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_SMGR/2025-06-30_H1_SMGR_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 | 15 609.02 | — |
| Опер. прибыль | 155.28 | — |
| Аморт. и износ | 1 590.51 | Row: Beban penyusutan, deplesi amortisasi, dan penurunan nilai (CF direct method; scale x1000.0; mln) · dashboard=1,590.512 mln — [DeepSeek] Beban penyusutan, deplesi amortisasi, dan penurunan nilai (CF direct method; scale x1000.0; mln) |
| EBITDA | 1 745.79 | Row: operating_profit + da (mln) · dashboard=1,745.790 mln — operating_profit + da (mln) |
| Чистая прибыль | 39.98 | — |
| Cash | 4 046.27 | — |
| Debt short | 4 677.19 | — |
| Debt long | 4 804.07 | — |
| Чистый долг | 5 434.98 | Компоненты: краткосрочный долг 4 677.19 + долгосрочный 4 804.07 + прочие фин. обязательства 0 + доля НКУ 0 − денежные средства 4 046.27 = чистый долг 5 434.98.Row: debt_short + debt_long + other_financial_liabilities + non_controlling_interest − cash (from row components) · dashboard=5,434.981 mln — debt_short + debt_long + other_financial_liabilities + non_controlling_interest − cash (from row components) |
| Операц. ДДС | 1 173.93 | — |
| Инвест. ДДС | -310.69 | — |
| Активы | 76 542.47 | — |
| Капитал | 47 515.73 | — |
| ✓ | Балансовое тождество (A = L + E) | Implied total liabilities (TA − TE) = 29,027; known debt components fit within that envelope. |
| ✓ | Формула чистого долга | net_debt 5,435 matches |debt_short|+|debt_long|+|other|+|NCI|−|cash| = 5,435. |
| ✓ | EBITDA = OP + D&A | EBITDA (1,746) ≈ OP (155) + D&A (1,591) = 1,746. |
| ✓ | Чистая прибыль vs операционная | Net profit (40) sits within a plausible band vs operating profit (155). |
| ✓ | Денежные средства ≤ активов | Cash (4,046) ≤ total assets (76,542). |
| ⚠ | Изменение долга против предыдущего периода | Total interest-bearing debt fell 100% vs prior period (8,814,798 → 9,481). 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 | — |
| BS | — |
| CF | 9 |
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 |
|---|---|
| Операц. ДДС | 1 173.93 |
| Инвест. ДДС | -310.69 |
| # | Joined label | Line item | 2025 | 2025 | 2024 | CASH FLOWS FROM |
|---|---|---|---|---|---|---|
| 0 | PT SEMEN INDONESIA (PERSERO) Tbk | PT SEMEN INDONESIA (PERSERO) Tbk | ||||
| 1 | DAN ENTITAS ANAK/AND ITS SUBSIDIARIES | DAN ENTITAS ANAK/AND ITS SUBSIDIARIES | ||||
| 2 | LAPORAN ARUS KAS KONSOLIDASIAN CONSOLIDATED STATEMENTS OF CASH FLOWS | LAPORAN ARUS KAS KONSOLIDASIAN | CONSOLIDATED STATEMENTS OF CASH FLOWS | |||
| 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) JUNE 30, 2025 AND 2024 (UNAUDITED) | 30 JUNI 2025 DAN 2024 (TIDAK DIAUDIT) | JUNE 30, 2025 AND 2024 (UNAUDITED) | |||
| 5 | (Dinyatakan dalam jutaan Rupiah, (Expressed in millions of Rupiah, | (Dinyatakan dalam jutaan Rupiah, | (Expressed in millions of Rupiah, | |||
| 6 | kecuali dinyatakan lain) unless otherwise stated) | kecuali dinyatakan lain) | unless otherwise stated) | |||
| 7 | June 30, June 30, | June 30, | June 30, | |||
| 8 | 2025 2024 | 2025 | 2024 | |||
| 9 | Catatan/ (Tidak diaudit/ (Tidak diaudit/ | Catatan/ | (Tidak diaudit/ | (Tidak diaudit/ | ||
