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ID_ICBP 2026-03-31 Q1 — report review

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: Ссылка

PDF (local): data/raw_pdfs/ID_ICBP/2026-03-31_Q1_ICBP_Q1_2026.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)

Сопоставление метрик (значение → evidence)

Значения метрик приведены к единицам дашборда, где это применимо; в колонке evidence — сохранённый фрагмент из текстового слоя PDF или OCR на этапе извлечения.

MetricValueEvidence / page extract
Выручка21 715.72
Опер. прибыль4 618.58
Аморт. и износ478.23Row: Penyusutan dan amortisasi / Depreciation and amortization (from segment information) (CF direct method; scale x1000.0; mln) · dashboard=478.233 mln — [DeepSeek] Penyusutan dan amortisasi / Depreciation and amortization (from segment information) (CF direct method; scale x1000.0; mln)
EBITDA5 096.81Row: operating_profit + da (mln) · dashboard=5,096.815 mln — operating_profit + da (mln)
Чистая прибыль2 573.9
Cash30 353.18
Debt short812.81
Debt long47 107.99
Чистый долг17 567.62Компоненты: краткосрочный долг 812.81 + долгосрочный 47 107.99 + прочие фин. обязательства 0 + доля НКУ 0 − денежные средства 30 353.18 = чистый долг 17 567.62.Row: debt_short + debt_long + other_financial_liabilities + non_controlling_interest − cash (from row components) · dashboard=17,567.625 mln — debt_short + debt_long + other_financial_liabilities + non_controlling_interest − cash (from row components)
Операц. ДДС2 157.81
Инвест. ДДС-820.38
Активы140 153.05
Капитал54 595.22

Проверки финансовой согласованности · Не пройдены

Балансовое тождество (A = L + E)Implied total liabilities (TA − TE) = 85,558; known debt components fit within that envelope.
Формула чистого долгаnet_debt 17,568 matches |debt_short|+|debt_long|+|other|+|NCI|−|cash| = 17,568.
EBITDA = OP + D&AEBITDA (5,097) ≈ OP (4,619) + D&A (478) = 5,097.
Чистая прибыль vs операционнаяNet profit (2,574) sits within a plausible band vs operating profit (4,619).
Денежные средства ≤ активовCash (30,353) ≤ total assets (140,153).
Изменение долга против предыдущего периодаTotal interest-bearing debt fell 100% vs prior period (47,431,727 → 47,921). Financing cash flow not extracted — can't verify the move was real (could be an OCR miss of a major debt line).
subtotal_CF_Aktivitas Investasi (820.379 ) (1.255.511 ) NetAktivitas Investasi (820.379 ) (1.255.511 ) Net Cash Used in Investing Activities: Σ detail = 6,762,773 ≠ reported -820; diff +6,763,594 (100.0% of scale, 13 lines).

Statement pages (discovery)

FormPages
P&L
BS
CF10

Превью страниц и восстановленные таблицы

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).

CF

Извлечённые метрики по этой форме (строка периода)

ПоказательЗначение
Операц. ДДС2 157.81
Инвест. ДДС-820.38
CF — PDF page 10
Скан страницы PDF — CF — 10
CF PDF page 10

Camelot table (pages 10, primary page 10).

