Status: OK; Currency: IDR; Amounts unit: millions; Forms: ✓ ✓ ✓
Дата публикации отчёта: Не сохранена для этого периода — укажите financial_report_date в строке (EDGAR filingDate, KASE change_date или manual_catalog).
Full financial report: Отчёт (PDF)
PDF (local): data/raw_pdfs/ID_ANTM/2024-03-31_Q1_ANTM_Q1_2024.pdf
Чтобы заново выполнить поиск форм и превью из PDF, откройте эту ссылку Основная ссылка запускает пересчёт в фоне: панель статуса, затем готовая страница. Тяжёлый режим с refresh по умолчанию тоже в фоне (иначе прокси даёт 502). &sync=1 — только для одного долгого синхронного ответа (не рекомендуется). Можно ?refresh=1, ?recalc=1, ?nocache=1 или ?recompute=1. (дождаться в браузере: синхронное обновление)
Значения метрик приведены к единицам дашборда, где это применимо; в колонке evidence — сохранённый фрагмент из текстового слоя PDF или OCR на этапе извлечения.
| Metric | Value | Evidence / page extract |
|---|---|---|
| Выручка | 8 620.87 | — |
| Опер. прибыль | -491.19 | Row: (Rugi)/laba sebelum pajak penghasilan; (56,702); 868,628; (Loss)/profit before income tax · dashboard=-491.193 mln · pages 71 — [PL page 71] (Rugi)/laba sebelum pajak penghasilan | (56,702) | 868,628 | (Loss)/profit before income tax |
| Аморт. и износ | 386.7 | Row: Depresiasi dan amortisasi; (2,106); (5,210); Depreciation and amortisation · dashboard=386.700 mln · pages 71 — [DA CF page 71] Depresiasi dan amortisasi | (2,106) | (5,210) | Depreciation and amortisation |
| EBITDA | -104.5 | Row: operating_profit + da (mln) · dashboard=-104.500 mln — operating_profit + da (mln) |
| Чистая прибыль | 238.37 | Row: (Rugi)/laba bersih; (56,702); 668,961; Net (loss)/profit (after income tax row) · dashboard=238.374 mln · pages 71 — [PL page 71] (Rugi)/laba bersih | (56,702) | 668,961 | Net (loss)/profit (after income tax row) |
| Cash | 11 857.05 | Row: Kas dan setara kas; 867,125; 723,942; Cash and cash equivalents · dashboard=11,857.047 mln · pages 71 — [BS page 71] Kas dan setara kas | 867,125 | 723,942 | Cash and cash equivalents |
| Debt short | 724.67 | Row: not found · dashboard=724.668 mln · pages 71 — [BS page 71] not found |
| Debt long | 857.05 | Row: not found · dashboard=857.046 mln · pages 71 — [BS page 71] not found |
| Чистый долг | -10 275.33 | Компоненты: краткосрочный долг 724.67 + долгосрочный 857.05 + прочие фин. обязательства 0 + доля НКУ 0 − денежные средства 11 857.05 = чистый долг -10 275.33.Row: debt_short + debt_long + other_financial_liabilities + non_controlling_interest − cash (from row components) · dashboard=-10,275.333 mln — debt_short + debt_long + other_financial_liabilities + non_controlling_interest − cash (from row components) |
| Операц. ДДС | -1 438.56 | Row: Arus kas bersih dari aktivitas operasi; 143,183; 685,790; Net cash flows from operating activities · dashboard=-1,438.559 mln · pages 71 — [CF page 71] Arus kas bersih dari aktivitas operasi | 143,183 | 685,790 | Net cash flows from operating activities |
| Инвест. ДДС | 5 017.17 | Row: Arus kas bersih dari aktivitas investasi; (18,729); Net cash flows from investing activities · dashboard=5,017.173 mln · pages 71 — [CF page 71] Arus kas bersih dari aktivitas investasi | - | (18,729) | Net cash flows from investing activities |
| Активы | 41 213.79 | — |
| Капитал | 30 937.79 | — |
