Status: OK — неполно — см. пустые метрики ниже; 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_BBCA/2025-06-30_H1_BBCA_Q2_2025.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 | 42 584.95 | Row: revenue (mln IDR, batch apply) · dashboard=42,584.951 mln — [DeepSeek] revenue (mln IDR, batch apply) |
| Опер. прибыль | 35 793.66 | Row: operating_profit (mln IDR, batch apply) · dashboard=35,793.659 mln — [DeepSeek] operating_profit (mln IDR, batch apply) |
| Аморт. и износ | — | — |
| EBITDA | 35 793.66 | Row: computed as operating_profit + D&A (D&A not split out in source → 0) · dashboard=35,793.659 mln — computed as operating_profit + D&A (D&A not split out in source → 0) |
| Чистая прибыль | 29 016.41 | Row: net_profit (mln IDR, batch apply) · dashboard=29,016.414 mln — [DeepSeek] net_profit (mln IDR, batch apply) |
| Cash | 106 785.31 | Row: cash (mln IDR, batch apply) · dashboard=106,785.314 mln — [DeepSeek] cash (mln IDR, batch apply) |
| Debt short | 1 014.51 | Row: debt_short (mln IDR, batch apply) · dashboard=1,014.507 mln — [DeepSeek] debt_short (mln IDR, batch apply) |
| Debt long | 500 | Row: debt_long (mln IDR, batch apply) · dashboard=500.000 mln — [DeepSeek] debt_long (mln IDR, batch apply) |
| Чистый долг | -105 270.81 | Компоненты: краткосрочный долг 1 014.51 + долгосрочный 500 + прочие фин. обязательства 0 + доля НКУ 0 − денежные средства 106 785.31 = чистый долг -105 270.81.Row: net_debt (mln IDR, batch apply) · dashboard=-105,270.807 mln — [DeepSeek] net_debt (mln IDR, batch apply) |
| Операц. ДДС | 40 923.22 | Row: operating_cash_flow (mln IDR, batch apply) · dashboard=40,923.218 mln — [DeepSeek] operating_cash_flow (mln IDR, batch apply) |
| Инвест. ДДС | 13 076.54 | Row: investing_cash_flow (mln IDR, batch apply) · dashboard=13,076.544 mln — [DeepSeek] investing_cash_flow (mln IDR, batch apply) |
| Активы | 1 504 118.98 | Row: total_assets (mln IDR, batch apply) · dashboard=1,504,118.975 mln — [DeepSeek] total_assets (mln IDR, batch apply) |
| Капитал | 261 800.91 | Row: total_equity (mln IDR, batch apply) · dashboard=261,800.906 mln — [DeepSeek] total_equity (mln IDR, batch apply) |
| ✓ | Балансовое тождество (A = L + E) | Implied total liabilities (TA − TE) = 1,242,318; known debt components fit within that envelope. |
| ✓ | Формула чистого долга | net_debt -105,271 matches |debt_short|+|debt_long|+|other|+|NCI|−|cash| = -105,271. |
| ✓ | Чистая прибыль vs операционная | Net profit (29,016) sits within a plausible band vs operating profit (35,794). |
| ✓ | Денежные средства ≤ активов | Cash (106,785) ≤ total assets (1,504,119). |
| ⚠ | Изменение долга против предыдущего периода | Total interest-bearing debt fell 100% vs prior period (500,000 → 1,515). Financing cash flow not extracted — can't verify the move was real (could be an OCR miss of a major debt line). |
| Form | Pages |
|---|---|
| P&L | 208 |
| BS | 205, 206, 207 |
| CF | 211, 212 |
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 | 42 584.95 |
| Опер. прибыль | 35 793.66 |
| EBITDA | 35 793.66 |
| Чистая прибыль | 29 016.41 |
| Аморт. и износ | — |
| # | Joined label | Line item | 2025 | 2024 | OPERATING INCOME AND EXPENSES → I… |
|---|---|---|---|---|---|
| 0 | (Dalam jutaan Rupiah, kecuali dinyatakan lain) (Expressed in millions of Rupiah, unless otherwise stated) | (Dalam jutaan Rupiah, kecuali dinyatakan lain) | (Expressed in millions of Rupiah, unless otherwise stated) | ||
| 1 | 30 Juni/ 30 Juni/ | 30 Juni/ | 30 Juni/ | ||
| 2 | June 2025 June 2024 | June 2025 | June 2024 | ||
| 3 | PENDAPATAN DAN BEBAN | PENDAPATAN DAN BEBAN | |||
| 4 | OPERASIONAL OPERATING INCOME AND EXPENSES | OPERASIONAL | OPERATING INCOME AND EXPENSES | ||
| 5 | Pendapatan bunga 45.925.793 43.075.691 Interest income | Pendapatan bunga | 45.925.793 | 43.075.691 | Interest income |
| 6 | Beban bunga (6.209.005) (5.774.901) Interest expenses | Beban bunga | (6.209.005) | (5.774.901) | Interest expenses |
| 7 | PENDAPATAN BUNGA - BERSIH 39.716.788 37.300.790 INTEREST INCOME - NET | PENDAPATAN BUNGA - BERSIH | 39.716.788 | 37.300.790 | INTEREST INCOME - NET |
| 8 | PENDAPATAN OPERASIONAL LAINNYA OTHER OPERATING INCOME | PENDAPATAN OPERASIONAL LAINNYA | OTHER OPERATING INCOME | ||
| 9 | Pendapatan provisi dan komisi - bersih 9.331.824 8.696.533 Fees and commission income - net/// | Pendapatan provisi dan komisi - bersih | 9.331.824 | 8.696.533 | Fees and commission income - net/// |
