LND Treasury

Laundrify Group - Treasury Intelligence Unit

Institutional-Grade Treasury for Real Asset Backed Growth

Unified capital intelligence across Detindo, Laundrify OS, SPOT, and Directory. This page demonstrates investor communication format, financial KPI presentation, and pre-IPO style narrative using dummy metrics.

Ecosystem Valuation

Rp 128.4B

+18.6% YoY

LND Reference Price

Rp 12,840

+2.14% intraday

Free Cash Flow Runrate

Rp 2.74B

+31.2% QoQ

Treasury Liquidity Buffer

8.7 Mo

Coverage Ratio

Asset Growth Curve

12-quarter cumulative asset projection (dummy dataset)

Total Assets Total Equity

Pillar Contribution

Net value contribution split by business pillar

Detindo38%
Laundrify OS24%
SPOT Marketplace29%
Directory/HUB9%

Capital Efficiency

Operating quality snapshot

  • ROE17.8%
  • ROA10.3%
  • Net Margin14.9%
  • Debt / Equity0.41x
  • Current Ratio2.7x
  • Interest Coverage9.2x

Fundamental Analysis Snapshot

Illustrative ratio panel modeled in public market style communication

Metric Current 1Y Ago Interpretation
P/E Ratio 18.4x 22.1x Valuation normalized with stronger earnings quality
P/BV Ratio 2.7x 2.1x Higher premium as book value compounds and risk drops
EV/EBITDA 9.6x 11.3x Operational leverage starting to materialize
Dividend Yield 3.4% 2.2% Balanced cash return policy with growth reserve
EPS Growth +27.8% +11.4% Margin expansion from integrated ecosystem execution

Dividend Track Record

Pro-forma annual payout progress

FY2218%payout ratio
FY2324%payout ratio
FY2429%payout ratio
FY25E33%payout ratio

Valuation Methodology

Illustrative blended framework for internal treasury communication

Base Value = (0.42 x SPOT_GTV) + (0.33 x Detindo_Production_NPV) + (0.17 x OS_ARR_Multiple) + (0.08 x HUB_Network_Value) LND Ref Price = Base Value / Circulating LND Units x Liquidity Factor x Governance Discount

Growth Assumption

SPOT GTV CAGR set at 23% with conservative seasonality stress.

Risk Adjustment

Governance discount ranges 0.87 to 0.95 depending on audit confidence score.

Dividend Policy

Target payout corridor 28% to 35% post-liquidity reserve coverage.

Valuation Momentum

Quarterly valuation movement

EPS Momentum

Earnings consistency trend

Dividend per Unit

Payout growth per year

Investor Documents

Standard disclosure stack for institutional and strategic investors

Prospectus Draft v0.9

LND Treasury Offering Overview

Updated: 10 May 2026

Quarterly Letter

Management Commentary Q1 2026

Updated: 03 May 2026

Audit Summary

Internal Control & Ledger Assurance

Updated: 29 Apr 2026

Risk Memo

Liquidity, Operational, and Governance Risks

Updated: 06 May 2026

Risk Factors

Top monitored risk exposures

  • Liquidity ConcentrationMedium
  • Counterparty RiskLow
  • Operational ContinuityMedium
  • Regulatory ShiftWatchlist

Corporate Actions

Timeline preview

  1. Q2 2026: Treasury dashboard public rollout
  2. Q3 2026: Assisted subscription launch
  3. Q4 2026: External assurance publication
  4. Q1 2027: Governance upgrade to institutional standard

Pre-IPO Readiness Index

Governance, audit trail, liquidity, and reporting controls are scored on a quarterly basis for institutional due diligence readiness.

Composite Score 84 / 100 Target 90 by FY26 Q4