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/2024-09-30_9M_ANTM_Q3_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 | 43 201.1 | Row: revenue (mln IDR, batch apply) · dashboard=43,201.100 mln — [DeepSeek] revenue (mln IDR, batch apply) |
| Опер. прибыль | 1 863.8 | Row: LABA USAHA; 1,863,818; 3,345,216; OPERATING PROFIT · dashboard=1,863.800 mln · pages 7 — [PL page 7] LABA USAHA | | 1,863,818 | 3,345,216 | OPERATING PROFIT |
| Аморт. и износ | 1 211.3 | Row: Penyusutan aset tetap; 230,450; 285,227; Depreciation of fixed assets · dashboard=1,211.300 mln · pages 83 — [DA recon page 83] Penyusutan aset tetap | 230,450 | 285,227 | Depreciation of fixed assets |
| EBITDA | 3 075.1 | Row: operating_profit + da (mln) · dashboard=3,075.100 mln — operating_profit + da (mln) |
| Чистая прибыль | 2 201.3 | Row: Beban pajak penghasilan; (392,686); (835,427); Income tax expense (after income tax row) · dashboard=2,201.300 mln · pages 7 — [PL page 7] Beban pajak penghasilan | 19c | (392,686) | (835,427) | Income tax expense (after income tax row) |
| Cash | 9 596.9 | Row: Kas dan setara kas; 9,596,900; 9,208,814; Cash and cash equivalents · dashboard=9,596.900 mln · pages 4 — [BS page 4] Kas dan setara kas | 5 | 9,596,900 | 9,208,814 | Cash and cash equivalents |
| Debt short | 1 195.2 | Row: not found · dashboard=1,195.200 mln · pages 4 — [BS page 4] not found |
| Debt long | 554.8 | Row: not found · dashboard=554.800 mln · pages 4 — [BS page 4] not found |
| Чистый долг | -7 846.9 | Компоненты: краткосрочный долг 1 195.2 + долгосрочный 554.8 + прочие фин. обязательства 0 + доля НКУ 0 − денежные средства 9 596.9 = чистый долг -7 846.9.Row: net_debt (mln IDR, batch apply) · dashboard=-7,846.900 mln — [DeepSeek] net_debt (mln IDR, batch apply) |
| Операц. ДДС | -172.5 | Row: (digunakan untuk)/; Net cash (used in)/provided from · dashboard=-172.500 mln · pages 10 — [CF page 10] (digunakan untuk)/ | | | Net cash (used in)/provided from |
| Инвест. ДДС | 4 400.3 | Row: Arus kas bersih yang diperoleh; Net cash provided from · dashboard=4,400.300 mln · pages 10 — [CF page 10] Arus kas bersih yang diperoleh | | | Net cash provided from |
| Активы | 40 983.2 | Row: - Pajak lain-lain; 983,401; 627,690; Other taxes - [merged@27] - pajak lain-lain 983,401 627,690 other taxes - goodwill 16 68,336 68,336 goodwill aset pajak tanggu · dashboard=40,983.200 mln · pages 4 — [BS page 4] - Pajak lain-lain | | 983,401 | 627,690 | Other taxes - [merged@27] - pajak lain-lain 983,401 627,690 other taxes - goodwill … |
| Капитал | 29 828.5 | Row: total_equity (mln IDR, batch apply) · dashboard=29,828.500 mln — [DeepSeek] total_equity (mln IDR, batch apply) |
| ✓ | Балансовое тождество (A = L + E) | Implied total liabilities (TA − TE) = 11,155; known debt components fit within that envelope. |
| ✓ | Формула чистого долга | net_debt -7,847 matches |debt_short|+|debt_long|+|other|+|NCI|−|cash| = -7,847. |
| ✓ | EBITDA = OP + D&A | EBITDA (3,075) ≈ OP (1,864) + D&A (1,211) = 3,075. |
| ✓ | Чистая прибыль vs операционная | Net profit (2,201) sits within a plausible band vs operating profit (1,864). |