| 10 | Notes Unaudited) Unaudited) | Notes | Unaudited) | Unaudited) | ||
| 11 | CASH FLOWS FROM | CASH FLOWS FROM | ||||
| 12 | ARUS KAS DARI AKTIVITAS OPERASI OPERATING ACTIVITIES | ARUS KAS DARI AKTIVITAS OPERASI | OPERATING ACTIVITIES | |||
| 13 | Penerimaan dari pelanggan 16.140.544 17.183.482 Receipts from customers | Penerimaan dari pelanggan | 16.140.544 | 17.183.482 | Receipts from customers | |
| 14 | Pembayaran kepada pemasok (12.176.020) (13.060.585) Payments to suppliers | Pembayaran kepada pemasok | (12.176.020) | (13.060.585) | Payments to suppliers | |
| 15 | Pembayaran kepada karyawan (2.042.749) (2.129.277) Payments to employees | Pembayaran kepada karyawan | (2.042.749) | (2.129.277) | Payments to employees | |
| 16 | Kas yang dihasilkan dari operasi 1.921.775 1.993.620 Cash generated from operations | Kas yang dihasilkan dari operasi | 1.921.775 | 1.993.620 | Cash generated from operations | |
| 17 | Penghasilan keuangan yang diterima 81.170 144.479 Finance income received | Penghasilan keuangan yang diterima | 81.170 | 144.479 | Finance income received | |
| 18 | Pembayaran pajak penghasilan badan (293.373) (449.815) Payment of corporate income taxes | Pembayaran pajak penghasilan badan | (293.373) | (449.815) | Payment of corporate income taxes | |
| 19 | Penerimaan dari klaim pajak penghasilan 49.215 128.303 Receipt from corporate income tax refund | Penerimaan dari klaim pajak penghasilan | 49.215 | 128.303 | Receipt from corporate income tax refund | |
| 20 | Pembayaran beban keuangan (416.095) (675.650) Payment of finance cost | Pembayaran beban keuangan | (416.095) | (675.650) | Payment of finance cost | |
| 21 | Pembayaran lainnya (168.764) (119.302) Other payments | Pembayaran lainnya | (168.764) | (119.302) | Other payments | |
| 22 | Arus kas bersih yang diperoleh dari Net cash flows provided by | Arus kas bersih yang diperoleh dari | Net cash flows provided by | |||
| 23 | aktivitas operasi 1.173.928 1.021.635 operating activities | aktivitas operasi | 1.173.928 | 1.021.635 | operating activities | |
| 24 | CASH FLOWS FROM | CASH FLOWS FROM | ||||
| 25 | ARUS KAS DARI AKTIVITAS INVESTASI INVESTING ACTIVITIES | ARUS KAS DARI AKTIVITAS INVESTASI | INVESTING ACTIVITIES | |||
| 26 | Pembelian aset tetap 13 (327.671) (600.744) Acquisition of fixed assets | Pembelian aset tetap | 13 | (327.671) | (600.744) | Acquisition of fixed assets |
| 27 | Perolehan properti investasi 12 (1.091) (2.461) Acquisition of investment property | Perolehan properti investasi | 12 | (1.091) | (2.461) | Acquisition of investment property |
| 28 | Penambahan investasi pada entitas asosiasi 11 - (22.500) Addition investment in associate | Penambahan investasi pada entitas asosiasi | 11 | - | (22.500) | Addition investment in associate |
| 29 | Penambahan aset takberwujud 14 (531) (202) Additions of intangible assets | Penambahan aset takberwujud | 14 | (531) | (202) | Additions of intangible assets |
| 30 | Pencairan (penempatan) investasi Disbursement (placement) of short-term | Pencairan (penempatan) investasi | Disbursement (placement) of short-term | |||