| 10 | Pendapatan transaksi yang diukur pada Net income from transaction at fair/// | Pendapatan transaksi yang diukur pada | Net income from transaction at fair/// | ||
| 11 | nilai wajar melalui laba rugi - bersih 1.774.494 1.459.600 value through profit or loss////// | nilai wajar melalui laba rugi - bersih | 1.774.494 | 1.459.600 | value through profit or loss////// |
| 12 | Lain-lain 2.826.378 1.208.425 Others/// | Lain-lain | 2.826.378 | 1.208.425 | Others/// |
| 13 | Jumlah pendapatan operasional lainnya 13.932.696 11.364.558 Total other operating income | Jumlah pendapatan operasional lainnya | 13.932.696 | 11.364.558 | Total other operating income |
| 14 | Beban penyisihan kerugian penurunan | Beban penyisihan kerugian penurunan | |||
| 15 | nilai aset (1.587.800) (1.064.379) Impairment losses on assets | nilai aset | (1.587.800) | (1.064.379) | Impairment losses on assets |
| 16 | BEBAN OPERASIONAL LAINNYA OTHER OPERATING EXPENSES | BEBAN OPERASIONAL LAINNYA | OTHER OPERATING EXPENSES | ||
| 17 | Beban karyawan (8.097.183) (8.137.846) Personnel expenses/// | Beban karyawan | (8.097.183) | (8.137.846) | Personnel expenses/// |
| 18 | Beban umum dan administratif (6.815.917) (6.225.250) General and administrative expenses/// | Beban umum dan administratif | (6.815.917) | (6.225.250) | General and administrative expenses/// |
| 19 | Lain-lain (808.018) (719.296) Others/// | Lain-lain | (808.018) | (719.296) | Others/// |
| 20 | Jumlah beban operasional lainnya (15.721.118) (15.082.392) Total other operating expenses | Jumlah beban operasional lainnya | (15.721.118) | (15.082.392) | Total other operating expenses |
| 21 | LABA SEBELUM PAJAK PENGHASILAN 36.340.566 32.518.577 INCOME BEFORE TAX | LABA SEBELUM PAJAK PENGHASILAN | 36.340.566 | 32.518.577 | INCOME BEFORE TAX |
| 22 | BEBAN PAJAK PENGHASILAN (6.450.288) (6.033.604) INCOME TAX EXPENSE | BEBAN PAJAK PENGHASILAN | (6.450.288) | (6.033.604) | INCOME TAX EXPENSE |
| 23 | LABA BERSIH 29.890.278 26.484.973 NET INCOME | LABA BERSIH | 29.890.278 | 26.484.973 | NET INCOME |
| 24 | PENGHASILAN KOMPREHENSIF LAIN: OTHER COMPREHENSIVE INCOME: | PENGHASILAN KOMPREHENSIF LAIN: | OTHER COMPREHENSIVE INCOME: | ||
| 25 | Pos-pos yang akan direklasifikasi Items that will be reclassified | Pos-pos yang akan direklasifikasi | Items that will be reclassified | ||
| 26 | ke laba rugi: to profit or loss:/// | ke laba rugi: | to profit or loss:/// | ||
| 27 | Keuntungan (kerugian) yang belum | Keuntungan (kerugian) yang belum | |||
| 28 | direalisasi atas aset keuangan Unrealised gains (losses) on financial/// | direalisasi atas aset keuangan | Unrealised gains (losses) on financial/// | ||
| 29 | yang diukur pada nilai wajar melalui assets at fair value through other////// | yang diukur pada nilai wajar melalui | assets at fair value through other////// | ||
| 30 | penghasilan komprehensif lain 1.121.121 (654.172) comprehensive income///// | penghasilan komprehensif lain | 1.121.121 | (654.172) | comprehensive income///// |
| 31 | Pajak penghasilan (213.013) 124.293 Income tax/// | Pajak penghasilan | (213.013) | 124.293 | Income tax/// |
| 32 | 908.108 (529.879) | 908.108 | (529.879) | ||
| 33 | PENGHASILAN KOMPREHENSIF LAIN, OTHER COMPREHENSIVE INCOME, | PENGHASILAN KOMPREHENSIF LAIN, | OTHER COMPREHENSIVE INCOME, | ||
| 34 | SETELAH PAJAK PENGHASILAN 908.108 (529.879) NET OF INCOME TAX/// | SETELAH PAJAK PENGHASILAN | 908.108 | (529.879) | NET OF INCOME TAX/// |
| 35 | JUMLAH LABA KOMPREHENSIF 30.798.386 25.955.094 TOTAL COMPREHENSIVE INCOME | JUMLAH LABA KOMPREHENSIF | 30.798.386 | 25.955.094 | TOTAL COMPREHENSIVE INCOME |
| 36 | LABA BERSIH PER SAHAM DASAR BASIC AND DILUTED EARNINGS | LABA BERSIH PER SAHAM DASAR | BASIC AND DILUTED EARNINGS | ||
| 37 | DAN DILUSIAN YANG DAPAT PER SHARE ATTRIBUTABLE TO/// | DAN DILUSIAN YANG DAPAT | PER SHARE ATTRIBUTABLE TO/// | ||
| 38 | DIATRIBUSIKAN KEPADA PEMILIK EQUITY HOLDERS OF THE/// | DIATRIBUSIKAN KEPADA PEMILIK | EQUITY HOLDERS OF THE/// | ||
| 39 | ENTITAS INDUK (nilai penuh) 242 215 PARENT ENTITY (in full amount)/// | ENTITAS INDUK (nilai penuh) | 242 | 215 | PARENT ENTITY (in full amount)/// |
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 | 106 785.31 |
| Debt Short | 1 014.51 |
| Debt Long | 500 |
| Активы | 1 504 118.98 |
| Капитал | 261 800.91 |
| Чистый долг | -105 270.81 |
Tables and checks run on 2 of 3 PDF pages for this form (timeout budget). Raise REPORT_REVIEW_HEAVY_RECON_PAGES for more.
