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ID_UNVR 2025-06-30 H1 — 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_UNVR/2025-06-30_H1_UNVR_Q2_2025.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
Revenue18 204.53
Operating profit2 899.69
D&A433.13
EBITDA3 332.83
Net profit2 155.57
Cash2 001.71
Debt short1 541.89
Debt long398.61
Net debt-61.2Components: short debt 1 541.89 + long debt 398.61 + other financial liab. 0 + NCI 0 − cash 2 001.71 = net debt -61.2.Row: debt_short + debt_long + other_financial_liabilities + non_controlling_interest − cash (from row components) · dashboard=-61.202 mln — debt_short + debt_long + other_financial_liabilities + non_controlling_interest − cash (from row components)
Operating CF1 811.43
Investing CF-306.3
Assets18 528.47
Equity2 571.5

Consistency checks · Warnings

Balance sheet identity (A = L + E)Implied total liabilities (TA − TE) = 15,957; known debt components fit within that envelope.
Net debt formulanet_debt -61 matches |debt_short|+|debt_long|+|other|+|NCI|−|cash| = -61.
EBITDA = OP + D&AEBITDA (3,333) ≈ OP (2,900) + D&A (433) = 3,333.
Net profit vs operating profitNet profit (2,156) sits within a plausible band vs operating profit (2,900).
Cash ≤ total assetsCash (2,002) ≤ total assets (18,528).
Debt step-change vs prior periodTotal interest-bearing debt fell 100% vs prior period (1,980,632 → 1,941). Financing cash flow not extracted — can't verify the move was real (could be an OCR miss of a major debt line).

Statement pages (discovery)

FormPages
P&L6, 7, 8
BS3, 4, 5
CF8, 9, 10

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
Revenue18 204.53
Operating profit2 899.69
EBITDA3 332.83
Net profit2 155.57
D&A433.13

Tables and checks run on 2 of 3 PDF pages for this form (timeout budget). Raise REPORT_REVIEW_HEAVY_RECON_PAGES for more.

P&L — PDF page 6
PDF page scan — P&L — 6
P&L PDF page 6

No Camelot table — OCR (v8) below.

GPU v8 OCR — page 6 (17 rows). Blank amount cells are normal for section headers and line-wrapped captions; 0 from OCR on those rows is not a reported financial zero. Amounts follow the PDF header (often thousands of currency).

#Joined labelColumn 2Column 3
0PT Unilever Indonesia Tbk PT Unilever Indonesia Tbk
1Laporan Posisi Keuangan Interim Interim Statement of Financial Position
230 Juni 2025 dan 31 Desember 2024 30 June 2025 and 31 December 2024
3(Dalam jutaan Rupiah, kecuali dinyatakan lain) (Expressed in millions of Rupiah; unless otherwise stated)
4EKUITAS
5Modal saham
6(Modal dasar, seluruhnya
7ditempatkan dan disetor penuh:
838.150.000.000 saham biasa038.15
9dengan nilai nominal Rp2 (nilai02
10penuh) per saham)7630076300
11Tambahan modal disetor9600096000
12Saldo laba yang dicadangkan1526015260
13Saldo laba yang belum dicadangkan23839371961707
14JUMLAH EKUITAS25714972149267
15JUMLAH LIABILITAS DAN
16EKUITAS1852847116046195
P&L — PDF page 7
PDF page scan — P&L — 7
P&L PDF page 7

Camelot table (pages 7, primary page 7).

