metrik Tren 202520242023202220212020
Asset Turnover 0.30.40.50.40.1·
Receivables Turnover 12.010.917.220.916.8·
Per Saham 5
Metrik Tren 202520242023202220212020
Book Value / Share $11.89$12.36$12.15$1.45$20.26·
Revenue / Share $4.44$4.47$8.01$0.75··
Cash Flow / Share $2.23$2.35$3.47$0.32··
Cash / Share $0.13$1.99$3.08$0.26$0.71·
EPS (TTM) $1.29$1.40$2.93$2.88$-11.87·
Valuasi (TTM) 12
Metrik Tren 202520242023202220212020
Revenue TTM $161M$147M$184M$97M$17M·
Net Income TTM $50M$50M$71M$30M$-4M·
Market Cap $162M$102M$79M$703M$153M·
Enterprise Value ··$-13M$722M$178M·
P/E 2.82.10.91.3-2.7·
P/S 1.00.70.47.38.8·
P/B 0.30.20.22.51.6·
P / Tangible Book 0.30.20.22.51.6·
P / Cash Flow 2.01.31.017.229.3·
EV / EBITDA ··-0.224.2-51.0·
EV / Revenue ··-0.17.410.2·
Earnings Yield 35.6%46.5%111.0%79.7%-37.0%·

Periode terbaru di sebelah kiri · nilai null ditampilkan sebagai ·

Laporan Keuangan Laporan laba rugi, neraca, arus kas — tahunan, 5 tahun terakhir

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Metrik 2025-12-312024-12-312023-12-312022-12-312021-12-31
Pendapatan $161M $147M $184M $97M $17M
Margin Operasi % 24.8% 29.9% 35.9% 30.7% -20.1%
Laba Bersih $50M $50M $71M $30M $-4M
EPS Dilusian $1.29 $1.40 $2.93 $2.88 $-11.87

Pemilik institusional (13F) 76 pengaju · $63.5M total · Per tanggal 30 Juni 2026

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Institusi yang melaporkan kepemilikan saham ini dalam SEC Form 13F triwulanan mereka. Hanya posisi panjang; satu pengaju dapat muncul dua kali untuk leg opsi terpisah. Kaki put/call offset yang besar biasanya mencerminkan pembuatan pasar atau inventaris yang dilindungi, bukan keyakinan arah.

Pemegang 76
Nilai yang dipegang $63.5M
Posisi baru 14
Posisi yang keluar 11
Aktivitas institusional — Q2 2026 vs kuartal sebelumnya
Posisi baru Posisi yang keluar Meningkat Menurun Perubahan bersih saham
14 (-9 vs Kuartal sebelumnya) 11 (0 vs Kuartal sebelumnya) 29 (+2 vs Kuartal sebelumnya) 19 (+1 vs Kuartal sebelumnya) -849K

Dibandingkan dengan Q1 2026. Pengajuan Formulir 13F SEC jatuh tempo dalam waktu 45 hari setelah akhir kuartal ditambah kelonggaran singkat untuk pengaju terlambat — kuartal yang masih dalam jangka waktu tersebut dilewati demi pasangan terakhir yang dilaporkan sepenuhnya.