| ✓ | Балансовое тождество (A = L + E) | Implied total liabilities (TA − TE) = 10,276; known debt components fit within that envelope. |
| ✓ | Формула чистого долга | net_debt -10,275 matches |debt_short|+|debt_long|+|other|+|NCI|−|cash| = -10,275. |
| ✓ | EBITDA = OP + D&A | EBITDA (-104) ≈ OP (-491) + D&A (387) = -104. |
| ⚠ | Чистая прибыль vs операционная | Operating loss (-491) but net profit (238) — non-operating gain dominated; verify column mapping. |
| ✓ | Денежные средства ≤ активов | Cash (11,857) ≤ total assets (41,214). |
| ✓ | subtotal_BS_J umlah aset lancar 926,909 1,083,049 Total curr | J umlah aset lancar 926,909 1,083,049 Total current assets: Σ detail = 928,933, reported 926,909, diff +2,024 (0.2%, 3 lines). |
| ✓ | subtotal_BS_J umlah liabilitas lancar 203,771 305,447 Tota | J umlah liabilitas lancar 203,771 305,447 Total current liabilities: Σ detail = 203,771, reported 203,771, diff +0 (0.0%, 2 lines). |
| Form | Pages |
|---|---|
| P&L | 71 |
| BS | 71 |
| CF | 10 |
Подсветка Жёлтая строка — совпадение с evidence; оранжевая ячейка — точное число, взятое для метрики (наведите на строку). Выручка Опер. прибыль Аморт. и износ EBITDA Чистая прибыль cash debt_short debt_long Активы Капитал Операц. ДДС Инвест. ДДС
Зелёная / янтарная / красная полоса у подписи строки — итог/субитог, где сумма детальных строк сравнивается с числом в отчёте (эвристика). Под каждой таблицей — список проверок (Σ строк vs отчёт, статус).
Извлечённые метрики по этой форме (строка периода)
| Показатель | Значение |
|---|---|
| Выручка | 8 620.87 |
| Опер. прибыль | -491.19 |
| EBITDA | -104.5 |
| Чистая прибыль | 238.37 |
| Аморт. и износ | 386.7 |
| # | Joined label | Line item | 2024 | 2023 | Summarised statement of → Cash an… |
|---|---|---|---|---|---|
| 0 | March 2024 December 2023 | March 2024 | December 2023 | ||
| 1 | Ringkasan laporan Summarised statement of | Ringkasan laporan | Summarised statement of | ||
| 2 | posisi keuangan financial position | posisi keuangan | financial position | ||
| 3 | Kas dan setara kas 867,125 723,942 Cash and cash equivalents | Kas dan setara kas | 867,125 | 723,942 | Cash and cash equivalents |
| 4 | Aset lancar lain-lain (kecuali kas) 59,784 359,107 Other current assets (excluding cash) | Aset lancar lain-lain (kecuali kas) | 59,784 | 359,107 | Other current assets (excluding cash) |
| 5 | J umlah aset lancar 926,909 1,083,049 Total current assets | J umlah aset lancar | 926,909 | 1,083,049 | Total current assets |
| 6 | L iabilitas keuangan Financial liabilities | L iabilitas keuangan | Financial liabilities | ||
| 7 | (kecuali utang usaha) 31,055 80,042 (excluding trade payables) | (kecuali utang usaha) | 31,055 | 80,042 | (excluding trade payables) |
| 8 | Liabilitas lancar lain-lain Other current liabilities | Liabilitas lancar lain-lain | Other current liabilities | ||
| 9 | (termasuk utang usaha) 172,716 225,405 (including trade payables) | (termasuk utang usaha) | 172,716 | 225,405 | (including trade payables) |
| 10 | J umlah liabilitas lancar 203,771 305,447 Total current liabilities | J umlah liabilitas lancar | 203,771 | 305,447 | Total current liabilities |
| 11 | Jumlah aset tidak lancar 363,051 361,330 Total non-current assets | Jumlah aset tidak lancar | 363,051 | 361,330 | Total non-current assets |