| 31 | jangka pendek 13.117 (9.115) investments | jangka pendek | 13.117 | (9.115) | investments | |
| 32 | Penempatan kas yang Placement of restricted | Penempatan kas yang | Placement of restricted | |||
| 33 | dibatasi penggunaannya (9.602) (11.867) cash | dibatasi penggunaannya | (9.602) | (11.867) | cash | |
| 34 | Hasil penjualan aset tetap 13 15.090 19.135 Proceeds from disposal of fixed assets | Hasil penjualan aset tetap | 13 | 15.090 | 19.135 | Proceeds from disposal of fixed assets |
| 35 | Arus kas bersih yang digunakan untuk Net cash flows used in | Arus kas bersih yang digunakan untuk | Net cash flows used in | |||
| 36 | aktivitas investasi (310.688) (627.754) investing activities | aktivitas investasi | (310.688) | (627.754) | investing activities | |
| 37 | CASH FLOWS FROM | CASH FLOWS FROM | ||||
| 38 | ARUS KAS DARI AKTIVITAS PENDANAAN FINANCING ACTIVITIES | ARUS KAS DARI AKTIVITAS PENDANAAN | FINANCING ACTIVITIES | |||
| 39 | Penerimaan dari transaksi Proceeds from transaction | Penerimaan dari transaksi | Proceeds from transaction | |||
| 40 | supplier financing 15e 73.019 155.928 supplier financing | supplier financing | 15e | 73.019 | 155.928 | supplier financing |
| 41 | Pembayaran atas transaksi Payments of transaction | Pembayaran atas transaksi | Payments of transaction | |||
| 42 | supplier financing 15e (73.459) (161.052) supplier financing | supplier financing | 15e | (73.459) | (161.052) | supplier financing |
| 43 | Penerimaan utang bank jangka pendek 15e 1.296.883 1.825.042 Proceeds from short-term borrowings | Penerimaan utang bank jangka pendek | 15e | 1.296.883 | 1.825.042 | Proceeds from short-term borrowings |
| 44 | Pembayaran utang bank jangka pendek 15e (318.055) (290.228) Payments of short-term borrowings | Pembayaran utang bank jangka pendek | 15e | (318.055) | (290.228) | Payments of short-term borrowings |
| 45 | Pembayaran utang bank jangka panjang 15e (400.000) (375.000) Payments of long-term bank loans | Pembayaran utang bank jangka panjang | 15e | (400.000) | (375.000) | Payments of long-term bank loans |
| 46 | Pembelian kembali saham yang diterbitkan 22 (35.846) Purchase of treasury stock | Pembelian kembali saham yang diterbitkan | 22 | (35.846) | Purchase of treasury stock | |
| 47 | Pembayaran dana syirkah temporer (150.000) (100.000) Payments of temporary syirkah funds | Pembayaran dana syirkah temporer | (150.000) | (100.000) | Payments of temporary syirkah funds | |
| 48 | Pembayaran utang obligasi 15e - (3.364.000) Payment of bonds | Pembayaran utang obligasi | 15e | - | (3.364.000) | Payment of bonds |
| 49 | Pembayaran liabilitas sewa 15e (154.402) (185.716) Payments of lease liabilities | Pembayaran liabilitas sewa | 15e | (154.402) | (185.716) | Payments of lease liabilities |
| 50 | Pembayaran dividen: Payments of dividends: | Pembayaran dividen: | Payments of dividends: | |||
| 51 | Pemilik entitas induk 23 (648.745) (572.023) Equity holders of parent entity | Pemilik entitas induk | 23 | (648.745) | (572.023) | Equity holders of parent entity |