#Joined labelLine item2025Catatan/ → Notes2024Net sales → Cost of goods sold
0Juni/ Juni/Juni/Juni/
1June Catatan/ JuneJuneCatatan/June
22025 Notes 20242025Notes2024
3Penjualan bersih 18,204,530 2b, 2o, 24 19,043,887 Net salesPenjualan bersih18,204,5302b, 2o, 2419,043,887Net sales
4Harga pokok penjualan (9,446,933) 2b, 2o, 25 (9,575,909) Cost of goods soldHarga pokok penjualan(9,446,933)2b, 2o, 25(9,575,909)Cost of goods sold
5LABA BRUTO 8,757,597 9,467,978 GROSS PROFITLABA BRUTO8,757,5979,467,978GROSS PROFIT
6Beban pemasaran dan penjualan (4,265,913) 2o, 26a (4,587,622) Marketing and selling expensesBeban pemasaran dan penjualan(4,265,913)2o, 26a(4,587,622)Marketing and selling expenses
7Beban umum dan administrasi (1,589,432) 2b, 2o, 26b (1,689,426) General and administration expensesBeban umum dan administrasi(1,589,432)2b, 2o, 26b(1,689,426)General and administration expenses
8Beban lain-lain, neto (2,558) (823) Other expense, netBeban lain-lain, neto(2,558)(823)Other expense, net
9LABA USAHA 2,899,694 3,190,107 OPERATING PROFITLABA USAHA2,899,6943,190,107OPERATING PROFIT
10Penghasilan keuangan 4,571 12,205 Finance incomePenghasilan keuangan4,57112,205Finance income
11Biaya keuangan (77,475) (33,711) Finance costsBiaya keuangan(77,475)(33,711)Finance costs
12LABA SEBELUM PAJAK PROFIT BEFORELABA SEBELUM PAJAKPROFIT BEFORE

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
5LABA BRUTO 8,757,597 9,467,978 GROSS PROFIT8.760e68.758e60.0002OK (3 lines)

BS

Extracted metrics for this form (this period row)

MetricValue
Cash2 001.71
Debt Short1 541.89
Debt Long398.61
Assets18 528.47
Equity2 571.5
Net debt-61.2

Tables and checks run on 2 of 3 PDF pages for this form (timeout budget). Raise REPORT_REVIEW_HEAVY_RECON_PAGES for more.

BS — PDF page 3
PDF page scan — BS — 3
BS PDF page 3

No Camelot table — OCR (v8) below.

v8 OCR page 3: empty rows.

BS — PDF page 4
PDF page scan — BS — 4
BS PDF page 4

Camelot table (pages 4, primary page 4).

#Joined labelLine item2c, 3 → 2g, 4Column 3Column 4ASSETS → Current Assets
0ASET ASSETSASETASSETS
1Aset Lancar Current AssetsAset LancarCurrent Assets
2Kas dan setara kas 2c, 3 2,001,709 671,180 Cash and cash equivalentsKas dan setara kas2c, 32,001,709671,180Cash and cash equivalents
3Piutang usaha Trade debtorsPiutang usahaTrade debtors
4- Pihak ketiga 2g, 4 1,937,581 1,674,140 Third parties -- Pihak ketiga2g, 41,937,5811,674,140Third parties -
5- Pihak berelasi 2b, 2g, 4 254,030 206,802 Related parties -- Pihak berelasi2b, 2g, 4254,030206,802Related parties -
6Uang muka dan piutang lain-lain Advances and other debtorsUang muka dan piutang lain-lainAdvances and other debtors
7- Pihak ketiga 112,014 96,793 Third parties -- Pihak ketiga112,01496,793Third parties -
8- Pihak berelasi 2b, 7c 38,037 87,225 Related parties -- Pihak berelasi2b, 7c38,03787,225Related parties -
9Persediaan 2h, 5 2,497,821 2,505,852 InventoriesPersediaan2h, 52,497,8212,505,852Inventories
10Beban dibayar di muka 2n, 8 150,128 25,798 Prepaid expensesBeban dibayar di muka2n, 8150,12825,798Prepaid expenses
11Pajak dibayar di muka 15c - 12,758 Prepaid taxesPajak dibayar di muka15c-12,758Prepaid taxes
12Jumlah Aset Lancar 6,991,320 5,280,548 Total Current AssetsJumlah Aset Lancar6,991,3205,280,548Total Current 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.

RowLabel (trimmed)Σ detailReported|Δ|/scaleStatus
12Jumlah Aset Lancar 6,991,320 5,280,548 Total Current Assets5.281e65.281e60.0000OK (8 lines)

CF

Extracted metrics for this form (this period row)

MetricValue
Operating CF1 811.43
Investing CF-306.3

Tables and checks run on 2 of 3 PDF pages for this form (timeout budget). Raise REPORT_REVIEW_HEAVY_RECON_PAGES for more.