| ✓ | Денежные средства ≤ активов | Cash (9,597) ≤ total assets (40,983). |
| ✓ | subtotal_BS_Jumlah liabilitas jangka pendek 7,930,877 8,576 | Jumlah liabilitas jangka pendek 7,930,877 8,576,440 Total current liabilities: Σ detail = 8,578,524, reported 8,576,440, diff +2,084 (0.0%, 14 lines). |
| ✓ | subtotal_BS_Jumlah liabilitas jangka panjang 2,672,800 3,10 | Jumlah liabilitas jangka panjang 2,672,800 3,109,219 Total non-current liabilities: Σ detail = 3,109,219, reported 3,109,219, diff +0 (0.0%, 5 lines). |
| ✓ | subtotal_P&L_L ABA KOTOR 4,103,201 6,097,530 GROSS PROFIT | L ABA KOTOR 4,103,201 6,097,530 GROSS PROFIT: Σ detail = 4,105,255, reported 4,103,201, diff +2,054 (0.1%, 4 lines). |
| Form | Pages |
|---|---|
| P&L | 6, 7, 8 |
| BS | 3, 4, 5 |
| 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 | 43 201.1 |
| Опер. прибыль | 1 863.8 |
| EBITDA | 3 075.1 |
| Чистая прибыль | 2 201.3 |
| Аморт. и износ | 1 211.3 |
Tables and checks run on 2 of 3 PDF pages for this form (timeout budget). Raise REPORT_REVIEW_HEAVY_RECON_PAGES for more.
No Camelot table — OCR (v8) below.
| # | Joined label | Column 2 | Column 3 |
|---|---|---|---|
| 0 | PT ANEKA TAMBANG TBK | ||
| 1 | DAN ENTITAS ANAKIAND SUBSIDIARIES | ||
| 2 | Lampiran 1/3 Schedule | ||
| 3 | LAPORAN POSISI KEUANGAN INTERIM CONSOLIDATED STATEMENTS OF | ||
| 4 | KONSOLIDASIAN INTERIM FINANCIAL POSITION | ||
| 5 | 30 SEPTEMBER 2024 DAN 31 DESEMBER 2023 AS AT 30 SEPTEMBER 2024 AND 31 DECEMBER 2023 | ||
| 6 | Disajikan dalam jutaan Rupiah; kecuali dinyatakan Iain) (Expressed in millions of Rupiah; unless otherwise staled) | ||
| 7 | EKUITAS | ||
| 8 | EKUITAS YANG DAPAT | ||
| 9 | DIATRIBUSIKAN KEPADA | ||
| 10 | PEMILIK ENTITAS INDUK | ||
| 11 | Modal saham | ||
| 12 | Modal dasar - saham preferen | ||
| 13 | seri A Dwiwarna dan | ||
| 14 | 37.999.999.999 saham biasa | 0 | 37.999 |
| 15 | seri B; Modal ditempatkan dan | ||
| 16 | disetor penuh saham preferen | ||
| 17 | seri Dwiwarna dan | 0 | 24030764724 |
| 18 | 24.030.764.724 saham biasa | ||
| 19 | seri B dengan nilai nominal | 0 | 1 |
| 20 | Rp1OO (nilai penuh) per saham | 2403076 | 2403076 |
| 21 | Tambahan modal disetor | 696068 | 9696068 |
| 22 | Komponen ekuitas lainnya | ||
| 23 | Selisih kurs karena penjabaran | ||
| 24 | laporan keuangan | 1199818 | 1191507 |
| 25 | Surplus revaluasi aset | 2962902 | 2962902 |
| 26 | Saldo laba | ||
| 27 | Ditentukan penggunaannya | 480615 | 480615 |
| 28 | Belum ditentukan penggunaannya | 86044 | 13909027 |
| 29 | Jumlah ekuitas yang dapat | ||
| 30 | diatribusikan kepada pemilik | ||
| 31 | entitas induk | 29828523 | 30643195 |
| 32 | Kepentingan nonpengendali | 550.973 | 522.475 |
| 33 | JUMLAH EKUITAS | 30379496 | 31165670 |
| 34 | JUMLAH LIABILITAS DAN EKUITAS | 40983173 | 42851329 |
| # | Joined label | Line item | Catatan/ → Notes | 2024 | 2023 | SALES → COST OF GOODS SOLD |
|---|---|---|---|---|---|---|
| 0 | Catatan/ 30 September/ 30 September/ | Catatan/ | 30 September/ | 30 September/ | ||
