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ID_MIKA 2024-12-31 FY — report review

Status: OK; Currency: IDR; Amounts unit: millions; Forms:

Report published: Not stored for this period — set financial_report_date on the row (EDGAR filingDate, KASE change_date, or manual_catalog).

Full financial report: Report (PDF)

PDF (local): data/raw_pdfs/ID_MIKA/2024-12-31_FY_MIKA_Q4_2024.pdf

To recalculate statement detection and previews from the PDF, use this link The default link runs in the background: a status panel shows phase, elapsed time, rough ETA, CUDA vs CPU, and OOM hints, then loads the finished report. Heavy mode with refresh does this automatically so reverse proxies do not return 502. Add &sync=1 only for one long blocking request (not recommended). You can use ?refresh=1, ?recalc=1, ?nocache=1, or ?recompute=1 on the URL. (block in the browser until done: synchronous refresh)

Default view is fast (metric table + statement page numbers only) so reverse proxies do not time out. Use ?heavy=1 when you need embedded page images and Camelot tables.

Metric mapping (value → extracted evidence)

Metric values use dashboard units where applicable; evidence is the stored snippet from the PDF text layer or OCR used during extraction.

MetricValueEvidence / page extract
Revenue4 874.37
Operating profit1 508.64
D&A311.91Row: Penyusutan aset tetap (Catatan 10) + Amortisasi aset takberwujud (Catatan 11) + Penyusutan aset hak guna (Catatan 12) (CF direct method; scale x1000.0; mln) · dashboard=311.912 mln — [DeepSeek/line] Penyusutan aset tetap (Catatan 10) + Amortisasi aset takberwujud (Catatan 11) + Penyusutan aset hak guna (Catatan 12) (CF di …
EBITDA1 820.56Row: operating_profit + da (mln) · dashboard=1,820.556 mln — operating_profit + da (mln)
Net profit1 146.35Row: Tangguhan; 3.724.034.419; 6.492.558.222; Deferred (after income tax row) · dashboard=1,146.354 mln · pages 12 — [PL page 12] Tangguhan | 15d | 3.724.034.419 | 6.492.558.222 | Deferred (after income tax row)
Cash1 067.64Row: cash (mln IDR, batch apply) · dashboard=1,067.636 mln — [DeepSeek] cash (mln IDR, batch apply)
Debt short1.147Row: not found · dashboard=1.147 mln · pages 14 — [BS page 14] not found
Debt long0.4625Row: not found · dashboard=0.463 mln · pages 14 — [BS page 14] not found
Net debt-1 066.03Components: short debt 1.147 + long debt 0.4625 + other financial liab. 0 + NCI 0 − cash 1 067.64 = net debt -1 066.03.Row: debt_short + debt_long + other_financial_liabilities + non_controlling_interest − cash (from row components) · dashboard=-1,066.027 mln — debt_short + debt_long + other_financial_liabilities + non_controlling_interest − cash (from row components)
Operating CF1 728.91Row: Arus Kas Bersih Diperoleh dari Operasi; 1.728.912.731.527; 1.314.134.014.358; Net Cash Provided by Operating Activities · dashboard=1,728.913 mln · pages 14 — [CF page 14] Arus Kas Bersih Diperoleh dari Operasi | | 1.728.912.731.527 | 1.314.134.014.358 | Net Cash Provided by Operating Activities
Investing CF-998.28Row: Arus Kas Bersih Digunakan untuk Aktivitas Investasi; (998.278.447.137); (637.114.244.868); Net Cash Used in Investing Activities · dashboard=-998.278 mln · pages 14 — [CF page 14] Arus Kas Bersih Digunakan untuk Aktivitas Investasi | | (998.278.447.137) | (637.114.244.868) | Net Cash Used in Investing Activities
Assets8 247.19
Equity6 497.3

Consistency checks · All checks passed

Balance sheet identity (A = L + E)Implied total liabilities (TA − TE) = 1,750; known debt components fit within that envelope.
Net debt formulanet_debt -1,066 matches |debt_short|+|debt_long|+|other|+|NCI|−|cash| = -1,066.
EBITDA = OP + D&AEBITDA (1,821) ≈ OP (1,509) + D&A (312) = 1,821.
Net profit vs operating profitNet profit (1,146) sits within a plausible band vs operating profit (1,509).
Cash ≤ total assetsCash (1,068) ≤ total assets (8,247).