| 12 | Jumlah liabilitas tidak lancar 76,637 72,678 Total non-current liabilities | Jumlah liabilitas tidak lancar | 76,637 | 72,678 | Total non-current liabilities |
| 13 | A set bersih 1,009,552 1,066,254 Net assets | A set bersih | 1,009,552 | 1,066,254 | Net assets |
| 14 | R ingkasan laporan laba rugi Summarised statement of profit or loss | R ingkasan laporan laba rugi | Summarised statement of profit or loss | ||
| 15 | dan penghasilan komprehensif lain and other comprehensive income | dan penghasilan komprehensif lain | and other comprehensive income | ||
| 16 | Pendapatan 6,827 1,551,861 Revenue | Pendapatan | 6,827 | 1,551,861 | Revenue |
| 17 | Depresiasi dan amortisasi (2,106) (5,210) Depreciation and amortisation | Depresiasi dan amortisasi | (2,106) | (5,210) | Depreciation and amortisation |
| 18 | Pendapatan keuangan 8,566 8,432 Finance income | Pendapatan keuangan | 8,566 | 8,432 | Finance income |
| 19 | Beban keuangan 193 (4,214) Finance costs | Beban keuangan | 193 | (4,214) | Finance costs |
| 20 | (Rugi)/laba sebelum pajak penghasilan (56,702) 868,628 (Loss)/profit before income tax | (Rugi)/laba sebelum pajak penghasilan | (56,702) | 868,628 | (Loss)/profit before income tax |
| 21 | B eban pajak penghasilan - (199,667) Income tax expense | B eban pajak penghasilan | - | (199,667) | Income tax expense |
| 22 | (Rugi)/laba bersih (56,702) 668,961 Net (loss)/profit | (Rugi)/laba bersih | (56,702) | 668,961 | Net (loss)/profit |
| 23 | Penghasilan komprehensif lain - 9 Other comprehensive income | Penghasilan komprehensif lain | - | 9 | Other comprehensive income |
| 24 | Jumlah laba komprehensif (56,702) 668,970 Total comprehensive income | Jumlah laba komprehensif | (56,702) | 668,970 | Total comprehensive income |
| 25 | R ingkasan laporan arus kas Summarised cash flows | R ingkasan laporan arus kas | Summarised cash flows | ||
| 26 | Arus kas bersih dari aktivitas operasi 143,183 685,790 Net cash flows from operating activities | Arus kas bersih dari aktivitas operasi | 143,183 | 685,790 | Net cash flows from operating activities |
| 27 | Arus kas bersih dari aktivitas investasi - (18,729) Net cash flows from investing activities | Arus kas bersih dari aktivitas investasi | - | (18,729) | Net cash flows from investing activities |
| 28 | Arus kas bersih dari aktivitas pendanaan - (1,892) Net cash flows from financing activities | Arus kas bersih dari aktivitas pendanaan | - | (1,892) | Net cash flows from financing activities |
| 29 | Net increase in cash | Net increase in cash | |||
| 30 | Kenaikan bersih kas dan setara kas 143,183 665,169 and cash equivalents | Kenaikan bersih kas dan setara kas | 143,183 | 665,169 | and cash equivalents |
| 31 | Cash and cash equivalents | Cash and cash equivalents | |||
| 32 | Kas dan setara kas pada awal periode 723,942 58,773 at the beginning of the period | Kas dan setara kas pada awal periode | 723,942 | 58,773 | at the beginning of the period |
| 33 | Cash and cash equivalents | Cash and cash equivalents | |||
| 34 | I Kas dan setara kas pada akhir periode 867,125 723,942 at the end of the period | I Kas dan setara kas pada akhir periode | 867,125 | 723,942 | at the end of the period |
No subtotal/total rows matched the built-in patterns on this table (or fewer than two detail lines above each candidate).