Institusi Nilai Saham % dari 13F yang dilacak Tipe
Anson Funds Management LP $7.286.059 1.580.490 11,47% Saham
SUSQUEHANNA INTERNATIONAL GROUP, LLP $3.773.285 818.500 5,94% Opsi beli
Deuterium Capital Management, LLC $3.641.900 790.000 5,73% Saham
SUSQUEHANNA INTERNATIONAL GROUP, LLP $3.121.431 677.100 4,91% Opsi jual
RENAISSANCE TECHNOLOGIES LLC $2.980.572 646.545 4,69% Saham
MARSHALL WACE, LLP $2.906.591 630.497 4,57% Saham
PEAK6 LLC $2.780.282 603.098 4,38% Saham
TWO SIGMA INVESTMENTS, LP $2.391.816 518.832 3,76% Saham
BNP PARIBAS FINANCIAL MARKETS $2.380.931 516.471 3,75% Saham
Caption Management, LLC $2.305.000 500.000 3,63% Opsi beli
Caption Management, LLC $2.305.000 500.000 3,63% Opsi jual
JANE STREET GROUP, LLC $2.267.977 491.969 3,57% Saham
Empowered Funds, LLC $1.837.371 398.562 2,89% Saham
Farther Finance Advisors, LLC $1.833.397 397.700 2,89% Saham
MILLENNIUM MANAGEMENT LLC $1.752.713 380.198 2,76% Saham
JPMORGAN CHASE & CO $1.623.384 340.332 2,55% Saham
Squarepoint Ops LLC $1.548.693 335.942 2,44% Saham
Point72 Asset Management, L.P. $1.432.530 310.744 2,25% Saham
MORGAN STANLEY $1.420.365 308.105 2,24% Saham
SUSQUEHANNA INTERNATIONAL GROUP, LLP $1.413.675 306.654 2,22% Saham
WINTON GROUP Ltd $1.319.073 286.133 2,08% Saham
Centiva Capital, LP $1.032.516 223.973 1,62% Saham
COMMONS CAPITAL, LLC $1.026.297 222.624 1,62% Saham
UBS Group AG $795.967 172.661 1,25% Saham
CITADEL ADVISORS LLC $693.782 150.495 1,09% Saham
TOWERVIEW LLC $599.300 130.000 0,94% Saham
SIMPLEX TRADING, LLC $568.634 123.348 0,89% Saham
Allegheny Financial Group $517.514 112.259 0,81% Saham
Susquehanna Portfolio Strategies, LLC $479.030 103.911 0,75% Saham
CITADEL ADVISORS LLC $467.454 101.400 0,74% Opsi beli
CITADEL ADVISORS LLC $439.333 95.300 0,69% Opsi jual
Schonfeld Strategic Advisors LLC $380.392 82.515 0,60% Saham
Walleye Trading LLC $370.644 80.400 0,58% Opsi beli
NewEdge Advisors, LLC $327.299 70.998 0,52% Saham
Qube Research & Technologies Ltd $282.261 61.228 0,44% Saham
WOLVERINE TRADING, LLC $265.914 56.100 0,42% Opsi beli
State of Wyoming $263.858 57.236 0,42% Saham
Focus Partners Wealth $256.795 55.704 0,40% Saham
DGS Capital Management, LLC $240.686 56.235 0,38% Saham
Arax Advisory Partners $207.162 44.938 0,33% Saham
JANE STREET GROUP, LLC $199.613 43.300 0,31% Opsi beli
Cubist Systematic Strategies, LLC $195.731 40.948 0,31% Saham
R Squared Ltd $175.429 38.054 0,28% Saham
JANE STREET GROUP, LLC $147.059 31.900 0,23% Opsi jual
WOLVERINE TRADING, LLC $142.200 30.000 0,22% Opsi jual
IMC-Chicago, LLC $127.116 27.574 0,20% Saham
Independent Advisor Alliance $111.936 24.281 0,18% Saham
GEODE CAPITAL MANAGEMENT, LLC $104.771 22.727 0,16% Saham
Toroso Investments, LLC $97.935 27.054 0,15% Saham
GOLDMAN SACHS GROUP INC $97.691 21.191 0,15% Saham

Tampilkan semua 76 pemilik institusional →

Aktivis & pemilik 5%+ 2 saham

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Investor yang mengajukan Jadwal 13D SEC — kepemilikan manfaat di atas 5% dengan niat untuk memengaruhi penerbit (kepemilikan aktivis, kampanye dewan, M&A). Setiap baris menunjukkan status terbaru yang diketahui dari posisi pengaju tersebut.

Pengaju Diajukan Kepemilikan Status Tujuan Pengajuan
Flawless Management Inc., Arethusa Properties LTD, Harry N. Vafias ×13 pengajuan 3 Des. 2025 29,60% Amandemen Investasi pasif SEC
Galloway Capital Partners, LLC, Bruce Galloway ×3 pengajuan 11 Okt. 2023 · Pengajuan awal Investasi pasif SEC

Purpose is an automated classification of the filer's own stated purpose (SEC Item 4) — not investment advice. "—" means no clear purpose was stated or the text could not be classified.

IMPP Konsensus Analis Opini analis bullish dan bearish, target harga 12 bulan, potensi kenaikan

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peringkat · 7 analis BELI
Target median $9.00 +67,3%
2 28,6% Beli Kuat
4 57,1% Beli
1 14,3% Tahan
0 0,0% Jual
0 0,0% Jual Kuat

Target Harga 12 Bulan

1 analis · 2026-10-03

Target rata-rata $9.00 +67,3%

Rendah$9.00 Rata-rata$9.00 Tinggi$9.00

Perbandingan rekan (sub-industri GICS) Metrik utama vs rekan sektor

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Dasar FY, harga per penutupan akhir tahun fiskal terakhir setiap perusahaan.

Ticker Kapitalisasi Pasar P/E Pendapatan YoY Margin Bersih ROE Margin Kotor
IMPP $162M 2.8 · 31.0% 10.5% ·
ECO · 9.0 · 31.4% 25.0% ·
TEN $675M 5.0 · 20.2% 9.1% ·
GASS $261M 4.3 · 35.0% 9.2% ·
HMR $46M -2.0 · -40.4% -156.0% ·
RUBI $412.5K 0.0 · 11.2% 6.6% ·

Sinyal Perdagangan Sinyal beli/jual terbaru dengan harga masuk dan rasio risiko/imbalan

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Tidak ada sinyal terbuka saat ini — tidak ada kartu yang terisi, dan itu jujur.

Metrik Saya Daftar pantauan pribadi Anda — baris yang dipilih dari Fundamental Lengkap

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Pilih metrik yang penting bagi Anda — klik + di sebelah baris mana pun di Fundamental Lengkap di atas.

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Sumber: SEC 20-F diajukan Apr 29, 2026