PT Berlina Tbk

IDX:BRNA.JK

650 (IDR) • At close October 17, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 48,690.71426,150.15228,541.65858,810.05358,010.856101,956.45367,552.749175,194.94391,619.292107,951.93273,003.111
Kortetermijnbeleggingen 151.85125.7191.3716,079.51177.5153,995.1414,710.4513,754.314,105.0033,823.1515,104.452
Liquide middelen en kortetermijnbeleggingen 48,842.56426,275.86228,633.02874,889.56358,188.371105,951.59472,263.2178,949.25395,724.295111,775.08378,107.563
Nettovorderingen 188,164.131174,430.186184,488.52178,845.545241,302.669328,146.634317,028.915302,724.097244,365.819228,485.311158,115.18
Voorraad 143,656.161164,377.402159,032.076172,140.359258,917.346312,469.476254,372.33244,780.184204,694.938192,171.793148,582.554
Overige vlottende activa 5,310.50911,584.81919,287.06868,816.242106,866.84365,230.68475,093.08550,862.92139,244.34948,587.81771,645.776
Totaal vlottende activa 387,211.481395,074.953405,198.035494,691.709665,275.229811,798.388718,757.53777,316.455584,029.401581,020.004456,451.073
Niet-vlottende activa:
Materiële vaste activa, netto 1,272,396.7591,447,480.3541,590,747.5641,398,883.5441,498,164.5231,504,942.5841,126,409.5411,196,816.8981,202,090.42719,368.856639,297.618
Goodwill 00020,530.79220,530.79220,530.79220,530.79220,530.79220,530.79220,530.79220,530.792
Immateriële activa 8,422.17611,481.09915,344.878392,217.83744,017.31451,255.68658,624.24365,691.9685,561.8347,226.8521,666.048
Goodwill en immateriële activa 8,422.17611,481.09915,344.878412,748.62964,548.10671,786.47879,155.03586,222.7626,092.62627,757.64422,196.84
Langetermijnbeleggingen 000-355,361.866009,339.5639,875.4194,614.53400
Belastingvorderingen 136.6480106.579396.661017,744.31715,540.680000
Overige niet-vlottende activa 53,329.56415,923.2569,243.20114,359.8735,125.0655,054.41615,674.73318,465.3773,956.935,939.5127,187.184
Totaal niet-vlottende activa 1,334,285.1471,474,884.7091,615,442.2221,471,026.8381,597,837.6891,649,527.7951,246,119.5521,311,380.4541,236,754.51753,066.012668,681.642
Totaal activa 1,721,496.6281,869,959.6622,020,640.2571,965,718.5472,263,112.9182,461,326.1831,964,877.0822,088,696.9091,820,783.9111,334,086.0161,125,132.715
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 113,911.971137,544.513173,086.404190,983.094216,138.938244,577.191182,843.879179,589.05180,771.879167,710.37168,261.171
Kortlopende schulden 186,830.606301,160.052406,796.942473,828.653550,248.071508,990.489385,882.51323,422.138276,141.813265,957.191280,534.888
Belastingschulden 4,908.47218,242.0216,010.908146.9939,916.2433,276.759205.9211,637.3713,849.44200
Uitgestelde opbrengsten 6,9718,864.5264,014.955,825.4955,418.0556,348.4124,995.0882,578.7853,181.300
Overige kortlopende verplichtingen 59,494.19869,386.58569,920.41472,040.61168,487.68465,163.71180,311.36354,687.50751,701.671121,441.883113,572.56
Totaal kortlopende verplichtingen 367,207.775516,955.676653,818.71742,677.853840,292.748825,079.803654,032.84560,277.48511,796.663555,109.444562,368.619
Langlopende verplichtingen:
Langetermijnschulden 585,769.423497,627.512346,099.578269,342.369228,925.681274,422.384314,023.428303,417.734312,311.48370,793.891109,179.665
Uitgestelde opbrengsten niet-vlottend 11,967.2180061,083.57587,284.32576,504.3654,238.6987,604.39273,940.69700
Uitgestelde belastingverplichtingen niet-vlottend 76,818.79898,865.637123,340.83664,308.52488,735.527103,958.6727,671.23560,974.51854,817.56800
Overige niet-vlottende verplichtingen 37,044.94237,611.36746,346.04961,582.70864,093.84658,089.40461,881.45248,069.5140,003.21550,110.055147,703.252
Totaal niet-vlottende verplichtingen 711,600.381634,104.516515,786.463456,317.176469,039.379512,974.818457,814.805500,066.154481,072.96420,903.946256,882.917
Totaal passiva 1,078,808.1561,151,060.1921,169,605.1731,198,995.0291,309,332.1271,338,054.6211,111,847.6451,060,343.634992,869.623976,013.39819,251.536
Eigen vermogen:
Preferente aandelen 00000000000
Gewone aandelen 48,955.548,955.548,955.548,955.548,955.548,955.548,955.548,955.537,95034,50034,500
Ingehouden winsten -370,829.175-351,070.391-269,229.532-145,333.991-14,810.64598,179.19886,645.525229,537.381192,411.894243,808.132199,250.139
Overige gereserveerde algehele resultaten 662,367.269721,447.356770,097.989578,720.438611,897.688664,845.448431,212.427455,257.269509,361.76553,819.64850,324.836
Overige totale aandeelhoudersvermogen 246,579.048246,579.048246,579.048246,579.048246,579.048246,579.048246,579.048246,579.04840,595575575
Totaal eigen vermogen van aandeelhouders 587,072.642665,911.513796,403.005728,920.995892,621.5911,058,559.194813,392.5980,329.198780,318.659332,702.78284,649.975
Totaal eigen vermogen 642,688.472718,899.47851,035.084766,723.518953,780.7911,123,271.562853,029.4371,028,353.275827,914.288358,072.626305,881.179
Totaal passiva en aandeelhoudersvermogen 1,721,496.6281,869,959.6622,020,640.2571,965,718.5472,263,112.9182,461,326.1831,964,877.0822,088,696.9091,820,783.9111,334,086.0161,125,132.715