CF — PDF page 8
PDF page scan — CF — 8
CF PDF page 8

Camelot table (pages 8, primary page 8).

#Joined labelLine itemModal → saham/Tambahan modal → disetor/Saldo laba yang → dicadangkan/belum → dicadangkan/Jumlah/ → Total31 December 2024
0Tambahan modal Saldo laba yang belumTambahan modalSaldo laba yangbelum
1Modal disetor/ dicadangkan/ dicadangkan/Modaldisetor/dicadangkan/dicadangkan/
2saham/ Additional paid- Appropriated Unappropriated Jumlah/saham/Additional paid-AppropriatedUnappropriatedJumlah/
3Share capital in capital retained earnings retained earnings TotalShare capitalin capitalretained earningsretained earningsTotal
4Saldo 31 Desember 2024 76,300 96,000 15,260 1,961,707 2,149,267 Balance as at 31 December 2024Saldo 31 Desember 202476,30096,00015,2601,961,7072,149,267Balance as at 31 December 2024
5Penghasilan komprehensif - 2025 Comprehensive income - 2025Penghasilan komprehensif - 2025Comprehensive income - 2025
6Laba - - - 2,155,575 2,155,575 ProfitLaba---2,155,5752,155,575Profit
7Jumlah penghasilan komprehensif lain, neto - - - 59,705 59,705 Total other comprehensive income, netJumlah penghasilan komprehensif lain, neto---59,70559,705Total other comprehensive income, net
8Dividen (catatan 2u dan 22) - - - (1,793,050) (1,793,050) Dividend (notes 2u and 22)Dividen (catatan 2u dan 22)---(1,793,050)(1,793,050)Dividend (notes 2u and 22)
9Saldo 30 Juni 2025 76,300 96,000 15,260 2,383,937 2,571,497 Balance as at 30 June 2025Saldo 30 Juni 202576,30096,00015,2602,383,9372,571,497Balance as at 30 June 2025

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

CF — PDF page 9
PDF page scan — CF — 9
CF PDF page 9

Camelot table (pages 9, primary page 9).