Statement pages (discovery)

FormPages
P&L12
BS14
CF14

Below: last full statement reconstruction (PDF scans + tables + subtotal checks) cached from a ?heavy=1 run. Open heavy mode to rebuild if the PDF, discovery, or extraction changed. full previews & tables (?heavy=1).

Statement previews & reconstructed tables

Highlights Yellow row = matched stored evidence label; orange cell = exact number used for that metric (hover row for details). Revenue Operating profit D&A EBITDA Net profit cash debt_short debt_long Assets Equity Operating CF Investing CF

Green / amber / red bars on the label column mark subtotal rows where summed detail lines match the reported total (heuristic). The table under each reconstructed grid lists every check (Σ detail vs reported, status).

P&L

Extracted metrics for this form (this period row)

MetricValue
Revenue4 874.37
Operating profit1 508.64
EBITDA1 820.56
Net profit1 146.35
D&A311.91
P&L — PDF page 12
PDF page scan — P&L — 12
P&L PDF page 12

Camelot table (pages 12, primary page 12).

#Joined labelLine itemCatatan/ → Notes20242023NET REVENUE → COST OF REVENUE
0Catatan/ 2024 2023Catatan/20242023
1Notes Rp RpNotesRpRp
2PENDAPATAN BERSIH 21 4.874.369.366.591 4.264.279.218.860 NET REVENUEPENDAPATAN BERSIH214.874.369.366.5914.264.279.218.860NET REVENUE
3BEBAN POKOK PENDAPATAN 22 (2.257.944.606.238) (2.135.820.699.784) COST OF REVENUEBEBAN POKOK PENDAPATAN22(2.257.944.606.238)(2.135.820.699.784)COST OF REVENUE
4LABA BRUTO 2.616.424.760.353 2.128.458.519.076 GROSS PROFITLABA BRUTO2.616.424.760.3532.128.458.519.076GROSS PROFIT
5Beban Usaha 23 (1.129.103.484.672) (952.277.926.762) Operating ExpensesBeban Usaha23(1.129.103.484.672)(952.277.926.762)Operating Expenses
6Pendapatan Lain-lain 24 36.811.365.639 36.460.642.442 Other IncomePendapatan Lain-lain2436.811.365.63936.460.642.442Other Income
7Beban Lain-lain (15.488.337.712) (5.622.094.437) Other ExpensesBeban Lain-lain(15.488.337.712)(5.622.094.437)Other Expenses
8LABA USAHA 1.508.644.303.608 1.207.019.140.319 INCOME FROM OPERATIONSLABA USAHA1.508.644.303.6081.207.019.140.319INCOME FROM OPERATIONS
9Pendapatan Keuangan 25 96.720.290.769 72.068.896.605 Finance IncomePendapatan Keuangan2596.720.290.76972.068.896.605Finance Income
10Beban Keuangan (17.536.271.134) (15.499.017.580) Finance CostsBeban Keuangan(17.536.271.134)(15.499.017.580)Finance Costs
11LABA SEBELUM PAJAK PROFIT BEFORELABA SEBELUM PAJAKPROFIT BEFORE
12PENGHASILAN 1.587.828.323.243 1.263.589.019.344 INCOME TAXPENGHASILAN1.587.828.323.2431.263.589.019.344INCOME TAX
13BEBAN PAJAK PENGHASILAN INCOME TAX EXPENSESBEBAN PAJAK PENGHASILANINCOME TAX EXPENSES
14Kini 15d (364.346.014.459) (273.824.945.016) CurrentKini15d(364.346.014.459)(273.824.945.016)Current
15Tangguhan 15d 3.724.034.419 6.492.558.222 DeferredTangguhan15d3.724.034.4196.492.558.222Deferred
16BEBAN PAJAK PENGHASILAN - INCOME TAX EXPENSE -BEBAN PAJAK PENGHASILAN -INCOME TAX EXPENSE -
17BERSIH (360.621.980.040) (267.332.386.794) NETBERSIH(360.621.980.040)(267.332.386.794)NET
18LABA BERSIH NET PROFITLABA BERSIHNET PROFIT
19TAHUN BERJALAN 1.227.206.343.203 996.256.632.550 FOR THE YEARTAHUN BERJALAN1.227.206.343.203996.256.632.550FOR THE YEAR
20PENGHASILAN KOMPREHENSIF OTHER COMPREHENSIVEPENGHASILAN KOMPREHENSIFOTHER COMPREHENSIVE
21LAIN: INCOME:LAIN:INCOME:
22Pos Yang Tidak Akan Items That Will Not bePos Yang Tidak AkanItems That Will Not be
23Direklasifikasi ke Laba Rugi: Reclassified to Profit or LossDireklasifikasi ke Laba Rugi:Reclassified 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.