| 1 | Notes September 2024 September 2023 | Notes | September 2024 | September 2023 | ||
| 2 | P ENJUALAN 28 43,201,125 30,898,980 SALES | P ENJUALAN | 28 | 43,201,125 | 30,898,980 | SALES |
| 3 | BEBAN POKOK PENJUALAN 29 (39,097,924) (24,801,450) COST OF GOODS SOLD | BEBAN POKOK PENJUALAN | 29 | (39,097,924) | (24,801,450) | COST OF GOODS SOLD |
| 4 | L ABA KOTOR 4,103,201 6,097,530 GROSS PROFIT | L ABA KOTOR | 4,103,201 | 6,097,530 | GROSS PROFIT | |
| 5 | B EBAN USAHA OPERATING EXPENSES | B EBAN USAHA | OPERATING EXPENSES | |||
| 6 | Umum dan administrasi 30 (1,899,769) (2,043,498) General and administrative | Umum dan administrasi | 30 | (1,899,769) | (2,043,498) | General and administrative |
| 7 | Penjualan dan pemasaran 30 (339,614) (708,816) Selling and marketing | Penjualan dan pemasaran | 30 | (339,614) | (708,816) | Selling and marketing |
| 8 | Jumlah beban usaha (2,239,383) (2,752,314) Total operating expenses | Jumlah beban usaha | (2,239,383) | (2,752,314) | Total operating expenses | |
| 9 | LABA USAHA 1,863,818 3,345,216 OPERATING PROFIT | LABA USAHA | 1,863,818 | 3,345,216 | OPERATING PROFIT | |
| 10 | P ENGHASILAN LAIN-LAIN OTHER INCOME | P ENGHASILAN LAIN-LAIN | OTHER INCOME | |||
| 11 | Bagian keuntungan entitas asosiasi 11 340,464 723,405 Share of profit of associates | Bagian keuntungan entitas asosiasi | 11 | 340,464 | 723,405 | Share of profit of associates |
| 12 | Penghasilan keuangan 31 351,680 104,300 Finance income | Penghasilan keuangan | 31 | 351,680 | 104,300 | Finance income |
| 13 | Beban keuangan 31 (176,491) (205,764) Finance costs | Beban keuangan | 31 | (176,491) | (205,764) | Finance costs |
| 14 | Laba/(rugi) selisih kurs, bersih 148,330 (147,391) Gain/(loss) on foreign exchange, net | Laba/(rugi) selisih kurs, bersih | 148,330 | (147,391) | Gain/(loss) on foreign exchange, net | |
| 15 | Penghasilan/(beban) lain-lain, bersih 32 94,645 (135,749) Other income/(expenses), net | Penghasilan/(beban) lain-lain, bersih | 32 | 94,645 | (135,749) | Other income/(expenses), net |
| 16 | Penghasilan lain-lain, bersih 758,628 338,801 Other income, net | Penghasilan lain-lain, bersih | 758,628 | 338,801 | Other income, net | |
| 17 | L ABA SEBELUM PAJAK | L ABA SEBELUM PAJAK | ||||
| 18 | PENGHASILAN 2,622,446 3,684,017 PROFIT BEFORE INCOME TAX | PENGHASILAN | 2,622,446 | 3,684,017 | PROFIT BEFORE INCOME TAX | |
| 19 | Beban pajak penghasilan 19c (392,686) (835,427) Income tax expense | Beban pajak penghasilan | 19c | (392,686) | (835,427) | Income tax expense |
| 20 | LABA PERIODE BERJALAN 2,229,760 2,848,590 PROFIT FOR THE PERIOD | LABA PERIODE BERJALAN | 2,229,760 | 2,848,590 | PROFIT FOR THE PERIOD | |
| 21 | P ENGHASILAN/(RUGI) OTHER COMPREHENSIVE | P ENGHASILAN/(RUGI) | OTHER COMPREHENSIVE | |||
| 22 | KOMPREHENSIF LAIN INCOME/(LOSS) | KOMPREHENSIF LAIN | INCOME/(LOSS) | |||
| 23 | Pos yang tidak akan direklasifikasi Items that will not be reclassified | Pos yang tidak akan direklasifikasi | Items that will not be reclassified | |||
| 24 | ke laba rugi: to profit or loss: | ke laba rugi: | to profit or loss: |