#Joined labelLine item30 June 2025Catatan/ → Notes2024Cash flows from operating activit…
0PT Unilever Indonesia Tbk PT Unilever Indonesia TbkPT Unilever Indonesia TbkPT Unilever Indonesia Tbk
1Laporan Arus Kas Interim Interim Statement of Cash FlowsLaporan Arus Kas InterimInterim Statement of Cash Flows
2Untuk Periode Enam Bulan yang Berakhir pada For The Six-Month Periods EndedUntuk Periode Enam Bulan yang Berakhir padaFor The Six-Month Periods Ended
330 Juni 2025 dan 2024 30 June 2025 and 202430 Juni 2025 dan 202430 June 2025 and 2024
4(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)
530 303030
6Juni/ Juni/Juni/Juni/
7June Catatan/ JuneJuneCatatan/June
82025 Notes 20242025Notes2024
Operating activities
9Arus kas dari aktivitas operasi Cash flows from operating activitiesArus kas dari aktivitas operasiCash flows from operating activities
10Penerimaan dari pelanggan 19,648,210 20,190,273 Receipts from customersPenerimaan dari pelanggan19,648,21020,190,273Receipts from customers
11Pembayaran kepada pemasok (14,118,030) (14,923,196) Payments to suppliersPembayaran kepada pemasok(14,118,030)(14,923,196)Payments to suppliers
12Pembayaran remunerasi direksi Payments of directors’ andPembayaran remunerasi direksiPayments of directors’ and
13dan karyawan (836,045) (1,146,220) employees’ remunerationdan karyawan(836,045)(1,146,220)employees’ remuneration
14Pembayaran imbalan kerja jangka Payments of long-term employeePembayaran imbalan kerja jangkaPayments of long-term employee
15panjang pensiun – bagian jangka pendek (233,782) (61,533) benefits pension – current portionpanjang pensiun – bagian jangka pendek(233,782)(61,533)benefits pension – current portion
16Pembayaran imbalan kerja jangka Payments of long-termPembayaran imbalan kerja jangkaPayments of long-term
17panjang non-pensiun (40,813) 18 (27,579) employee benefits non-pensionpanjang non-pensiun(40,813)18(27,579)employee benefits non-pension
18Pemberian pinjaman karyawan, neto (6,946) (2,280) Provision of employee loans, netPemberian pinjaman karyawan, neto(6,946)(2,280)Provision of employee loans, net
19Pembayaran untuk beban jasa dan royalti (1,211,297) (1,159,268) Payments of service fees and royaltyPembayaran untuk beban jasa dan royalti(1,211,297)(1,159,268)Payments of service fees and royalty
20Kas yang dihasilkan dari operasi 3,201,297 2,870,197 Cash generated from operationsKas yang dihasilkan dari operasi3,201,2972,870,197Cash generated from operations
21Penerimaan dari penghasilan keuangan 4,571 12,205 Receipts of finance incomePenerimaan dari penghasilan keuangan4,57112,205Receipts of finance income
22Pembayaran biaya keuangan (56,669) (11,626) Payments of finance costsPembayaran biaya keuangan(56,669)(11,626)Payments of finance costs
23Pembayaran pajak penghasilan badan (466,303) 15 (686,096) Payments of corporate income taxPembayaran pajak penghasilan badan(466,303)15(686,096)Payments of corporate income tax
24Pembayaran pajak yang dapatPembayaran pajak yang dapat
25dikembalikan (871,466) - Payments of refundable taxdikembalikan(871,466)-Payments of refundable tax
26Arus kas neto yang dihasilkan dari Net cash flows fromArus kas neto yang dihasilkan dariNet cash flows from
27aktivitas operasi 1,811,430 2,184,680 operating activitiesaktivitas operasi1,811,4302,184,680operating activities
Investing activities
28Arus kas dari aktivitas investasi Cash flows from investing activitiesArus kas dari aktivitas investasiCash flows from investing activities
29Hasil penjualan aset tetap 5,334 9c 58,635 Proceeds from the sale of fixed assetsHasil penjualan aset tetap5,3349c58,635Proceeds from the sale of fixed assets
30Perolehan aset tetap (311,634) 9a, 34 (295,035) Acquisition of fixed assetsPerolehan aset tetap(311,634)9a, 34(295,035)Acquisition of fixed assets
31Arus kas neto yang digunakan untuk Net cash flows used inArus kas neto yang digunakan untukNet cash flows used in
32aktivitas investasi (306,300) (236,400) investing activitiesaktivitas investasi(306,300)(236,400)investing activities
Financing activities
33Arus kas dari aktivitas pendanaan Cash flows from financing activitiesArus kas dari aktivitas pendanaanCash flows from financing activities
34Pinjaman bank, neto (150,000) - bank borrowings, netPinjaman bank, neto(150,000)-bank borrowings, net
35Pembayaran liabilitas sewa (24,755) 10 (223,393) Payments of lease liabilitiesPembayaran liabilitas sewa(24,755)10(223,393)Payments of lease liabilities
36Arus kas neto yang digunakan untuk Net cash flows used inArus kas neto yang digunakan untukNet cash flows used in
37aktivitas pendanaan (174,755) (223,393) financing activitiesaktivitas pendanaan(174,755)(223,393)financing activities
38Kenaikan bersih kas Net increase in cashKenaikan bersih kasNet increase in cash
39dan setara kas 1,330,375 1,724,887 and cash equivalentsdan setara kas1,330,3751,724,887and cash equivalents
40Dampak perubahan kurs terhadap Effect of exchange rate changes onDampak perubahan kurs terhadapEffect of exchange rate changes on
41kas dan setara kas 154 165 cash and cash equivalentskas dan setara kas154165cash and cash equivalents
42Kas dan setara kas pada Cash and cash equivalents atKas dan setara kas padaCash and cash equivalents at
43awal periode 671,180 2a, 2c, 3 1,020,598 the beginning of the periodawal periode671,1802a, 2c, 31,020,598the beginning of the period
44Kas dan setara kas pada Cash and cash equivalents atKas dan setara kas padaCash and cash equivalents at
45akhir periode 2,001,709 2a, 2c, 3 2,745,650 the end of the periodakhir periode2,001,7092a, 2c, 32,745,650the 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).

Formulas used