RowLabel (trimmed)Σ detailReported|Δ|/scaleStatus
4LABA BRUTO 2.616.424.760.353 2.128.458.519.076 GROSS PROFIT2616.425e92616.425e90.0000OK (3 lines)

BS

Extracted metrics for this form (this period row)

MetricValue
Cash1 067.64
Debt Short1.147
Debt Long0.4625
Assets8 247.19
Equity6 497.3
Net debt-1 066.03
BS — PDF page 14
PDF page scan — BS — 14
BS PDF page 14

Camelot table (pages 14, primary page 14).

#Joined labelLine itemCatatan/ → Notes20242023CASH FLOWS FROM OPERATING ACTIVIT…
0Catatan/ 2024 2023Catatan/20242023
1Notes Rp RpNotesRpRp
2ARUS KAS DARI AKTIVITAS OPERASI CASH FLOWS FROM OPERATING ACTIVITIESARUS KAS DARI AKTIVITAS OPERASICASH FLOWS FROM OPERATING ACTIVITIES
3Penerimaan Kas dari Pelanggan 4.859.976.584.212 4.005.775.436.136 Cash Receipts from CustomersPenerimaan Kas dari Pelanggan4.859.976.584.2124.005.775.436.136Cash Receipts from Customers
4Pembayaran Kas Kepada Karyawan, Pemasok, dan Cash Disbursements To Employees, Suppliers, andPembayaran Kas Kepada Karyawan, Pemasok, danCash Disbursements To Employees, Suppliers, and
5Pihak Ketiga Lainnya (2.941.224.748.453) (2.358.311.329.082) Other Third PartiesPihak Ketiga Lainnya(2.941.224.748.453)(2.358.311.329.082)Other Third Parties
6Arus Kas Diperoleh Dari Operasi 1.918.751.835.759 1.647.464.107.054 Cash Flows Provided By OperationsArus Kas Diperoleh Dari Operasi1.918.751.835.7591.647.464.107.054Cash Flows Provided By Operations
7Pembayaran Pajak Penghasilan Badan 15b (268.984.546.414) (389.997.894.470) Payments of Corporate Income TaxPembayaran Pajak Penghasilan Badan15b(268.984.546.414)(389.997.894.470)Payments of Corporate Income Tax
8Pembayaran Beban Keuangan (17.574.848.587) (15.401.094.831) Payments of Finance CostsPembayaran Beban Keuangan(17.574.848.587)(15.401.094.831)Payments of Finance Costs
9Penerimaan Pendapatan Keuangan 25 96.720.290.769 72.068.896.605 Receipts of Finance IncomePenerimaan Pendapatan Keuangan2596.720.290.76972.068.896.605Receipts of Finance Income
10Arus Kas Bersih Diperoleh dari Operasi 1.728.912.731.527 1.314.134.014.358 Net Cash Provided by Operating ActivitiesArus Kas Bersih Diperoleh dari Operasi1.728.912.731.5271.314.134.014.358Net Cash Provided by Operating Activities
11ARUS KAS DARI AKTIVITAS INVESTASI CASH FLOWS FROM INVESTING ACTIVITIESARUS KAS DARI AKTIVITAS INVESTASICASH FLOWS FROM INVESTING ACTIVITIES
12Perolehan Aset Tetap 10 (596.795.569.927) (492.969.316.264) Acquisitions of Fixed AssetsPerolehan Aset Tetap10(596.795.569.927)(492.969.316.264)Acquisitions of Fixed Assets
13Perolehan Uang Muka Aset Tetap (101.812.306.324) (58.056.519.151) Received advance for Acquisition of Fixed AssetsPerolehan Uang Muka Aset Tetap(101.812.306.324)(58.056.519.151)Received advance for Acquisition of Fixed Assets
14Penempatan Aset Keuangan Lancar Placement of Other CurrentPenempatan Aset Keuangan LancarPlacement of Other Current
15dan Tidak Lancar Lainnya 7b (15.000.000.000) (27.000.000.000) and Non Current Financial Assetsdan Tidak Lancar Lainnya7b(15.000.000.000)(27.000.000.000)and Non Current Financial Assets
16Penempatan Investasi Jangka Pendek 5 (378.704.865.000) (175.864.865.000) Placement of Short-Term InvestmentsPenempatan Investasi Jangka Pendek5(378.704.865.000)(175.864.865.000)Placement of Short-Term Investments