| # | Joined label | Line item | 2025 | 31 December 2024 |
|---|---|---|---|---|
| 0 | DAN 31 DESEMBER 2024 (DIAUDIT) AND 31 DECEMBER 2024 (AUDITED) | DAN 31 DESEMBER 2024 (DIAUDIT) | AND 31 DECEMBER 2024 (AUDITED) | |
| 1 | (Dalam jutaan Rupiah, kecuali dinyatakan lain) (Expressed in millions of Rupiah, unless otherwise stated) | (Dalam jutaan Rupiah, kecuali dinyatakan lain) | (Expressed in millions of Rupiah, unless otherwise stated) | |
| 2 | 30 Juni/ 31 Desember/ | 30 Juni/ | 31 Desember/ | |
| 3 | June 2025 December 2024 | June 2025 | December 2024 | |
| 4 | ASET ASSETS | ASET | ASSETS | |
| 5 | Kas 22.133.977 29.285.819 Cash | Kas | 22.133.977 | 29.285.819 Cash |
| 6 | Giro pada Bank Indonesia 51.038.995 35.165.855 Current accounts with Bank Indonesia | Giro pada Bank Indonesia | 51.038.995 | 35.165.855 Current accounts with Bank Indonesia |
| 7 | Giro pada bank-bank lain - setelah Current accounts with other banks - net | Giro pada bank-bank lain - setelah | Current accounts with other banks - net | |
| 8 | dikurangi cadangan kerugian of allowance for impairment/// | dikurangi cadangan kerugian | of allowance for impairment/// | |
| 9 | penurunan nilai sebesar Rp 806 losses of Rp 806 as of/// | penurunan nilai sebesar Rp 806 | losses of Rp 806 as of/// | |
| 10 | pada tanggal 30 Juni 2025 30 June 2025/// | pada tanggal 30 Juni 2025 | 30 June 2025/// | |
| 11 | (31 Desember 2024: Rp 520) 8.428.316 4.019.739 (31 December 2024: Rp 520)/// | (31 Desember 2024: Rp 520) | 8.428.316 | 4.019.739 (31 December 2024: Rp 520)/// |
| 12 | Penempatan pada Bank Indonesia dan | Penempatan pada Bank Indonesia dan | ||
| 13 | bank-bank lain - setelah dikurangi Placements with Bank Indonesia and | bank-bank lain - setelah dikurangi | Placements with Bank Indonesia and | |
| 14 | cadangan kerugian penurunan nilai other banks - net of allowance for/// | cadangan kerugian penurunan nilai | other banks - net of allowance for/// | |
| 15 | sebesar Rp 4.923 pada tanggal impairment losses of Rp 4,923 as of/// | sebesar Rp 4.923 pada tanggal | impairment losses of Rp 4,923 as of/// | |
| 16 | 30 Juni 2025 30 June 2025/// | 30 Juni 2025 | 30 June 2025/// | |
| 17 | (31 Desember 2024: Rp 1.708) 22.599.028 14.246.183 (31 December 2024: Rp 1,708)/// | (31 Desember 2024: Rp 1.708) | 22.599.028 | 14.246.183 (31 December 2024: Rp 1,708)/// |
| 18 | Aset keuangan yang diukur pada nilai Financial assets at fair value through | Aset keuangan yang diukur pada nilai | Financial assets at fair value through | |
| 19 | wajar melalui laba rugi 20.524.607 21.044.715 profit or loss/// | wajar melalui laba rugi | 20.524.607 | 21.044.715 profit or loss/// |
| 20 | Tagihan akseptasi - setelah dikurangi Acceptance receivables - net of | Tagihan akseptasi - setelah dikurangi | Acceptance receivables - net of | |
| 21 | cadangan kerugian penurunan nilai allowance for impairment/// | cadangan kerugian penurunan nilai | allowance for impairment/// | |
| 22 | sebesar Rp 235.640 pada tanggal losses of Rp 235,640 as of/// | sebesar Rp 235.640 pada tanggal | losses of Rp 235,640 as of/// | |
| 23 | 30 Juni 2025 30 June 2025/// | 30 Juni 2025 | 30 June 2025/// | |
| 24 | (31 Desember 2024: Rp 440.695) 10.769.762 9.621.047 (31 December 2024: Rp 440,695)/// | (31 Desember 2024: Rp 440.695) | 10.769.762 | 9.621.047 (31 December 2024: Rp 440,695)/// |
| 25 | Wesel tagih - setelah dikurangi | Wesel tagih - setelah dikurangi | ||