Извлечённые метрики по этой форме (строка периода)
| Показатель | Значение |
|---|---|
| Cash | 11 857.05 |
| Debt Short | 724.67 |
| Debt Long | 857.05 |
| Активы | 41 213.79 |
| Капитал | 30 937.79 |
| Чистый долг | -10 275.33 |
| # | Joined label | Line item | 2024 | 2023 | Summarised statement of → Cash an… |
|---|---|---|---|---|---|
| 0 | March 2024 December 2023 | March 2024 | December 2023 | ||
| 1 | Ringkasan laporan Summarised statement of | Ringkasan laporan | Summarised statement of | ||
| 2 | posisi keuangan financial position | posisi keuangan | financial position | ||
| 3 | Kas dan setara kas 867,125 723,942 Cash and cash equivalents | Kas dan setara kas | 867,125 | 723,942 | Cash and cash equivalents |
| 4 | Aset lancar lain-lain (kecuali kas) 59,784 359,107 Other current assets (excluding cash) | Aset lancar lain-lain (kecuali kas) | 59,784 | 359,107 | Other current assets (excluding cash) |
| 5 | J umlah aset lancar 926,909 1,083,049 Total current assets | J umlah aset lancar | 926,909 | 1,083,049 | Total current assets |
| 6 | L iabilitas keuangan Financial liabilities | L iabilitas keuangan | Financial liabilities | ||
| 7 | (kecuali utang usaha) 31,055 80,042 (excluding trade payables) | (kecuali utang usaha) | 31,055 | 80,042 | (excluding trade payables) |
| 8 | Liabilitas lancar lain-lain Other current liabilities | Liabilitas lancar lain-lain | Other current liabilities | ||
| 9 | (termasuk utang usaha) 172,716 225,405 (including trade payables) | (termasuk utang usaha) | 172,716 | 225,405 | (including trade payables) |
| 10 | J umlah liabilitas lancar 203,771 305,447 Total current liabilities | J umlah liabilitas lancar | 203,771 | 305,447 | Total current liabilities |
| 11 | Jumlah aset tidak lancar 363,051 361,330 Total non-current assets | Jumlah aset tidak lancar | 363,051 | 361,330 | Total non-current assets |
| 12 | Jumlah liabilitas tidak lancar 76,637 72,678 Total non-current liabilities | Jumlah liabilitas tidak lancar | 76,637 | 72,678 | Total non-current liabilities |
| 13 | A set bersih 1,009,552 1,066,254 Net assets | A set bersih | 1,009,552 | 1,066,254 | Net assets |
| 14 | R ingkasan laporan laba rugi Summarised statement of profit or loss | R ingkasan laporan laba rugi | Summarised statement of profit or loss | ||
| 15 | dan penghasilan komprehensif lain and other comprehensive income | dan penghasilan komprehensif lain | and other comprehensive income | ||
| 16 | Pendapatan 6,827 1,551,861 Revenue | Pendapatan | 6,827 | 1,551,861 | Revenue |
| 17 | Depresiasi dan amortisasi (2,106) (5,210) Depreciation and amortisation | Depresiasi dan amortisasi | (2,106) | (5,210) | Depreciation and amortisation |
| 18 | Pendapatan keuangan 8,566 8,432 Finance income | Pendapatan keuangan | 8,566 | 8,432 | Finance income |
| 19 | Beban keuangan 193 (4,214) Finance costs | Beban keuangan | 193 | (4,214) | Finance costs |
| 20 | (Rugi)/laba sebelum pajak penghasilan (56,702) 868,628 (Loss)/profit before income tax | (Rugi)/laba sebelum pajak penghasilan | (56,702) | 868,628 | (Loss)/profit before income tax |
| 21 | B eban pajak penghasilan - (199,667) Income tax expense | B eban pajak penghasilan | - | (199,667) | Income tax expense |
| 22 | (Rugi)/laba bersih (56,702) 668,961 Net (loss)/profit | (Rugi)/laba bersih | (56,702) | 668,961 | Net (loss)/profit |