17Hasil Penjualan Aset Keuangan Lancar Lainnya 7b 95.900.000.000 117.013.823.400 Proceeds From Sale of Other Current Financial AssetsHasil Penjualan Aset Keuangan Lancar Lainnya7b95.900.000.000117.013.823.400Proceeds From Sale of Other Current Financial Assets
18Perolehan Aset Takberwujud 11 (4.791.087.855) (3.013.449.684) Acquisition of Intangible AssetsPerolehan Aset Takberwujud11(4.791.087.855)(3.013.449.684)Acquisition of Intangible Assets
19Penerimaan Penjualan Aset Tetap 10 2.925.381.969 2.776.081.831 Proceeds From Disposal of Fixed AssetsPenerimaan Penjualan Aset Tetap102.925.381.9692.776.081.831Proceeds From Disposal of Fixed Assets
20Arus Kas Bersih Digunakan untuk Aktivitas Investasi (998.278.447.137) (637.114.244.868) Net Cash Used in Investing ActivitiesArus Kas Bersih Digunakan untuk Aktivitas Investasi(998.278.447.137)(637.114.244.868)Net Cash Used in Investing Activities
21ARUS KAS DARI AKTIVITAS PENDANAAN CASH FLOW FROM FINANCING ACTIVITIESARUS KAS DARI AKTIVITAS PENDANAANCASH FLOW FROM FINANCING ACTIVITIES
22Pembayaran Dividen Kas (472.854.331.375) (514.576.772.378) Payment of Cash DividendPembayaran Dividen Kas(472.854.331.375)(514.576.772.378)Payment of Cash Dividend
23Akuisisi Kepentingan Nonpengendali (22.111.500.000) 2.783.946.524 Acquisition of Non-Controlling InterestsAkuisisi Kepentingan Nonpengendali(22.111.500.000)2.783.946.524Acquisition of Non-Controlling Interests
24Pembayaran Dividen Kas Kepada Payment of Cash Dividend ToPembayaran Dividen Kas KepadaPayment of Cash Dividend To
25Kepentingan Nonpengendali 20 (9.149.916.954) (15.799.900.770) Non-Controlling InterestsKepentingan Nonpengendali20(9.149.916.954)(15.799.900.770)Non-Controlling Interests
26Pembayaran Liabilitas Sewa 17 (1.639.784.303) (2.723.666.667) Lease Liability PaymentPembayaran Liabilitas Sewa17(1.639.784.303)(2.723.666.667)Lease Liability Payment
27Arus Kas Bersih Digunakan untukArus Kas Bersih Digunakan untuk
28Aktivitas Pendanaan (505.755.532.632) (530.316.393.291) Net Cash Used in Financing ActivitiesAktivitas Pendanaan(505.755.532.632)(530.316.393.291)Net Cash Used in Financing Activities
29KENAIKAN NETO DALAM NET INCREASE INKENAIKAN NETO DALAMNET INCREASE IN
30KAS DAN SETARA KAS 224.878.751.758 146.703.376.199 CASH AND CASH EQUIVALENTSKAS DAN SETARA KAS224.878.751.758146.703.376.199CASH AND CASH EQUIVALENTS
31CASH AND CASH EQUIVALENTSCASH AND CASH EQUIVALENTS
32KAS DAN SETARA KAS PADA AWAL TAHUN 842.757.489.558 696.054.113.359 AT THE BEGINNING OF THE YEARKAS DAN SETARA KAS PADA AWAL TAHUN842.757.489.558696.054.113.359AT THE BEGINNING OF THE YEAR
33CASH AND CASH EQUIVALENTSCASH AND CASH EQUIVALENTS
34KAS DAN SETARA KAS PADA AKHIR TAHUN 4 1.067.636.241.316 842.757.489.558 AT THE END OF THE YEARKAS DAN SETARA KAS PADA AKHIR TAHUN41.067.636.241.316842.757.489.558AT THE END OF THE YEAR

No subtotal/total rows matched the built-in patterns on this table (or fewer than two detail lines above each candidate).

CF

Extracted metrics for this form (this period row)

MetricValue
Operating CF1 728.91
Investing CF-998.28
CF — PDF page 14
PDF page scan — CF — 14
CF PDF page 14

Camelot table (pages 14, primary page 14).