| 26 | cadangan kerugian penurunan nilai Bills receivable - net of allowance for | cadangan kerugian penurunan nilai | Bills receivable - net of allowance for | |
| 27 | sebesar Rp 2.240 pada tanggal impairment losses of Rp 2,240 as of/// | sebesar Rp 2.240 pada tanggal | impairment losses of Rp 2,240 as of/// | |
| 28 | 30 Juni 2025 30 June 2025/// | 30 Juni 2025 | 30 June 2025/// | |
| 29 | (31 Desember 2024: Rp 3.116) 4.312.862 8.891.769 (31 December 2024: Rp 3,116)/// | (31 Desember 2024: Rp 3.116) | 4.312.862 | 8.891.769 (31 December 2024: Rp 3,116)/// |
| 30 | Efek-efek yang dibeli dengan janji Securities purchased under agreements | Efek-efek yang dibeli dengan janji | Securities purchased under agreements | |
| 31 | dijual kembali 12.913.132 862.849 to resell/// | dijual kembali | 12.913.132 | 862.849 to resell/// |
| 32 | Kredit yang diberikan - setelah dikurangi | Kredit yang diberikan - setelah dikurangi | ||
| 33 | cadangan kerugian penurunan nilai Loans receivable - net of allowance for | cadangan kerugian penurunan nilai | Loans receivable - net of allowance for | |
| 34 | sebesar Rp 32.913.668 pada tanggal impairment losses of Rp 32,913,668/// | sebesar Rp 32.913.668 pada tanggal | impairment losses of Rp 32,913,668/// | |
| 35 | 30 Juni 2025 as of 30 June 2025/// | 30 Juni 2025 | as of 30 June 2025/// | |
| 36 | (31 Desember 2024: Rp 32.382.006) (31 December 2024: Rp 32,382,006)/// | (31 Desember 2024: Rp 32.382.006) | (31 December 2024: Rp 32,382,006)/// | |
| 37 | Pihak berelasi 9.316.572 7.296.837 Related parties/// | Pihak berelasi | 9.316.572 | 7.296.837 Related parties/// |
| 38 | Pihak ketiga 887.308.466 855.233.239 Third parties/// | Pihak ketiga | 887.308.466 | 855.233.239 Third parties/// |
| 39 | Efek-efek untuk tujuan investasi - setelah Investment securities - net of allowance | Efek-efek untuk tujuan investasi - setelah | Investment securities - net of allowance | |
| 40 | dikurangi cadangan kerugian penurunan for impairment losses of/// | dikurangi cadangan kerugian penurunan | for impairment losses of/// | |
| 41 | nilai sebesar Rp 396.629 pada tanggal Rp 396,629 as of/// | nilai sebesar Rp 396.629 pada tanggal | Rp 396,629 as of/// | |
| 42 | 30 Juni 2025 30 June 2025/// | 30 Juni 2025 | 30 June 2025/// | |
| 43 | (31 Desember 2024: Rp 374.454) 341.905.021 352.643.621 (31 December 2024: Rp 374,454)/// | (31 Desember 2024: Rp 374.454) | 341.905.021 | 352.643.621 (31 December 2024: Rp 374,454)/// |
| 44 | Biaya dibayar dimuka 1.155.039 617.971 Prepaid expenses | Biaya dibayar dimuka | 1.155.039 | 617.971 Prepaid expenses |
| 45 | Pajak dibayar dimuka 30.079 1.532.246 Prepaid tax | Pajak dibayar dimuka | 30.079 | 1.532.246 Prepaid tax |
| 46 | Aset tetap - setelah dikurangi akumulasi Fixed assets - net of accumulated | Aset tetap - setelah dikurangi akumulasi | Fixed assets - net of accumulated | |
| 47 | penyusutan sebesar Rp 10.233.645 depreciation of Rp 10,233,645 as of/// | penyusutan sebesar Rp 10.233.645 | depreciation of Rp 10,233,645 as of/// | |
| 48 | pada tanggal 30 Juni 2025 30 June 2025/// | pada tanggal 30 Juni 2025 | 30 June 2025/// | |
| 49 | (31 Desember 2024: Rp 9.244.266) 26.908.932 27.347.687 (31 December 2024: Rp 9,244,266)/// | (31 Desember 2024: Rp 9.244.266) | 26.908.932 | 27.347.687 (31 December 2024: Rp 9,244,266)/// |
No subtotal/total rows matched the built-in patterns on this table (or fewer than two detail lines above each candidate).