| 23 | Penghasilan komprehensif lain - 9 Other comprehensive income | Penghasilan komprehensif lain | - | 9 | Other comprehensive income |
| 24 | Jumlah laba komprehensif (56,702) 668,970 Total comprehensive income | Jumlah laba komprehensif | (56,702) | 668,970 | Total comprehensive income |
| 25 | R ingkasan laporan arus kas Summarised cash flows | R ingkasan laporan arus kas | Summarised cash flows | ||
| 26 | Arus kas bersih dari aktivitas operasi 143,183 685,790 Net cash flows from operating activities | Arus kas bersih dari aktivitas operasi | 143,183 | 685,790 | Net cash flows from operating activities |
| 27 | Arus kas bersih dari aktivitas investasi - (18,729) Net cash flows from investing activities | Arus kas bersih dari aktivitas investasi | - | (18,729) | Net cash flows from investing activities |
| 28 | Arus kas bersih dari aktivitas pendanaan - (1,892) Net cash flows from financing activities | Arus kas bersih dari aktivitas pendanaan | - | (1,892) | Net cash flows from financing activities |
| 29 | Net increase in cash | Net increase in cash | |||
| 30 | Kenaikan bersih kas dan setara kas 143,183 665,169 and cash equivalents | Kenaikan bersih kas dan setara kas | 143,183 | 665,169 | and cash equivalents |
| 31 | Cash and cash equivalents | Cash and cash equivalents | |||
| 32 | Kas dan setara kas pada awal periode 723,942 58,773 at the beginning of the period | Kas dan setara kas pada awal periode | 723,942 | 58,773 | at the beginning of the period |
| 33 | Cash and cash equivalents | Cash and cash equivalents | |||
| 34 | I Kas dan setara kas pada akhir periode 867,125 723,942 at the end of the period | I Kas dan setara kas pada akhir periode | 867,125 | 723,942 | at the end of the period |
Subtotals vs summed lines (heuristic)
For each recognised total/subtotal row, amounts in the detected reporting column are summed over preceding detail rows until another subtotal or a lookback limit. This mirrors coarse PHP-style checks; it is not a full chart-of-accounts reconciliation.
| Row | Label (trimmed) | Σ detail | Reported | |Δ|/scale | Status |
|---|---|---|---|---|---|
| 5 | J umlah aset lancar 926,909 1,083,049 Total current assets | 928,933 | 926,909 | 0.0022 | OK (3 lines) |
| 10 | J umlah liabilitas lancar 203,771 305,447 Total current liabilities | 203,771 | 203,771 | 0.0000 | OK (2 lines) |
Извлечённые метрики по этой форме (строка периода)
| Показатель | Значение |
|---|---|
| Операц. ДДС | -1 438.56 |
| Инвест. ДДС | 5 017.17 |
| # | Joined label | Line item | 2024 | 2023 | 31 March 2024 |
|---|---|---|---|---|---|
| 0 | DAN ENTITAS ANAK/AND SUBSIDIARIES | DAN ENTITAS ANAK/AND SUBSIDIARIES | |||
| 1 | Lampiran 4 Schedule | Lampiran 4 Schedule | |||
| 2 | LAPORAN ARUS KAS KONSOLIDASIAN INTERIM INTERIM CONSOLIDATED STATEMENTS OF CASH | LAPORAN ARUS KAS KONSOLIDASIAN INTERIM | INTERIM CONSOLIDATED STATEMENTS OF CASH | ||
| 3 | UNTUK PERIODE TIGA BULAN YANG BERAKHIR FLOWS FOR THE THREE-MONTH PERIODS ENDED | UNTUK PERIODE TIGA BULAN YANG BERAKHIR | FLOWS FOR THE THREE-MONTH PERIODS ENDED | ||
| 4 | 31 MARET 2024 DAN 2023 31 MARCH 2024 AND 2023 | 31 MARET 2024 DAN 2023 | 31 MARCH 2024 AND 2023 | ||