#Joined labelLine item202420242023CASH FLOWS FROM OPERATING ACTIVIT…
0PT MITRA KELUARGA KARYASEHAT Tbk PT MITRA KELUARGA KARYASEHAT TbkPT MITRA KELUARGA KARYASEHAT TbkPT MITRA KELUARGA KARYASEHAT Tbk
1DAN ENTITAS ANAK AND SUBSIDIARIESDAN ENTITAS ANAKAND SUBSIDIARIES
2LAPORAN ARUS KAS KONSOLIDASIAN CONSOLIDATED STATEMENTS OF CASH FLOWSLAPORAN ARUS KAS KONSOLIDASIANCONSOLIDATED STATEMENTS OF CASH FLOWS
3Untuk Tahun-tahun yang Berakhir For the Years EndedUntuk Tahun-tahun yang BerakhirFor the Years Ended
4Pada Tanggal 31 Desember 2024 dan 2023 December 31, 2024 and 2023Pada Tanggal 31 Desember 2024 dan 2023December 31, 2024 and 2023
5(Disajikan dalam Rupiah, kecuali dinyatakan lain) (Expressed in Rupiah, unless otherwise stated)(Disajikan dalam Rupiah, kecuali dinyatakan lain)(Expressed in Rupiah, unless otherwise stated)
6Catatan/ 2024 2023Catatan/20242023
7Notes Rp RpNotesRpRp
Operating activities
8ARUS KAS DARI AKTIVITAS OPERASI CASH FLOWS FROM OPERATING ACTIVITIESARUS KAS DARI AKTIVITAS OPERASICASH FLOWS FROM OPERATING ACTIVITIES
9Penerimaan Kas dari Pelanggan 4.859.976.584.212 4.005.775.436.136 Cash Receipts from CustomersPenerimaan Kas dari Pelanggan4.859.976.584.2124.005.775.436.136Cash Receipts from Customers
10Pembayaran Kas Kepada Karyawan, Pemasok, dan Cash Disbursements To Employees, Suppliers, andPembayaran Kas Kepada Karyawan, Pemasok, danCash Disbursements To Employees, Suppliers, and
11Pihak Ketiga Lainnya (2.941.224.748.453) (2.358.311.329.082) Other Third PartiesPihak Ketiga Lainnya(2.941.224.748.453)(2.358.311.329.082)Other Third Parties
12Arus Kas Diperoleh Dari Operasi 1.918.751.835.759 1.647.464.107.054 Cash Flows Provided By OperationsArus Kas Diperoleh Dari Operasi1.918.751.835.7591.647.464.107.054Cash Flows Provided By Operations
13Pembayaran Pajak Penghasilan Badan 15b (268.984.546.414) (389.997.894.470) Payments of Corporate Income TaxPembayaran Pajak Penghasilan Badan15b(268.984.546.414)(389.997.894.470)Payments of Corporate Income Tax
14Pembayaran Beban Keuangan (17.574.848.587) (15.401.094.831) Payments of Finance CostsPembayaran Beban Keuangan(17.574.848.587)(15.401.094.831)Payments of Finance Costs
15Penerimaan Pendapatan Keuangan 25 96.720.290.769 72.068.896.605 Receipts of Finance IncomePenerimaan Pendapatan Keuangan2596.720.290.76972.068.896.605Receipts of Finance Income
16Arus Kas Bersih Diperoleh dari Operasi 1.728.912.731.527 1.314.134.014.358 Net Cash Provided by Operating ActivitiesArus Kas Bersih Diperoleh dari Operasi1.728.912.731.5271.314.134.014.358Net Cash Provided by Operating Activities
Investing activities
17ARUS KAS DARI AKTIVITAS INVESTASI CASH FLOWS FROM INVESTING ACTIVITIESARUS KAS DARI AKTIVITAS INVESTASICASH FLOWS FROM INVESTING ACTIVITIES
18Perolehan Aset Tetap 10 (596.795.569.927) (492.969.316.264) Acquisitions of Fixed AssetsPerolehan Aset Tetap10(596.795.569.927)(492.969.316.264)Acquisitions of Fixed Assets
19Perolehan Uang Muka Aset Tetap (101.812.306.324) (58.056.519.151) Received advance for Acquisition of Fixed AssetsPerolehan Uang Muka Aset Tetap(101.812.306.324)(58.056.519.151)Received advance for Acquisition of Fixed Assets
20Penempatan Aset Keuangan Lancar Placement of Other CurrentPenempatan Aset Keuangan LancarPlacement of Other Current
21dan Tidak Lancar Lainnya 7b (15.000.000.000) (27.000.000.000) and Non Current Financial Assetsdan Tidak Lancar Lainnya7b(15.000.000.000)(27.000.000.000)and Non Current Financial Assets