| # | Joined label | Line item | 2025 | 30 June 2025 |
|---|---|---|---|---|
| 0 | (Dalam jutaan Rupiah, kecuali dinyatakan lain) (Expressed in millions of Rupiah, unless otherwise stated) | (Dalam jutaan Rupiah, kecuali dinyatakan lain) | (Expressed in millions of Rupiah, unless otherwise stated) | |
| 1 | 30 Juni/ 31 Desember/ | 30 Juni/ | 31 Desember/ | |
| 2 | June 2025 December 2024 | June 2025 | December 2024 | |
| 3 | ASET (lanjutan) ASSETS (continued) | ASET (lanjutan) | ASSETS (continued) | |
| 4 | Aset takberwujud - setelah dikurangi | Aset takberwujud - setelah dikurangi | ||
| 5 | akumulasi amortisasi sebesar Intangible assets - net of accumulated | akumulasi amortisasi sebesar | Intangible assets - net of accumulated | |
| 6 | Rp 746.753 pada tanggal amortisation of Rp 746,753 as of/// | Rp 746.753 pada tanggal | amortisation of Rp 746,753 as of/// | |
| 7 | 30 Juni 2025 30 June 2025/// | 30 Juni 2025 | 30 June 2025/// | |
| 8 | (31 Desember 2024: Rp 662.728) 529.439 586.410 (31 December 2024: Rp 662,728)/// | (31 Desember 2024: Rp 662.728) | 529.439 | 586.410 (31 December 2024: Rp 662,728)/// |
| 9 | Aset pajak tangguhan - bersih 4.473.406 5.181.176 Deferred tax assets - net | Aset pajak tangguhan - bersih | 4.473.406 | 5.181.176 Deferred tax assets - net |
| 10 | Penyertaan saham - setelah dikurangi | Penyertaan saham - setelah dikurangi | ||
| 11 | cadangan kerugian penurunan nilai Investment in shares - net of allowance | cadangan kerugian penurunan nilai | Investment in shares - net of allowance | |
| 12 | sebesar Rp 105.841 pada tanggal for impairment losses of Rp 105,841/// | sebesar Rp 105.841 pada tanggal | for impairment losses of Rp 105,841/// | |
| 13 | 30 Juni 2025 as of 30 June 2025/// | 30 Juni 2025 | as of 30 June 2025/// | |
| 14 | (31 Desember 2024: Rp 105.260) 10.303.000 10.245.537 (31 December 2024: Rp 105,260)/// | (31 Desember 2024: Rp 105.260) | 10.303.000 | 10.245.537 (31 December 2024: Rp 105,260)/// |
| 15 | Aset lain-lain - setelah dikurangi | Aset lain-lain - setelah dikurangi | ||
| 16 | cadangan kerugian penurunan nilai Other assets - net of allowance | cadangan kerugian penurunan nilai | Other assets - net of allowance | |
| 17 | sebesar Rp 391 pada tanggal for impairment losses of/// | sebesar Rp 391 pada tanggal | for impairment losses of/// | |
| 18 | 30 Juni 2025 Rp 391 as of 30 June 2025/// | 30 Juni 2025 | Rp 391 as of 30 June 2025/// | |
| 19 | (31 Desember 2024: Rp 991) (31 December 2024: Rp 991)/// | (31 Desember 2024: Rp 991) | (31 December 2024: Rp 991)/// | |
| 20 | Pihak berelasi 9.589 9.511 Related parties | Pihak berelasi | 9.589 | 9.511 Related parties |
| 21 | Pihak ketiga 25.189.091 22.497.679 Third parties | Pihak ketiga | 25.189.091 | 22.497.679 Third parties |
| 22 | JUMLAH ASET 1.459.849.313 1.406.329.890 TOTAL ASSETS | JUMLAH ASET | 1.459.849.313 | 1.406.329.890 TOTAL ASSETS |
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 |
|---|---|
| Операц. ДДС | 40 923.22 |
| Инвест. ДДС | 13 076.54 |
| # | Joined label | Line item | 30 June 2025 | 2024 | CASH FLOWS FROM OPERATING → ACTIV… |
|---|---|---|---|---|---|
| 0 | PT BANK CENTRAL ASIA Tbk | PT BANK CENTRAL ASIA Tbk | |||
| 1 | INFORMASI TAMBAHAN ADDITIONAL INFORMATION | INFORMASI TAMBAHAN | ADDITIONAL INFORMATION | ||
| 2 | LAPORAN ARUS KAS (ENTITAS INDUK SAJA) STATEMENTS OF CASH FLOWS (PARENT ENTITIY ONLY) | LAPORAN ARUS KAS (ENTITAS INDUK SAJA) | STATEMENTS OF CASH FLOWS (PARENT ENTITIY ONLY) | ||
| 3 | UNTUK PERIODE ENAM BULAN YANG BERAKHIR FOR THE SIX-MONTH PERIODS ENDED | UNTUK PERIODE ENAM BULAN YANG BERAKHIR | FOR THE SIX-MONTH PERIODS ENDED | ||
| 4 | 30 JUNI 2025 DAN 2024 (TIDAK DIAUDIT) 30 JUNE 2025 AND 2024 (UNAUDITED) | 30 JUNI 2025 DAN 2024 (TIDAK DIAUDIT) | 30 JUNE 2025 AND 2024 (UNAUDITED) | ||
| 5 | (Dalam jutaan Rupiah, kecuali dinyatakan lain) (Expressed in millions of Rupiah, unless otherwise stated) | (Dalam jutaan Rupiah, kecuali dinyatakan lain) | (Expressed in millions of Rupiah, unless otherwise stated) | ||
| 6 | (Dalam jutaan Rupiah, kecuali dinyatakan lain) (Expressed in millions of Rupiah, unless otherwise stated) | (Dalam jutaan Rupiah, kecuali dinyatakan lain) | (Expressed in millions of Rupiah, unless otherwise stated) | ||
| 7 | 30 Juni/ 30 Juni/ | 30 Juni/ | 30 Juni/ | ||