| 5 | (Disajikan dalam jutaan Rupiah, kecuali dinyatakan lain) (Expressed in millions of Rupiah, unless otherwise stated) | (Disajikan dalam jutaan Rupiah, kecuali dinyatakan lain) | (Expressed in millions of Rupiah, unless otherwise stated) | ||
| 6 | 31 Maret/ 31 Maret/ | 31 Maret/ | 31 Maret/ | ||
| 7 | March 2024 March 2023 | March 2024 | March 2023 | ||
| 8 | A RUS KAS DARI AKTIVITAS CASH FLOWS FROM | A RUS KAS DARI AKTIVITAS | CASH FLOWS FROM | ||
| 9 | OPERASI OPERATING ACTIVITIES | OPERASI | OPERATING ACTIVITIES | ||
| 10 | Penerimaan dari pelanggan 8,949,238 10,313,411 Receipts from customers | Penerimaan dari pelanggan | 8,949,238 | 10,313,411 | Receipts from customers |
| 11 | Pembayaran kepada pemasok (9,212,031) (8,438,172) Payments to suppliers | Pembayaran kepada pemasok | (9,212,031) | (8,438,172) | Payments to suppliers |
| 12 | Pembayaran kepada komisaris, Payments to commissioners, | Pembayaran kepada komisaris, | Payments to commissioners, | ||
| 13 | direksi dan karyawan (494,198) (599,137) directors and employees | direksi dan karyawan | (494,198) | (599,137) | directors and employees |
| 14 | Pembayaran pajak penghasilan badan (356,084) (234,803) Payments of corporate income tax | Pembayaran pajak penghasilan badan | (356,084) | (234,803) | Payments of corporate income tax |
| 15 | Pembayaran pajak lain dan retribusi (310,168) (609,139) Payments of other taxes and retribution | Pembayaran pajak lain dan retribusi | (310,168) | (609,139) | Payments of other taxes and retribution |
| 16 | Penerimaan dari restitusi pajak lain - 93,489 Receipts from other taxes refund | Penerimaan dari restitusi pajak lain | - | 93,489 | Receipts from other taxes refund |
| 17 | Penerimaan bunga 130,383 27,185 Receipts from interest income | Penerimaan bunga | 130,383 | 27,185 | Receipts from interest income |
| 18 | Pembayaran bunga (37,794) (59,593) Payments of interest | Pembayaran bunga | (37,794) | (59,593) | Payments of interest |
| 19 | Pembayaran premi asuransi (92,355) (76,985) Payments for insurance premiums | Pembayaran premi asuransi | (92,355) | (76,985) | Payments for insurance premiums |
| 20 | Pembayaran lain-lain, bersih (15,550) (10,737) Other payments, net | Pembayaran lain-lain, bersih | (15,550) | (10,737) | Other payments, net |
| 21 | Arus kas bersih yang (digunakan untuk)/ Net cash (used in)/provided from | Arus kas bersih yang (digunakan untuk)/ | Net cash (used in)/provided from | ||
| 22 | diperoleh dari aktivitas operasi (1,438,559) 405,519 operating activities | diperoleh dari aktivitas operasi | (1,438,559) | 405,519 | operating activities |
| 23 | A RUS KAS DARI AKTIVITAS CASH FLOWS FROM | A RUS KAS DARI AKTIVITAS | CASH FLOWS FROM | ||
| 24 | INVESTASI INVESTING ACTIVITIES | INVESTASI | INVESTING ACTIVITIES | ||
| 25 | Penerimaan kas untuk aset lancar lainnya 5,125,501 - Cash Receipt for other current assets | Penerimaan kas untuk aset lancar lainnya | 5,125,501 | - | Cash Receipt for other current assets |
| 26 | Pencairan deposito berjangka - 911,144 Redemption of time deposits | Pencairan deposito berjangka | - | 911,144 | Redemption of time deposits |
| 27 | Penempatan deposito berjangka - (227,263) Placement of time deposits | Penempatan deposito berjangka | - | (227,263) | Placement of time deposits |