| 52 | Kepentingan non-pengendali (67.728) (49.663) Non-controlling interests | Kepentingan non-pengendali | (67.728) | (49.663) | Non-controlling interests | |
| 53 | Arus kas bersih yang digunakan untuk Net cash flows used in | Arus kas bersih yang digunakan untuk | Net cash flows used in | |||
| 54 | aktivitas pendanaan (478.333) (3.116.712) financing activities | aktivitas pendanaan | (478.333) | (3.116.712) | financing activities | |
| 55 | KENAIKAN (PENURUNAN) BERSIH NET INCREASE (DECREASE) IN | KENAIKAN (PENURUNAN) BERSIH | NET INCREASE (DECREASE) IN | |||
| 56 | KAS DAN SETARA KAS 384.907 (2.722.831) CASH AND CASH EQUIVALENTS | KAS DAN SETARA KAS | 384.907 | (2.722.831) | CASH AND CASH EQUIVALENTS | |
| 57 | KAS DAN SETARA KAS CASH AND CASH EQUIVALENTS | KAS DAN SETARA KAS | CASH AND CASH EQUIVALENTS | |||
| 58 | PADA AWAL PERIODE 3.659.130 6.939.841 AT THE BEGINNING OF THE PERIOD | PADA AWAL PERIODE | 3.659.130 | 6.939.841 | AT THE BEGINNING OF THE PERIOD | |
| 59 | EFFECT OF EXCHANGE RATE | EFFECT OF EXCHANGE RATE | ||||
| 60 | DAMPAK PERUBAHAN SELISIH KURS CHANGES ON CASH AND | DAMPAK PERUBAHAN SELISIH KURS | CHANGES ON CASH AND | |||
| 61 | TERHADAP KAS DAN SETARA KAS 2.236 17.551 CASH EQUIVALENTS | TERHADAP KAS DAN SETARA KAS | 2.236 | 17.551 | CASH EQUIVALENTS | |
| 62 | KAS DAN SETARA KAS CASH AND CASH EQUIVALENTS | KAS DAN SETARA KAS | CASH AND CASH EQUIVALENTS | |||
| 63 | PADA AKHIR PERIODE 4.046.273 4.234.561 AT THE END OF THE PERIOD | PADA AKHIR PERIODE | 4.046.273 | 4.234.561 | AT THE END OF THE PERIOD | |
| 64 | 2025 2024 | 2025 | 2024 | |||
| 65 | Catatan/ (Tidak diaudit/ (Tidak diaudit/ | Catatan/ | (Tidak diaudit/ | (Tidak diaudit/ | ||
| 66 | Notes Unaudited) Unaudited) | Notes | Unaudited) | Unaudited) | ||
| 67 | CASH FLOWS FROM | CASH FLOWS FROM | ||||
| 68 | ARUS KAS DARI AKTIVITAS OPERASI OPERATING ACTIVITIES | ARUS KAS DARI AKTIVITAS OPERASI | OPERATING ACTIVITIES | |||
| 69 | Penerimaan dari pelanggan 16.140.544 17.183.482 Receipts from customers | Penerimaan dari pelanggan | 16.140.544 | 17.183.482 | Receipts from customers | |
| 70 | Pembayaran kepada pemasok (12.176.020) (13.060.585) Payments to suppliers | Pembayaran kepada pemasok | (12.176.020) | (13.060.585) | Payments to suppliers | |
| 71 | Pembayaran kepada karyawan (2.042.749) (2.129.277) Payments to employees | Pembayaran kepada karyawan | (2.042.749) | (2.129.277) | Payments to employees | |
| 72 | Kas yang dihasilkan dari operasi 1.921.775 1.993.620 Cash generated from operations | Kas yang dihasilkan dari operasi | 1.921.775 | 1.993.620 | Cash generated from operations | |
| 73 | Penghasilan keuangan yang diterima 81.170 144.479 Finance income received | Penghasilan keuangan yang diterima | 81.170 | 144.479 | Finance income received | |
| 74 | Pembayaran pajak penghasilan badan (293.373) (449.815) Payment of corporate income taxes | Pembayaran pajak penghasilan badan | (293.373) | (449.815) | Payment of corporate income taxes | |
| 75 | Penerimaan dari klaim pajak penghasilan 49.215 128.303 Receipt from corporate income tax refund | Penerimaan dari klaim pajak penghasilan | 49.215 | 128.303 | Receipt from corporate income tax refund | |