| 8 | June 2025 June 2024 | June 2025 | June 2024 | ||
| 9 | CASH FLOWS FROM OPERATING | CASH FLOWS FROM OPERATING | |||
| 10 | ARUS KAS DARI AKTIVITAS OPERASI ACTIVITIES/// | ARUS KAS DARI AKTIVITAS OPERASI | ACTIVITIES/// | ||
| 11 | Penerimaan pendapatan bunga, Receipts of interest income, fees | Penerimaan pendapatan bunga, | Receipts of interest income, fees | ||
| 12 | provisi dan komisi 53.579.632 51.909.879 and commissions | provisi dan komisi | 53.579.632 | 51.909.879 | and commissions |
| 13 | Pendapatan operasional lainnya 962.675 819.478 Other operating income | Pendapatan operasional lainnya | 962.675 | 819.478 | Other operating income |
| 14 | Pembayaran beban bunga, provisi, Payments of interest expenses, | Pembayaran beban bunga, provisi, | Payments of interest expenses, | ||
| 15 | dan komisi (6.234.555) (5.835.388) fees, and commissions | dan komisi | (6.234.555) | (5.835.388) | fees, and commissions |
| 16 | Pendapatan (beban) dari transaksi Gains (losses) from foreign exchange | Pendapatan (beban) dari transaksi | Gains (losses) from foreign exchange | ||
| 17 | valuta asing - bersih 358.434 2.558.565 transactions - net | valuta asing - bersih | 358.434 | 2.558.565 | transactions - net |
| 18 | Beban operasional lainnya (14.365.823) (15.555.130) Other operating expenses | Beban operasional lainnya | (14.365.823) | (15.555.130) | Other operating expenses |
| 19 | Pembayaran tantiem Dewan Komisaris Payment of tantiem to Board of | Pembayaran tantiem Dewan Komisaris | Payment of tantiem to Board of | ||
| 20 | dan Direksi (887.700) (765.000) Commissioners and Board of Directors | dan Direksi | (887.700) | (765.000) | Commissioners and Board of Directors |
| 21 | Kenaikan (penurunan) lainnya yang Other increases (decreases) affecting | Kenaikan (penurunan) lainnya yang | Other increases (decreases) affecting | ||
| 22 | mempengaruhi kas: cash: | mempengaruhi kas: | cash: | ||
| 23 | Penempatan pada Bank Indonesia Placements with Bank Indonesia and | Penempatan pada Bank Indonesia | Placements with Bank Indonesia and | ||
| 24 | dan bank-bank lain yang jatuh tempo other banks - mature more | dan bank-bank lain yang jatuh tempo | other banks - mature more | ||
| 25 | lebih dari 3 (tiga) bulan sejak tanggal than 3 (three) months from | lebih dari 3 (tiga) bulan sejak tanggal | than 3 (three) months from | ||
| 26 | perolehan (439.019) (500.000) the date of acquisition | perolehan | (439.019) | (500.000) | the date of acquisition |
| 27 | Aset keuangan yang diukur pada Financial assets at fair value | Aset keuangan yang diukur pada | Financial assets at fair value | ||
| 28 | nilai wajar melalui laba rugi 1.349.466 (7.143.260) through profit or loss | nilai wajar melalui laba rugi | 1.349.466 | (7.143.260) | through profit or loss |
| 29 | Tagihan akseptasi (943.660) 2.940.787 Acceptance receivables | Tagihan akseptasi | (943.660) | 2.940.787 | Acceptance receivables |
| 30 | Wesel tagih 4.578.136 3.237.667 Bills receivable | Wesel tagih | 4.578.136 | 3.237.667 | Bills receivable |
| 31 | Efek-efek yang dibeli dengan janji Securities purchased under | Efek-efek yang dibeli dengan janji | Securities purchased under | ||
| 32 | dijual kembali (12.050.283) 40.740.104 agreements to resell////// | dijual kembali | (12.050.283) | 40.740.104 | agreements to resell////// |
| 33 | Kredit yang diberikan (35.928.310) (35.630.604) Loans receivable | Kredit yang diberikan | (35.928.310) | (35.630.604) | Loans receivable |
| 34 | Aset lain-lain (673.206) (484.711) Other assets | Aset lain-lain | (673.206) | (484.711) | Other assets |
| 35 | Simpanan dari nasabah 53.480.345 17.246.629 Deposits from customers | Simpanan dari nasabah | 53.480.345 | 17.246.629 | Deposits from customers |
| 36 | Simpanan dari bank-bank lain (189.579) (2.340.905) Deposits from other banks | Simpanan dari bank-bank lain | (189.579) | (2.340.905) | Deposits from other banks |
| 37 | Utang akseptasi 803.884 (1.320.221) Acceptance payables | Utang akseptasi | 803.884 | (1.320.221) | Acceptance payables |
| 38 | Beban yang masih harus dibayar | Beban yang masih harus dibayar | |||
| 39 | dan liabilitas lain-lain (1.752.510) (253.167) Accruals and other liabilities | dan liabilitas lain-lain | (1.752.510) | (253.167) | Accruals and other liabilities |