| 28 | Perolehan aset tetap (90,607) (289,128) Acquisitions of fixed assets | Perolehan aset tetap | (90,607) | (289,128) | Acquisitions of fixed assets |
| 29 | Pengeluaran untuk eksplorasi dan Deferred exploration and | Pengeluaran untuk eksplorasi dan | Deferred exploration and | ||
| 30 | evaluasi yang ditangguhkan (12,096) (6,948) evaluation expenditures | evaluasi yang ditangguhkan | (12,096) | (6,948) | evaluation expenditures |
| 31 | Pengeluaran untuk properti pertambangan (5,625) (15,857) Disbursements for mining properties | Pengeluaran untuk properti pertambangan | (5,625) | (15,857) | Disbursements for mining properties |
| 32 | Pengeluaran untuk aset takberwujud - (1,726) Disbursements for intangible assets | Pengeluaran untuk aset takberwujud | - | (1,726) | Disbursements for intangible assets |
| 33 | Arus kas bersih yang diperoleh dari Net cash provided from | Arus kas bersih yang diperoleh dari | Net cash provided from | ||
| 34 | aktivitas investasi 5,017,173 370,222 investing activities | aktivitas investasi | 5,017,173 | 370,222 | investing activities |
| 35 | A RUS KAS DARI AKTIVITAS CASH FLOWS FROM | A RUS KAS DARI AKTIVITAS | CASH FLOWS FROM | ||
| 36 | PENDANAAN FINANCING ACTIVITIES | PENDANAAN | FINANCING ACTIVITIES | ||
| 37 | Penerimaan pinjaman bank - 537,215 Proceeds from bank loans | Penerimaan pinjaman bank | - | 537,215 | Proceeds from bank loans |
| 38 | Pembayaran pinjaman bank (924,960) (183,288) Repayments of bank loans | Pembayaran pinjaman bank | (924,960) | (183,288) | Repayments of bank loans |
| 39 | Pembayaran pinjaman investasi (158,766) (587,151) Repayments of investment loans | Pembayaran pinjaman investasi | (158,766) | (587,151) | Repayments of investment loans |
| 40 | Pembayaran liabilitas sewa (23,236) (21,180) Payments of lease liabilities | Pembayaran liabilitas sewa | (23,236) | (21,180) | Payments of lease liabilities |
| 41 | Arus kas bersih yang digunakan Net cash used in | Arus kas bersih yang digunakan | Net cash used in | ||
| 42 | untuk aktivitas pendanaan (1,106,962) (254,404) financing activities | untuk aktivitas pendanaan | (1,106,962) | (254,404) | financing activities |
| 43 | KENAIKAN BERSIH NET INCREASE IN | KENAIKAN BERSIH | NET INCREASE IN | ||
| 44 | KAS DAN SETARA KAS 2,471,652 521,337 CASH AND CASH EQUIVALENTS | KAS DAN SETARA KAS | 2,471,652 | 521,337 | CASH AND CASH EQUIVALENTS |
| 45 | EFFECT OF FOREIGN EXCHANGE | EFFECT OF FOREIGN EXCHANGE | |||
| 46 | EFEK PERUBAHAN NILAI KURS RATE DIFFERENCES ON CASH | EFEK PERUBAHAN NILAI KURS | RATE DIFFERENCES ON CASH | ||
| 47 | PADA KAS DAN SETARA KAS 176,581 (54,254) AND CASH EQUIVALENTS | PADA KAS DAN SETARA KAS | 176,581 | (54,254) | AND CASH EQUIVALENTS |
| 48 | K AS DAN SETARA KAS CASH AND CASH EQUIVALENTS | K AS DAN SETARA KAS | CASH AND CASH EQUIVALENTS | ||
| 49 | PADA AWAL PERIODE 9,208,814 4,476,491 AT THE BEGINNING OF THE PERIOD | PADA AWAL PERIODE | 9,208,814 | 4,476,491 | AT THE BEGINNING OF THE PERIOD |
| 50 | K AS DAN SETARA KAS CASH AND CASH EQUIVALENTS | K AS DAN SETARA KAS | CASH AND CASH EQUIVALENTS | ||
| 51 | PADA AKHIR PERIODE 11,857,047 4,943,574 AT THE END OF THE PERIOD | PADA AKHIR PERIODE | 11,857,047 | 4,943,574 | AT THE END OF THE PERIOD |
No subtotal/total rows matched the built-in patterns on this table (or fewer than two detail lines above each candidate).