| 76 | Pembayaran beban keuangan (416.095) (675.650) Payment of finance cost | Pembayaran beban keuangan | (416.095) | (675.650) | Payment of finance cost | |
| 77 | Pembayaran lainnya (168.764) (119.302) Other payments | Pembayaran lainnya | (168.764) | (119.302) | Other payments | |
| 78 | Arus kas bersih yang diperoleh dari Net cash flows provided by | Arus kas bersih yang diperoleh dari | Net cash flows provided by | |||
| 79 | aktivitas operasi 1.173.928 1.021.635 operating activities | aktivitas operasi | 1.173.928 | 1.021.635 | operating activities | |
| 80 | CASH FLOWS FROM | CASH FLOWS FROM | ||||
| 81 | ARUS KAS DARI AKTIVITAS INVESTASI INVESTING ACTIVITIES | ARUS KAS DARI AKTIVITAS INVESTASI | INVESTING ACTIVITIES | |||
| 82 | Pembelian aset tetap 13 (327.671) (600.744) Acquisition of fixed assets | Pembelian aset tetap | 13 | (327.671) | (600.744) | Acquisition of fixed assets |
| 83 | Perolehan properti investasi 12 (1.091) (2.461) Acquisition of investment property | Perolehan properti investasi | 12 | (1.091) | (2.461) | Acquisition of investment property |
| 84 | Penambahan investasi pada entitas asosiasi 11 - (22.500) Addition investment in associate | Penambahan investasi pada entitas asosiasi | 11 | - | (22.500) | Addition investment in associate |
| 85 | Penambahan aset takberwujud 14 (531) (202) Additions of intangible assets | Penambahan aset takberwujud | 14 | (531) | (202) | Additions of intangible assets |
| 86 | Pencairan (penempatan) investasi Disbursement (placement) of short-term | Pencairan (penempatan) investasi | Disbursement (placement) of short-term | |||
| 87 | jangka pendek 13.117 (9.115) investments | jangka pendek | 13.117 | (9.115) | investments | |
| 88 | Penempatan kas yang Placement of restricted | Penempatan kas yang | Placement of restricted | |||
| 89 | dibatasi penggunaannya (9.602) (11.867) cash | dibatasi penggunaannya | (9.602) | (11.867) | cash | |
| 90 | Hasil penjualan aset tetap 13 15.090 19.135 Proceeds from disposal of fixed assets | Hasil penjualan aset tetap | 13 | 15.090 | 19.135 | Proceeds from disposal of fixed assets |
| 91 | Arus kas bersih yang digunakan untuk Net cash flows used in | Arus kas bersih yang digunakan untuk | Net cash flows used in | |||
| 92 | aktivitas investasi (310.688) (627.754) investing activities | aktivitas investasi | (310.688) | (627.754) | investing activities | |
| 93 | CASH FLOWS FROM | CASH FLOWS FROM | ||||
| 94 | ARUS KAS DARI AKTIVITAS PENDANAAN FINANCING ACTIVITIES | ARUS KAS DARI AKTIVITAS PENDANAAN | FINANCING ACTIVITIES | |||
| 95 | Penerimaan dari transaksi Proceeds from transaction | Penerimaan dari transaksi | Proceeds from transaction | |||
| 96 | supplier financing 15e 73.019 155.928 supplier financing | supplier financing | 15e | 73.019 | 155.928 | supplier financing |
| 97 | Pembayaran atas transaksi Payments of transaction | Pembayaran atas transaksi | Payments of transaction | |||
| 98 | supplier financing 15e (73.459) (161.052) supplier financing | supplier financing | 15e | (73.459) | (161.052) | supplier financing |