| 40 | Kas bersih yang diperoleh dari | Kas bersih yang diperoleh dari | |||
| 41 | (digunakan untuk) aktivitas Net cash provided by (used in) | (digunakan untuk) aktivitas | Net cash provided by (used in) | ||
| 42 | operasi sebelum pembayaran operating activities before/// | operasi sebelum pembayaran | operating activities before/// | ||
| 43 | pajak penghasilan 41.647.927 49.624.723 income tax/// | pajak penghasilan | 41.647.927 | 49.624.723 | income tax/// |
| 44 | Pembayaran pajak penghasilan (5.317.177) (5.709.062) Payment of income tax | Pembayaran pajak penghasilan | (5.317.177) | (5.709.062) | Payment of income tax |
| 45 | Kas bersih yang diperoleh dari Net cash provided by (used in) | Kas bersih yang diperoleh dari | Net cash provided by (used in) | ||
| 46 | (digunakan untuk) aktivitas operasi 36.330.750 43.915.661 operating activities/// | (digunakan untuk) aktivitas operasi | 36.330.750 | 43.915.661 | operating activities/// |
| 47 | CASH FLOWS FROM INVESTING | CASH FLOWS FROM INVESTING | |||
| 48 | ARUS KAS DARI AKTIVITAS INVESTASI ACTIVITIES/// | ARUS KAS DARI AKTIVITAS INVESTASI | ACTIVITIES/// | ||
| 49 | Pembelian efek-efek untuk tujuan | Pembelian efek-efek untuk tujuan | |||
| 50 | investasi (48.637.830) (61.917.663) Acquisition of investment securities | investasi | (48.637.830) | (61.917.663) | Acquisition of investment securities |
| 51 | Penerimaan dari efek-efek tujuan Proceeds from investment | Penerimaan dari efek-efek tujuan | Proceeds from investment | ||
| 52 | investasi yang jatuh tempo securities that matured | investasi yang jatuh tempo | securities that matured | ||
| 53 | selama periode berjalan 63.172.358 35.565.140 during the period | selama periode berjalan | 63.172.358 | 35.565.140 | during the period |
| 54 | Penerimaan dividen kas dari efek-efek Cash dividends received from | Penerimaan dividen kas dari efek-efek | Cash dividends received from | ||
| 55 | untuk tujuan investasi 2.186.016 769.707 investment in shares | untuk tujuan investasi | 2.186.016 | 769.707 | investment in shares |
| 56 | Perolehan aset tetap (373.422) (428.766) Acquisition of fixed assets | Perolehan aset tetap | (373.422) | (428.766) | Acquisition of fixed assets |
| 57 | Setoran modal pada Entitas Anak (58.044) - Paid in Capital with Subsidiary | Setoran modal pada Entitas Anak | (58.044) | - | Paid in Capital with Subsidiary |
| 58 | Perolehan aset hak guna (189.506) (282.011) Acquisition of right-of-use assets | Perolehan aset hak guna | (189.506) | (282.011) | Acquisition of right-of-use assets |
| 59 | Hasil penjualan aset tetap 34 900 Proceeds from sale of fixed assets | Hasil penjualan aset tetap | 34 | 900 | Proceeds from sale of fixed assets |
| 60 | Kas bersih yang diperoleh dari Net cash provided by (used in) | Kas bersih yang diperoleh dari | Net cash provided by (used in) | ||
| 61 | (digunakan untuk) aktivitas investasi 16.099.606 (26.292.693) investing activities/// | (digunakan untuk) aktivitas investasi | 16.099.606 | (26.292.693) | investing activities/// |
No subtotal/total rows matched the built-in patterns on this table (or fewer than two detail lines above each candidate).
| # | Joined label | Line item | 30 June 2025 | 2024 | CASH FLOWS FROM FINANCING → ACTIV… |
|---|---|---|---|---|---|
| 0 | PT BANK CENTRAL ASIA Tbk | PT BANK CENTRAL ASIA Tbk | |||
| 1 | INFORMASI TAMBAHAN ADDITIONAL INFORMATION | INFORMASI TAMBAHAN | ADDITIONAL INFORMATION | ||
| 2 | LAPORAN ARUS KAS (ENTITAS INDUK SAJA) STATEMENTS OF CASH FLOWS (PARENT ENTITIY ONLY) | LAPORAN ARUS KAS (ENTITAS INDUK SAJA) | STATEMENTS OF CASH FLOWS (PARENT ENTITIY ONLY) | ||
| 3 | UNTUK PERIODE ENAM BULAN YANG BERAKHIR FOR THE SIX-MONTH PERIODS ENDED | UNTUK PERIODE ENAM BULAN YANG BERAKHIR | FOR THE SIX-MONTH PERIODS ENDED | ||
| 4 | 30 JUNI 2025 DAN 2024 (TIDAK DIAUDIT) 30 JUNE 2025 AND 2024 (UNAUDITED) | 30 JUNI 2025 DAN 2024 (TIDAK DIAUDIT) | 30 JUNE 2025 AND 2024 (UNAUDITED) | ||
| 5 | (Dalam jutaan Rupiah, kecuali dinyatakan lain) (Expressed in millions of Rupiah, unless otherwise stated) | (Dalam jutaan Rupiah, kecuali dinyatakan lain) | (Expressed in millions of Rupiah, unless otherwise stated) | ||