22Penempatan Investasi Jangka Pendek 5 (378.704.865.000) (175.864.865.000) Placement of Short-Term InvestmentsPenempatan Investasi Jangka Pendek5(378.704.865.000)(175.864.865.000)Placement of Short-Term Investments
23Hasil Penjualan Aset Keuangan Lancar Lainnya 7b 95.900.000.000 117.013.823.400 Proceeds From Sale of Other Current Financial AssetsHasil Penjualan Aset Keuangan Lancar Lainnya7b95.900.000.000117.013.823.400Proceeds From Sale of Other Current Financial Assets
24Perolehan Aset Takberwujud 11 (4.791.087.855) (3.013.449.684) Acquisition of Intangible AssetsPerolehan Aset Takberwujud11(4.791.087.855)(3.013.449.684)Acquisition of Intangible Assets
25Penerimaan Penjualan Aset Tetap 10 2.925.381.969 2.776.081.831 Proceeds From Disposal of Fixed AssetsPenerimaan Penjualan Aset Tetap102.925.381.9692.776.081.831Proceeds From Disposal of Fixed Assets
26Arus Kas Bersih Digunakan untuk Aktivitas Investasi (998.278.447.137) (637.114.244.868) Net Cash Used in Investing ActivitiesArus Kas Bersih Digunakan untuk Aktivitas Investasi(998.278.447.137)(637.114.244.868)Net Cash Used in Investing Activities
27ARUS KAS DARI AKTIVITAS PENDANAAN CASH FLOW FROM FINANCING ACTIVITIESARUS KAS DARI AKTIVITAS PENDANAANCASH FLOW FROM FINANCING ACTIVITIES
28Pembayaran Dividen Kas (472.854.331.375) (514.576.772.378) Payment of Cash DividendPembayaran Dividen Kas(472.854.331.375)(514.576.772.378)Payment of Cash Dividend
29Akuisisi Kepentingan Nonpengendali (22.111.500.000) 2.783.946.524 Acquisition of Non-Controlling InterestsAkuisisi Kepentingan Nonpengendali(22.111.500.000)2.783.946.524Acquisition of Non-Controlling Interests
30Pembayaran Dividen Kas Kepada Payment of Cash Dividend ToPembayaran Dividen Kas KepadaPayment of Cash Dividend To
31Kepentingan Nonpengendali 20 (9.149.916.954) (15.799.900.770) Non-Controlling InterestsKepentingan Nonpengendali20(9.149.916.954)(15.799.900.770)Non-Controlling Interests
32Pembayaran Liabilitas Sewa 17 (1.639.784.303) (2.723.666.667) Lease Liability PaymentPembayaran Liabilitas Sewa17(1.639.784.303)(2.723.666.667)Lease Liability Payment
33Arus Kas Bersih Digunakan untukArus Kas Bersih Digunakan untuk
34Aktivitas Pendanaan (505.755.532.632) (530.316.393.291) Net Cash Used in Financing ActivitiesAktivitas Pendanaan(505.755.532.632)(530.316.393.291)Net Cash Used in Financing Activities
35KENAIKAN NETO DALAM NET INCREASE INKENAIKAN NETO DALAMNET INCREASE IN
36KAS DAN SETARA KAS 224.878.751.758 146.703.376.199 CASH AND CASH EQUIVALENTSKAS DAN SETARA KAS224.878.751.758146.703.376.199CASH AND CASH EQUIVALENTS
37CASH AND CASH EQUIVALENTSCASH AND CASH EQUIVALENTS
38KAS DAN SETARA KAS PADA AWAL TAHUN 842.757.489.558 696.054.113.359 AT THE BEGINNING OF THE YEARKAS DAN SETARA KAS PADA AWAL TAHUN842.757.489.558696.054.113.359AT THE BEGINNING OF THE YEAR
39CASH AND CASH EQUIVALENTSCASH AND CASH EQUIVALENTS
40KAS DAN SETARA KAS PADA AKHIR TAHUN 4 1.067.636.241.316 842.757.489.558 AT THE END OF THE YEARKAS DAN SETARA KAS PADA AKHIR TAHUN41.067.636.241.316842.757.489.558AT THE END OF THE 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
26Arus Kas Bersih Digunakan untuk Aktivitas Investasi (998.278.447.137) (637.114.244.868) Net Cash Used in Investing Activities4378.299e9-998.278e91.2280Mismatch (15 lines)

Formulas used