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 |
|---|---|---|---|---|---|
| 4 | L ABA KOTOR 4,103,201 6,097,530 GROSS PROFIT | 4.105e6 | 4.103e6 | 0.0005 | OK (4 lines) |
Извлечённые метрики по этой форме (строка периода)
| Показатель | Значение |
|---|---|
| Cash | 9 596.9 |
| Debt Short | 1 195.2 |
| Debt Long | 554.8 |
| Активы | 40 983.2 |
| Капитал | 29 828.5 |
| Чистый долг | -7 846.9 |
Tables and checks run on 2 of 3 PDF pages for this form (timeout budget). Raise REPORT_REVIEW_HEAVY_RECON_PAGES for more.
No Camelot table — OCR (v8) below.
v8 OCR page 3: empty rows.
| # | Joined label | Line item | (Disajikan dalam jutaan Rupiah, k… | 2024 | 2023 | ASSETS → CURRENT ASSETS |
|---|---|---|---|---|---|---|
| 0 | (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) | |||
| 1 | Catatan/ 30 September/ 31 Desember/ | Catatan/ | 30 September/ | 31 Desember/ | ||
| 2 | Notes September 2024 December 2023 | Notes | September 2024 | December 2023 | ||
| 3 | A SET ASSETS | A SET | ASSETS | |||
| 4 | ASET LANCAR CURRENT ASSETS | ASET LANCAR | CURRENT ASSETS | |||
| 5 | Kas dan setara kas 5 9,596,900 9,208,814 Cash and cash equivalents | Kas dan setara kas | 5 | 9,596,900 | 9,208,814 | Cash and cash equivalents |
| 6 | Piutang usaha, bersih 6 Trade receivables, net | Piutang usaha, bersih | 6 | Trade receivables, net | ||
| 7 | - Pihak ketiga 595,230 1,091,901 Third parties - | - Pihak ketiga | 595,230 | 1,091,901 | Third parties - | |
| 8 | - Pihak berelasi 63,134 2,370 Related parties - | - Pihak berelasi | 63,134 | 2,370 | Related parties - | |
| 9 | Persediaan, bersih 7 5,099,868 3,470,153 Inventories, net | Persediaan, bersih | 7 | 5,099,868 | 3,470,153 | Inventories, net |
| 10 | Piutang lain-lain, bersih 8 84,795 394,584 Other receivables, net | Piutang lain-lain, bersih | 8 | 84,795 | 394,584 | Other receivables, net |
| 11 | Pajak dibayar dimuka 19a Prepaid taxes | Pajak dibayar dimuka | 19a | Prepaid taxes | ||
| 12 | - Pajak penghasilan badan - 45,998 Corporate income taxes - | - Pajak penghasilan badan | - | 45,998 | Corporate income taxes - | |
| 13 | - Pajak lain-lain 328,284 329,412 Other taxes - | - Pajak lain-lain | 328,284 | 329,412 | Other taxes - | |
| 14 | Biaya dibayar dimuka 80,964 29,936 Prepaid expenses | Biaya dibayar dimuka | 80,964 | 29,936 | Prepaid expenses | |
| 15 | Aset keuangan lancar lainnya 9 37,845 5,125,501 Other current financial assets | Aset keuangan lancar lainnya | 9 | 37,845 | 5,125,501 | Other current financial assets |
| 16 | Aset lancar lain-lain 15 604,958 365,877 Other current assets | Aset lancar lain-lain | 15 | 604,958 | 365,877 | Other current assets |
| 17 | J umlah aset lancar 16,491,978 20,064,546 Total current assets | J umlah aset lancar | 16,491,978 | 20,064,546 | Total current assets | |
| 18 | A SET TIDAK LANCAR NON-CURRENT ASSETS | A SET TIDAK LANCAR | NON-CURRENT ASSETS | |||
| 19 | Kas yang dibatasi penggunaannya 10 307,796 291,107 Restricted cash | Kas yang dibatasi penggunaannya | 10 | 307,796 | 291,107 | Restricted cash |