| 99 | Penerimaan utang bank jangka pendek 15e 1.296.883 1.825.042 Proceeds from short-term borrowings | Penerimaan utang bank jangka pendek | 15e | 1.296.883 | 1.825.042 | Proceeds from short-term borrowings |
| 100 | Pembayaran utang bank jangka pendek 15e (318.055) (290.228) Payments of short-term borrowings | Pembayaran utang bank jangka pendek | 15e | (318.055) | (290.228) | Payments of short-term borrowings |
| 101 | Pembayaran utang bank jangka panjang 15e (400.000) (375.000) Payments of long-term bank loans | Pembayaran utang bank jangka panjang | 15e | (400.000) | (375.000) | Payments of long-term bank loans |
| 102 | Pembelian kembali saham yang diterbitkan 22 (35.846) Purchase of treasury stock | Pembelian kembali saham yang diterbitkan | 22 | (35.846) | Purchase of treasury stock | |
| 103 | Pembayaran dana syirkah temporer (150.000) (100.000) Payments of temporary syirkah funds | Pembayaran dana syirkah temporer | (150.000) | (100.000) | Payments of temporary syirkah funds | |
| 104 | Pembayaran utang obligasi 15e - (3.364.000) Payment of bonds | Pembayaran utang obligasi | 15e | - | (3.364.000) | Payment of bonds |
| 105 | Pembayaran liabilitas sewa 15e (154.402) (185.716) Payments of lease liabilities | Pembayaran liabilitas sewa | 15e | (154.402) | (185.716) | Payments of lease liabilities |
| 106 | Pembayaran dividen: Payments of dividends: | Pembayaran dividen: | Payments of dividends: | |||
| 107 | Pemilik entitas induk 23 (648.745) (572.023) Equity holders of parent entity | Pemilik entitas induk | 23 | (648.745) | (572.023) | Equity holders of parent entity |
| 108 | Kepentingan non-pengendali (67.728) (49.663) Non-controlling interests | Kepentingan non-pengendali | (67.728) | (49.663) | Non-controlling interests | |
| 109 | Arus kas bersih yang digunakan untuk Net cash flows used in | Arus kas bersih yang digunakan untuk | Net cash flows used in | |||
| 110 | aktivitas pendanaan (478.333) (3.116.712) financing activities | aktivitas pendanaan | (478.333) | (3.116.712) | financing activities | |
| 111 | KENAIKAN (PENURUNAN) BERSIH NET INCREASE (DECREASE) IN | KENAIKAN (PENURUNAN) BERSIH | NET INCREASE (DECREASE) IN | |||
| 112 | KAS DAN SETARA KAS 384.907 (2.722.831) CASH AND CASH EQUIVALENTS | KAS DAN SETARA KAS | 384.907 | (2.722.831) | CASH AND CASH EQUIVALENTS | |
| 113 | KAS DAN SETARA KAS CASH AND CASH EQUIVALENTS | KAS DAN SETARA KAS | CASH AND CASH EQUIVALENTS | |||
| 114 | PADA AWAL PERIODE 3.659.130 6.939.841 AT THE BEGINNING OF THE PERIOD | PADA AWAL PERIODE | 3.659.130 | 6.939.841 | AT THE BEGINNING OF THE PERIOD | |
| 115 | EFFECT OF EXCHANGE RATE | EFFECT OF EXCHANGE RATE | ||||
| 116 | DAMPAK PERUBAHAN SELISIH KURS CHANGES ON CASH AND | DAMPAK PERUBAHAN SELISIH KURS | CHANGES ON CASH AND | |||
| 117 | TERHADAP KAS DAN SETARA KAS 2.236 17.551 CASH EQUIVALENTS | TERHADAP KAS DAN SETARA KAS | 2.236 | 17.551 | CASH EQUIVALENTS | |
| 118 | KAS DAN SETARA KAS CASH AND CASH EQUIVALENTS | KAS DAN SETARA KAS | CASH AND CASH EQUIVALENTS | |||
| 119 | PADA AKHIR PERIODE 4.046.273 4.234.561 AT THE END OF THE PERIOD | PADA AKHIR PERIODE | 4.046.273 | 4.234.561 | 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).