| 6 | (Dalam jutaan Rupiah, kecuali dinyatakan lain) (Expressed in millions of Rupiah, unless otherwise stated) | (Dalam jutaan Rupiah, kecuali dinyatakan lain) | (Expressed in millions of Rupiah, unless otherwise stated) | ||
| 7 | 30 Juni/ 30 Juni/ | 30 Juni/ | 30 Juni/ | ||
| 8 | June 2025 June 2024 | June 2025 | June 2024 | ||
| 9 | CASH FLOWS FROM FINANCING | CASH FLOWS FROM FINANCING | |||
| 10 | ARUS KAS DARI AKTIVITAS PENDANAAN ACTIVITIES/// | ARUS KAS DARI AKTIVITAS PENDANAAN | ACTIVITIES/// | ||
| 11 | Penerimaan pinjaman yang diterima 88.247 - Proceeds from borrowings | Penerimaan pinjaman yang diterima | 88.247 | - | Proceeds from borrowings |
| 12 | Pembayaran pinjaman yang diterima - (21.822) Payment of borrowings | Pembayaran pinjaman yang diterima | - | (21.822) | Payment of borrowings |
| 13 | Pembayaran dividen kas (30.818.763) (28.045.074) Payment of cash dividends | Pembayaran dividen kas | (30.818.763) | (28.045.074) | Payment of cash dividends |
| 14 | Saham yang diperoleh kembali (249.992) - Treasury stock | Saham yang diperoleh kembali | (249.992) | - | Treasury stock |
| 15 | Pembayaran efek-efek yang dijual Payment of securities sold under | Pembayaran efek-efek yang dijual | Payment of securities sold under | ||
| 16 | dengan janji dibeli kembali (785.781) (972.534) agreements to repurchase | dengan janji dibeli kembali | (785.781) | (972.534) | agreements to repurchase |
| 17 | Kas bersih yang diperoleh dari | Kas bersih yang diperoleh dari | |||
| 18 | (digunakan untuk) aktivitas Net cash provided by (used in) | (digunakan untuk) aktivitas | Net cash provided by (used in) | ||
| 19 | pendanaan (31.766.289) (29.039.430) financing activities/// | pendanaan | (31.766.289) | (29.039.430) | financing activities/// |
| 20 | KENAIKAN (PENURUNAN) BERSIH KAS NET INCREASE (DECREASE) IN CASH | KENAIKAN (PENURUNAN) BERSIH KAS | NET INCREASE (DECREASE) IN CASH | ||
| 21 | DAN SETARA KAS 20.664.067 (11.416.462) AND CASH EQUIVALENTS/// | DAN SETARA KAS | 20.664.067 | (11.416.462) | AND CASH EQUIVALENTS/// |
| 22 | CASH AND CASH EQUIVALENTS, | CASH AND CASH EQUIVALENTS, | |||
| 23 | KAS DAN SETARA KAS, AWAL TAHUN 82.719.824 121.044.772 BEGINNING OF YEAR/// | KAS DAN SETARA KAS, AWAL TAHUN | 82.719.824 | 121.044.772 | BEGINNING OF YEAR/// |
| 24 | EFFECT OF FOREIGN EXCHANGE RATE | EFFECT OF FOREIGN EXCHANGE RATE | |||
| 25 | PENGARUH FLUKTUASI KURS VALUTA FLUCTUATIONS ON CASH AND CASH/// | PENGARUH FLUKTUASI KURS VALUTA | FLUCTUATIONS ON CASH AND CASH/// | ||
| 26 | ASING PADA KAS DAN SETARA KAS 381.004 (818.252) EQUIVALENTS/// | ASING PADA KAS DAN SETARA KAS | 381.004 | (818.252) | EQUIVALENTS/// |
| 27 | KAS DAN SETARA KAS, AKHIR CASH AND CASH EQUIVALENTS, | KAS DAN SETARA KAS, AKHIR | CASH AND CASH EQUIVALENTS, | ||
| 28 | PERIODE 103.764.895 108.810.058 END OF PERIOD/// | PERIODE | 103.764.895 | 108.810.058 | END OF PERIOD/// |
| 29 | Kas dan setara kas terdiri dari: Cash and cash equivalents consist of: | Kas dan setara kas terdiri dari: | Cash and cash equivalents consist of: | ||
| 30 | Kas 22.133.977 16.794.418 Cash | Kas | 22.133.977 | 16.794.418 | Cash |
| 31 | Giro pada Bank Indonesia 51.038.995 70.525.030 Current accounts with Bank Indonesia | Giro pada Bank Indonesia | 51.038.995 | 70.525.030 | Current accounts with Bank Indonesia |
| 32 | Giro pada bank-bank lain 8.429.122 6.034.404 Current accounts with Other Banks | Giro pada bank-bank lain | 8.429.122 | 6.034.404 | Current accounts with Other Banks |
| 33 | Penempatan pada Bank Indonesia Placement with Bank Indonesia and | Penempatan pada Bank Indonesia | Placement with Bank Indonesia and | ||
| 34 | dan bank-bank lain yang jatuh tempo other banks - mature within | dan bank-bank lain yang jatuh tempo | other banks - mature within | ||
| 35 | dalam 3 (tiga) bulan atau kurang than 3 (three) months or less | dalam 3 (tiga) bulan atau kurang | than 3 (three) months or less | ||
| 36 | sejak tanggal perolehan 22.162.801 15.456.206 from the date of acquisition | sejak tanggal perolehan | 22.162.801 | 15.456.206 | from the date of acquisition |
| 37 | Jumlah kas dan setara kas 103.764.895 108.810.058 Total cash and cash equivalents | Jumlah kas dan setara kas | 103.764.895 | 108.810.058 | Total cash and cash equivalents |
No subtotal/total rows matched the built-in patterns on this table (or fewer than two detail lines above each candidate).