| 20 | Investasi pada entitas asosiasi, bersih 11 2,642,507 2,568,246 Investments in associates, net | Investasi pada entitas asosiasi, bersih | 11 | 2,642,507 | 2,568,246 | Investments in associates, net |
| 21 | Aset tetap, bersih 12 15,802,925 16,183,257 Fixed assets, net | Aset tetap, bersih | 12 | 15,802,925 | 16,183,257 | Fixed assets, net |
| 22 | Properti pertambangan, bersih 13 653,262 616,042 Mining properties, net | Properti pertambangan, bersih | 13 | 653,262 | 616,042 | Mining properties, net |
| 23 | Aset eksplorasi dan evaluasi, bersih 14 783,320 741,468 Exploration and evaluation assets, net | Aset eksplorasi dan evaluasi, bersih | 14 | 783,320 | 741,468 | Exploration and evaluation assets, net |
| 24 | Aset takberwujud, bersih 57,378 45,534 Intangible assets, net | Aset takberwujud, bersih | 57,378 | 45,534 | Intangible assets, net | |
| 25 | Pajak dibayar dimuka 19a Prepaid taxes | Pajak dibayar dimuka | 19a | Prepaid taxes | ||
| 26 | - Pajak penghasilan badan 701,643 43,707 Corporate income taxes - | - Pajak penghasilan badan | 701,643 | 43,707 | Corporate income taxes - | |
| 27 | - Pajak lain-lain 983,401 627,690 Other taxes - | - Pajak lain-lain | 983,401 | 627,690 | Other taxes - | |
| 28 | Goodwill 16 68,336 68,336 Goodwill | Goodwill | 16 | 68,336 | 68,336 | Goodwill |
| 29 | Aset pajak tangguhan 19d 314,624 183,565 Deferred tax assets | Aset pajak tangguhan | 19d | 314,624 | 183,565 | Deferred tax assets |
| 30 | Aset tidak lancar lain-lain 15 2,176,003 1,417,831 Other non-current assets | Aset tidak lancar lain-lain | 15 | 2,176,003 | 1,417,831 | Other non-current assets |
| 31 | Jumlah aset tidak lancar 24,491,195 22,786,783 Total non-current assets | Jumlah aset tidak lancar | 24,491,195 | 22,786,783 | Total non-current assets | |
| 32 | JUMLAH ASET 40,983,173 42,851,329 TOTAL ASSETS | JUMLAH ASET | 40,983,173 | 42,851,329 | TOTAL ASSETS |
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 |
|---|---|---|---|---|---|
| 17 | J umlah aset lancar 16,491,978 20,064,546 Total current assets | 16.494e6 | 16.492e6 | 0.0001 | OK (11 lines) |
| 31 | Jumlah aset tidak lancar 24,491,195 22,786,783 Total non-current assets | 24.491e6 | 24.491e6 | 0.0000 | OK (11 lines) |
Извлечённые метрики по этой форме (строка периода)
| Показатель | Значение |
|---|---|
| Операц. ДДС | -172.5 |
| Инвест. ДДС | 4 400.3 |
| # | Joined label | 30 September 2024 | 2024 | 2023 | 30 September 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 SEMBILAN BULAN YANG BERAKHIR FLOWS FOR THE NINE-MONTH PERIODS ENDED | UNTUK PERIODE SEMBILAN BULAN YANG BERAKHIR | FLOWS FOR THE NINE-MONTH PERIODS ENDED | ||
| 4 | 30 SEPTEMBER 2024 DAN 2023 30 SEPTEMBER 2024 AND 2023 | 30 SEPTEMBER 2024 DAN 2023 | 30 SEPTEMBER 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 | 30 September/ 30 September/ | 30 September/ 30 September/ | |||
| 7 | September 2024 September 2023 | September 2024 | September 2023 | ||
| 8 | A RUS KAS DARI AKTIVITAS CASH FLOWS FROM | A RUS KAS DARI AKTIVITAS | CASH FLOWS FROM | ||
| 9 | O PERASI OPERATING ACTIVITIES | O PERASI | OPERATING ACTIVITIES | ||