#Joined labelLine itemNotes20262025CASH FLOWS FROM OPERATING → ACTIV…
0Notes 2026 2025Notes20262025
1CASH FLOWS FROM OPERATINGCASH FLOWS FROM OPERATING
2ARUS KAS DARI AKTIVITAS OPERASI ACTIVITIESARUS KAS DARI AKTIVITAS OPERASIACTIVITIES
3Penerimaan kas dari pelanggan 19.841.092 17.499.009 Cash received from customersPenerimaan kas dari pelanggan19.841.09217.499.009Cash received from customers
4Pembayaran kas kepada pemasok (11.996.820 ) (10.932.573 ) Cash paid to suppliersPembayaran kas kepada pemasok(11.996.820 )(10.932.573 )Cash paid to suppliers
5Pembayaran untuk beban produksi dan Payments for production andPembayaran untuk beban produksi danPayments for production and
6usaha (3.669.350 ) (3.260.519 ) operating expensesusaha(3.669.350 )(3.260.519 )operating expenses
7Pembayaran kepada karyawan (1.872.969 ) (1.870.929 ) Payments to employeesPembayaran kepada karyawan(1.872.969 )(1.870.929 )Payments to employees
8Kas yang diperoleh dari operasi 2.301.953 1.434.988 Cash generated from operationsKas yang diperoleh dari operasi2.301.9531.434.988Cash generated from operations
9Penerimaan penghasilan bunga 171.492 210.975 Receipts of interest incomePenerimaan penghasilan bunga171.492210.975Receipts of interest income
10Pembayaran pajak - neto (305.485 ) (125.105 ) Payments of taxes - netPembayaran pajak - neto(305.485 )(125.105 )Payments of taxes - net
11Pembayaran beban keuangan (29.031 ) (34.205 ) Payments of finance expensesPembayaran beban keuangan(29.031 )(34.205 )Payments of finance expenses
12Penerimaan (pembayaran) lainnya - neto 18.877 127.128 Other receipts (payments) - netPenerimaan (pembayaran) lainnya - neto18.877127.128Other receipts (payments) - net
13Kas Neto yang Diperoleh dari Aktivitas Net Cash Provided by OperatingKas Neto yang Diperoleh dari AktivitasNet Cash Provided by Operating
14Operasi 2.157.806 1.613.781 ActivitiesOperasi2.157.8061.613.781Activities
15CASH FLOWS FROM INVESTINGCASH FLOWS FROM INVESTING
16ARUS KAS DARI AKTIVITAS INVESTASI ACTIVITIESARUS KAS DARI AKTIVITAS INVESTASIACTIVITIES
17Penerimaan dari penjualan aset tetap 10 2.921 953 Proceeds from sale of fixed assetsPenerimaan dari penjualan aset tetap102.921953Proceeds from sale of fixed assets
18Penambahan investasi jangka pendek - (338.080 ) Additions of short-term investmentsPenambahan investasi jangka pendek-(338.080 )Additions of short-term investments
19Penambahan aset tetap dan uang muka Additions to fixed assets and advancesPenambahan aset tetap dan uang mukaAdditions to fixed assets and advances
20pembelian aset tetap (823.300 ) (918.384 ) for purchase of fixed assetspembelian aset tetap(823.300 )(918.384 )for purchase of fixed assets
21Kas Neto yang Digunakan untukKas Neto yang Digunakan untuk
22Aktivitas Investasi (820.379 ) (1.255.511 ) Net Cash Used in Investing ActivitiesAktivitas Investasi(820.379 )(1.255.511 )Net Cash Used in Investing Activities
23ARUS KAS DARI AKTIVITAS CASH FLOWS FROM FINANCINGARUS KAS DARI AKTIVITASCASH FLOWS FROM FINANCING
24PENDANAAN ACTIVITIESPENDANAANACTIVITIES
25Penerimaan utang bank jangka pendek 77.495 38.902 Proceeds from short-term bank loanPenerimaan utang bank jangka pendek77.49538.902Proceeds from short-term bank loan
26Penerimaan utang bank jangka panjang 2.135 - Proceeds from long-term bank loanPenerimaan utang bank jangka panjang2.135-Proceeds from long-term bank loan
27Kontribusi modal dari kepentingan Capital contribution from non-controllingKontribusi modal dari kepentinganCapital contribution from non-controlling
28nonpengendali - 21.763 interestsnonpengendali-21.763interests
29Pembayaran dividen kepada kepentingan Payment of dividends to non-Pembayaran dividen kepada kepentinganPayment of dividends to non-
30nonpengendali (185.790 ) (272.043 ) controlling interestsnonpengendali(185.790 )(272.043 )controlling interests
31Pembayaran utang bank jangka pendek (164.429 ) (19.097 ) Payments of short-term bank loansPembayaran utang bank jangka pendek(164.429 )(19.097 )Payments of short-term bank loans
32Pembayaran liabilitas sewa 12 (40.650 ) (50.873 ) Payments of lease liabilitiesPembayaran liabilitas sewa12(40.650 )(50.873 )Payments of lease liabilities
33Pembayaran utang bank jangka panjang 17 (29.447 ) (120.314 ) Payments of long-term bank loansPembayaran utang bank jangka panjang17(29.447 )(120.314 )Payments of long-term bank loans
34Kas Neto yang Digunakan untukKas Neto yang Digunakan untuk
35Aktivitas Pendanaan (340.686 ) (401.662 ) Net Cash Used in Financing ActivitiesAktivitas Pendanaan(340.686 )(401.662 )Net Cash Used in Financing Activities
36Dampak neto perubahan nilai tukar atas Net effect of changes in exchangeDampak neto perubahan nilai tukar atasNet effect of changes in exchange
37kas dan setara kas 139.978 503.229 rates on cash and cash equivalentskas dan setara kas139.978503.229rates on cash and cash equivalents
38Net increase in cash and cashNet increase in cash and cash
39Kenaikan neto kas dan setara kas 1.136.719 459.837 equivalentsKenaikan neto kas dan setara kas1.136.719459.837equivalents
40Cash and cash equivalents atCash and cash equivalents at
41Kas dan setara kas pada awal tahun 29.216.457 25.292.640 beginning of yearKas dan setara kas pada awal tahun29.216.45725.292.640beginning of year
42Cash and cash equivalents atCash and cash equivalents at
43Kas dan setara kas pada akhir tahun 4 30.353.176 25.752.477 end of yearKas dan setara kas pada akhir tahun430.353.17625.752.477end of year

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.

RowLabel (trimmed)Σ detailReported|Δ|/scaleStatus
22Aktivitas Investasi (820.379 ) (1.255.511 ) Net Cash Used in Investing Activities6.763e6-820.381.0001Mismatch (13 lines)

Formulas used