PT Bukit Darmo Property Tbk

IDX:BKDP.JK

49 (IDR) • At close November 8, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) IDR.

2023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 3,732.8747,948.15623,245.12828,089.25564,569.9414,795.3046,334.2055,921.9128,650.74219,923.2523,428.1330,188.44888,866.456139,316.7792,515.07725,320.881
Kortetermijnbeleggingen 00-463,265.694-481,713.063-501,854.8570-549,855.9000000070,60099,000
Liquide middelen en kortetermijnbeleggingen 3,732.8747,948.15623,245.12828,089.25564,569.9414,795.3046,334.2055,921.9128,650.74219,923.2523,428.1330,188.44888,866.456139,316.77973,115.077124,320.881
Nettovorderingen 4,020.9562,282.1832,470.6072,587.6972,700.5415,650.6784,804.92,031.0762,933.60830,847.31345,176.958-6.160000
Voorraad 49,314.52552,258.72652,208.3351,694.34355,114.15241,260.67240,908.42941,189.086192,996.868172,753.88178,325.882174,656.226172,302.099162,151.243146,839.624168,813.929
Overige vlottende activa -57,068.354-62,489.064-77,924.065-82,371.295-122,384.634-0-02,211.34311,656.44548,280.46458,003.55771,919.04476,233.699108,630.782,147.697105,209.578
Totaal vlottende activa 59,018.54767,137.20882,564.0586,926.324125,127.82151,706.65452,047.53549,322.341213,304.055240,957.595239,757.569276,757.559337,402.255410,098.721302,102.398398,344.388
Niet-vlottende activa:
Materiële vaste activa, netto 224,615.4253,082.1893,881.0365,109.0617,258.4999,575.72112,072.1226,990.8427,480.5728,237.4469,588.862512,536.301528,794.646495,319.918445,957.71416,856.056
Goodwill 125.89998.967180.107452.009435.454291.063163.367000000000
Immateriële activa 0.4933.8641.251030.62553.12544.37599.779171.073275.533379.993507.1170000
Goodwill en immateriële activa 0.4933.8641.251030.62553.12544.37599.779171.073275.533379.993507.1170000
Langetermijnbeleggingen 3,373.8363,313.614464,256.288482,703.657502,845.451532,146.492550,846.493-785,195.432570,057.551579,573.894594,621.587109,020.3410000
Belastingvorderingen 125.89998.967180.107452.009435.454291.063163.367785,095.652138.775138.775138.775126.65104.46186.97439.53762.837
Overige niet-vlottende activa 471,104.4682,863.865223,256.868215,639.126194,309.002169,764.386168,320.867728,782.4699.89.81,000.3931,000.393110,187.305112,038.705113,141.223110,419.779
Totaal niet-vlottende activa 699,220.053689,362.499691,575.549703,913.852704,879.031711,830.786731,447.224735,773.311577,857.77588,235.448605,729.61623,190.802639,086.412607,445.597559,138.47527,338.671
Totaal activa 758,238.6756,499.707774,139.598790,840.176830,006.852763,537.44783,494.759785,095.652791,161.825829,193.043845,487.179899,948.361976,488.6671,017,544.318861,240.867925,683.06
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 8,127.0923,701.263,526.7752,954.8573,139.18225,604.0934,459.88832,150.66630,204.4530,277.72429,608.22130,310.95829,971.82747,654.74631,245.16184,922.795
Kortlopende schulden 150,820.031-17,476.422-12,931.9789,6906,4403,2501,800144,678.4551,80098,031.121,50000000
Belastingschulden 18,822.46119,101.44115,196.59710,667.2846,612.75110,800.3910,164.4129,329.3098,875.2339,069.5378,466.3548,622.385,984.3623,364.533192.8071,827.771
Uitgestelde opbrengsten 10,662.06817,476.42212,931.9783,532.7461,917.89810,800.3910,164.41249,610.17220,391.5429,069.5378,466.35400000
Overige kortlopende verplichtingen -10,662.068125,838.84104,955.413155,483.803165,867.507116,572.46691,730.3210,998.51317,144.99210,286.135,578.75738,583.78443,728.28838,097.14125,512.94668,665.95
Totaal kortlopende verplichtingen 158,947.123129,540.101108,482.188171,661.406177,364.587156,226.946138,154.62237,437.80669,540.984147,664.4875,153.33168,894.74273,700.11585,751.88756,758.108153,588.745
Langlopende verplichtingen:
Langetermijnschulden 150,000150,000150,000131,772.455135,062.455138,312.455140,412.45545.455145,584.74567,454.165167,358.264173,559.663194,602.83202,822.744171,302.249131,776.763
Uitgestelde opbrengsten niet-vlottend 76,387.45359,243.18664,254.1173,532.7461,917.898300,149.515283,731.887239,151.28122.61410,499.8456,827.7222,652.3590000
Uitgestelde belastingverplichtingen niet-vlottend -150,000-150,000-150,000-3,532.746-1,917.898-300,149.515-283,731.887-239,196.73600000000
Overige niet-vlottende verplichtingen 140,996.587154,470.67154,839.4886,075.4046,187.6765,610.1135,164.8121,713.4753,255.9415,728.6565,496.8915,052.050000
Totaal niet-vlottende verplichtingen 217,384.039213,713.857219,093.605137,847.859141,250.131143,922.568145,577.2671,713.475148,863.383,682.666179,682.876181,264.071194,602.83202,822.744171,302.249131,776.763
Totaal passiva 376,331.163343,253.957327,575.793309,509.266318,614.718300,149.515283,731.887239,151.281218,404.284231,347.146254,836.208250,158.813268,302.945288,574.631228,060.357285,365.508
Eigen vermogen:
Preferente aandelen 0000000000000000
Gewone aandelen 751,399.225751,399.225751,399.225751,399.225751,399.225683,099.225731,502.225683,099.225683,099.225731,502.225731,502.225731,502.225731,502.225731,502.225602,449.497602,449.495
Ingehouden winsten -457,365.602-422,774.477-389,770.692-353,519.97-322,546.652-291,626.761-255,117.86-211,955.472-182,976.499-154,537.041-161,752.395-102,632.778-44,275.427-23,582.501-3,347.4253,815.981
Overige gereserveerde algehele resultaten 8,626.9055,350.5285,654.9884,162.2233,232.965463,387.926499,762.871545,944.3713,372.2582,782.372000000
Overige totale aandeelhoudersvermogen 79,313.72879,313.72879,313.72879,313.72879,313.728-391,491.199-221,483.701-259,412.79369,068.72817,883.35620,665.72820,665.72820,665.72820,665.72833,743.2533,743.249
Totaal eigen vermogen van aandeelhouders 381,974.255413,289.005446,597.249481,355.206511,399.266463,369.191499,545.676545,719.858572,563.713597,630.913590,415.558649,535.175707,892.527728,585.452632,845.322640,008.725
Totaal eigen vermogen 381,907.437413,245.75446,563.805481,330.91511,392.134463,387.926499,762.871545,944.371572,757.542597,845.897590,650.971649,789.548708,185.722728,969.688633,180.51640,317.552
Totaal passiva en aandeelhoudersvermogen 758,238.6756,499.707774,139.598790,840.176830,006.852763,537.44783,494.759785,095.652791,161.825829,193.043845,487.179899,948.361976,488.6671,017,544.318861,240.867925,683.06