| 10 | Penerimaan dari pelanggan 44,269,519 31,760,210 Receipts from customers | Penerimaan dari pelanggan | 44,269,519 | 31,760,210 | Receipts from customers |
| 11 | Pembayaran kepada pemasok (40,115,321) (23,751,942) Payments to suppliers | Pembayaran kepada pemasok | (40,115,321) | (23,751,942) | Payments to suppliers |
| 12 | Pembayaran kepada komisaris, Payments to commissioners, | Pembayaran kepada komisaris, | Payments to commissioners, | ||
| 13 | direksi dan karyawan (1,507,451) (1,604,077) directors and employees | direksi dan karyawan | (1,507,451) | (1,604,077) | directors and employees |
| 14 | Pembayaran pajak penghasilan badan (1,583,445) (866,190) Payments of corporate income tax | Pembayaran pajak penghasilan badan | (1,583,445) | (866,190) | Payments of corporate income tax |
| 15 | Pembayaran pajak lain dan retribusi (1,215,451) (1,660,247) Payments of other taxes and retribution | Pembayaran pajak lain dan retribusi | (1,215,451) | (1,660,247) | Payments of other taxes and retribution |
| 16 | Penerimaan dari restitusi | Penerimaan dari restitusi | |||
| 17 | pajak penghasilan 18,796 - Receipts from income taxes refund | pajak penghasilan | 18,796 | - | Receipts from income taxes refund |
| 18 | Penerimaan dari restitusi pajak lain 3,185 449,397 Receipts from other taxes refund | Penerimaan dari restitusi pajak lain | 3,185 | 449,397 | Receipts from other taxes refund |
| 19 | Penerimaan bunga 309,022 103,719 Receipts from interest income | Penerimaan bunga | 309,022 | 103,719 | Receipts from interest income |
| 20 | Pembayaran bunga (105,089) (204,491) Payments of interest | Pembayaran bunga | (105,089) | (204,491) | Payments of interest |
| 21 | Pembayaran premi asuransi (229,614) (189,244) Payments for insurance premiums | Pembayaran premi asuransi | (229,614) | (189,244) | Payments for insurance premiums |
| 22 | Pembayaran lain-lain, bersih (16,689) (53,855) Other payments, net | Pembayaran lain-lain, bersih | (16,689) | (53,855) | Other payments, net |
| 23 | Arus kas bersih yang | Arus kas bersih yang | |||
| 24 | (digunakan untuk)/ Net cash (used in)/provided from | (digunakan untuk)/ | Net cash (used in)/provided from | ||
| 25 | diperoleh dari aktivitas operasi (172,538) 3,983,280 operating activities | diperoleh dari aktivitas operasi | (172,538) | 3,983,280 | operating activities |
| 26 | A RUS KAS DARI AKTIVITAS CASH FLOWS FROM | A RUS KAS DARI AKTIVITAS | CASH FLOWS FROM | ||
| 27 | INVESTASI INVESTING ACTIVITIES | INVESTASI | INVESTING ACTIVITIES | ||
| 28 | Pencairan deposito berjangka 5,839,193 1,997,924 Redemption of time deposits | Pencairan deposito berjangka | 5,839,193 | 1,997,924 | Redemption of time deposits |
| 29 | Penempatan deposito berjangka (754,492) (1,025,882) Placement of time deposits | Penempatan deposito berjangka | (754,492) | (1,025,882) | Placement of time deposits |
| 30 | Perolehan aset tetap (580,249) (771,220) Acquisitions of fixed assets | Perolehan aset tetap | (580,249) | (771,220) | Acquisitions of fixed assets |
