PT Industri dan Perdagangan Bintraco Dharma Tbk

IDX:CARS.JK

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

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

20232022202120202019201820172016201520142013
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 464,484.247435,961.596434,597.323460,968.648228,878.143208,019.351292,036.412209,172.427147,688.657122,155.192228,239.653
Kortetermijnbeleggingen 213,779.979270,121.955245,571.156255,344.0430,755.75313,084.0715,326.77847,695.454116,226.11110,484.16864,396.664
Liquide middelen en kortetermijnbeleggingen 464,484.247706,083.552680,168.479716,312.688259,633.896221,103.422307,363.191256,867.881147,688.657122,155.192228,239.653
Nettovorderingen 1,206,079.2811,231,019.1051,327,492.6282,319,963.6434,977,835.6216,498,2145,832,782-47,066.7253,882,555.53,709,224.9043,160,236.718
Voorraad 406,571.148187,571.18997,714.981121,085.188422,640.706409,288.934358,703.481323,260.366350,482.295308,530.58285,180.477
Overige vlottende activa 131,905.2591,081,168.324588,709.188431,157.884432,858.8247,013,998.7916,230,813.5554,745,420.205330,284.881121,402.57593,350.767
Totaal vlottende activa 2,209,039.9351,974,823.0642,448,514.123,333,175.3626,062,213.2947,642,202.6246,886,276.5425,278,481.7274,711,011.3344,371,797.4193,831,404.279
Niet-vlottende activa:
Materiële vaste activa, netto 807,366.8631,092,983.0481,113,725.3281,512,926.1611,210,514.468948,875.786815,016.169702,905.625747,306.69864,357.934778,873.205
Goodwill 87,372.77189,47898,965.837119,626.2180000000
Immateriële activa 16,284.29718,485.72119,327.01216,112.5215,573.32511,901.1116,011.1755,556.0753,044.6841,850.4411,864.197
Goodwill en immateriële activa 103,657.069107,963.721118,292.849135,738.73915,573.32511,901.1116,011.1755,556.0753,044.6841,850.4411,864.197
Langetermijnbeleggingen 672,835.608-51,191.1511,053.335-11,648.6980,609.48497,925.08887,900.92886,800.32-29,254-54,965.487-25,988.65
Belastingvorderingen 37,414.26243,134.89828,883.06767,378.102102,480.62441,343.69937,241.57529,540.28423,023.50321,183.0318,253.919
Overige niet-vlottende activa 38,607.321603,759.53614,800.638649,596.174299,996.068406,876.344384,482.294347,463.87402,860.064286,065.839205,362.234
Totaal niet-vlottende activa 1,659,881.1231,796,650.0461,876,755.2172,353,990.4861,709,173.9691,506,922.0281,330,652.1421,172,266.1741,146,980.9411,118,491.757978,364.906
Totaal activa 3,868,921.0583,771,473.1114,325,269.3375,687,165.8487,771,387.2639,149,124.6528,216,928.6846,450,747.9015,857,992.2755,490,289.1764,809,769.185
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 440,250.65260,517.42937,213.542150,007.99200,832.262203,870.865171,100.992133,693.571140,675.34697,259.137113,344.494
Kortlopende schulden 1,712,176.4351,477,595.8191,718,392.4362,633,891.4593,051,992.6743,170,601.2482,643,793.0082,200,727.9112,538,647.8542,229,675.5931,774,778.445
Belastingschulden 21,251.52995,047.83433,795.039,706.74521,707.98830,331.80527,868.79959,762.23626,980.26734,107.49944,255.711
Uitgestelde opbrengsten 25,084.4169,609.22110,600.89199,773.10791,277.30730,331.805152,564.519179,146.753264,863.032210,282.651158,293.277
Overige kortlopende verplichtingen 485,866.506294,966.832121,851.18382,474.88586,908.829140,127.837154,240.77193,264.149118,650.683127,970.74284,395.396
Totaal kortlopende verplichtingen 2,663,378.0031,902,689.2991,988,058.0512,966,147.4413,431,011.0733,544,931.7563,121,699.292,606,832.3843,062,836.9142,665,188.1242,130,811.612
Langlopende verplichtingen:
Langetermijnschulden 246,433.4951,088,704.8141,704,731.7731,603,357.2272,385,778.7123,570,382.6973,263,835.0082,317,931.7151,405,453.9861,540,372.361,524,304.987
Uitgestelde opbrengsten niet-vlottend 13,977.27958,466.8265,690.43749,792.02633,212.271000087,175.0690
Uitgestelde belastingverplichtingen niet-vlottend -009,365.08310,000.829116,730.4534,037.9382,056.8612,178.5524,748.4283,362.7753,512.452
Overige niet-vlottende verplichtingen 68,317.17159,198.60567,476.229130,278.356769.052138,448.71131,456.581113,352.37886,971.347-075,130.972
Totaal niet-vlottende verplichtingen 328,727.9451,206,370.2391,847,263.5221,793,428.4392,536,490.4883,712,869.3453,397,348.4512,433,462.6451,497,173.7611,630,910.2051,602,948.411
Totaal passiva 2,992,105.9493,109,059.5393,835,321.5734,759,575.885,967,501.5617,257,801.1016,519,047.7415,040,295.0294,560,010.6754,296,098.3293,733,760.023
Eigen vermogen:
Preferente aandelen 00000000000
Gewone aandelen 150,000150,000150,000150,000150,000150,000150,000135,00027,777.7727,777.7727,777.77
Ingehouden winsten 262,954.1633,402.858-132,531.1199,575.6461,193,912.6221,286,121.4551,098,002.577986,970.534981,672.953905,280.194825,009.835
Overige gereserveerde algehele resultaten 30,00030,00030,000121,398.930,00030,00030,000723.619723.619723.619723.619
Overige totale aandeelhoudersvermogen 159,953.37195,018.158195,018.158195,018.158160,676.989160,676.989180,800.16708,077.28,077.28,077.2
Totaal eigen vermogen van aandeelhouders 602,907.53408,421.015242,487.057665,992.7031,534,589.6111,626,798.4441,458,802.7431,122,694.1531,018,251.541941,858.783861,588.423
Totaal eigen vermogen 876,815.109662,413.572489,947.764927,589.9681,803,885.7021,891,323.5511,697,880.9431,410,452.8721,297,981.61,194,190.8471,076,009.162
Totaal passiva en aandeelhoudersvermogen 3,868,921.0583,771,473.1114,325,269.3375,687,165.8487,771,387.2639,149,124.6528,216,928.6846,450,747.9015,857,992.2755,490,289.1764,809,769.185