| 31 | Penerimaan kas dari penjualan investasi 460,180 - Cash receipt from sales of investments | Penerimaan kas dari penjualan investasi | 460,180 | - | Cash receipt from sales of investments |
| 32 | Pembayaran uang muka investasi Advance payment for investment | Pembayaran uang muka investasi | Advance payment for investment | ||
| 33 | pada entitas asosiasi (750,000) - in associate | pada entitas asosiasi | (750,000) | - | in associate |
| 34 | Pengeluaran untuk aset Disbursements for exploration | Pengeluaran untuk aset | Disbursements for exploration | ||
| 35 | eksplorasi dan evaluasi (41,852) (36,465) and evaluation assets | eksplorasi dan evaluasi | (41,852) | (36,465) | and evaluation assets |
| 36 | Pengeluaran untuk properti pertambangan (56,632) (7,178) Disbursements for mining properties | Pengeluaran untuk properti pertambangan | (56,632) | (7,178) | Disbursements for mining properties |
| 37 | Penerimaan dividen dari entitas asosiasi 284,120 912,603 Dividend receipts from an associate | Penerimaan dividen dari entitas asosiasi | 284,120 | 912,603 | Dividend receipts from an associate |
| 38 | Arus kas bersih yang diperoleh Net cash provided from | Arus kas bersih yang diperoleh | Net cash provided from | ||
| 39 | dari aktivitas investasi 4,400,268 1,069,782 investing activities | dari aktivitas investasi | 4,400,268 | 1,069,782 | investing activities |
| 40 | A RUS KAS DARI AKTIVITAS CASH FLOWS FROM | A RUS KAS DARI AKTIVITAS | CASH FLOWS FROM | ||
| 41 | PENDANAAN FINANCING ACTIVITIES | PENDANAAN | FINANCING ACTIVITIES | ||
| 42 | Penerimaan pinjaman bank 918,220 6,501,020 Proceeds from bank loans | Penerimaan pinjaman bank | 918,220 | 6,501,020 | Proceeds from bank loans |
| 43 | Pembayaran pinjaman bank (1,313,778) (5,372,533) Repayments of bank loans | Pembayaran pinjaman bank | (1,313,778) | (5,372,533) | Repayments of bank loans |
| 44 | Pembayaran pinjaman investasi (480,675) (1,107,890) Repayments of investment loans | Pembayaran pinjaman investasi | (480,675) | (1,107,890) | Repayments of investment loans |
| 45 | Pembayaran dividen (3,077,646) (1,910,482) Payments of dividend | Pembayaran dividen | (3,077,646) | (1,910,482) | Payments of dividend |
| 46 | Pembayaran liabilitas sewa (90,933) (53,088) Payments of lease liabilities | Pembayaran liabilitas sewa | (90,933) | (53,088) | Payments of lease liabilities |
| 47 | Arus kas bersih yang digunakan Net cash used in | Arus kas bersih yang digunakan | Net cash used in | ||
| 48 | untuk aktivitas pendanaan (4,044,812) (1,942,973) financing activities | untuk aktivitas pendanaan | (4,044,812) | (1,942,973) | financing activities |
| 49 | KENAIKAN BERSIH KAS DAN NET INCREASE IN CASH AND | KENAIKAN BERSIH KAS DAN | NET INCREASE IN CASH AND | ||
| 50 | SETARA KAS 182,918 3,110,089 CASH EQUIVALENTS | SETARA KAS | 182,918 | 3,110,089 | CASH EQUIVALENTS |
| 51 | EFFECT OF FOREIGN EXCHANGE | EFFECT OF FOREIGN EXCHANGE | |||
| 52 | EFEK PERUBAHAN NILAI KURS RATE DIFFERENCES ON CASH | EFEK PERUBAHAN NILAI KURS | RATE DIFFERENCES ON CASH |
No subtotal/total rows matched the built-in patterns on this table (or fewer than two detail lines above each candidate).