PT Catur Sentosa Adiprana Tbk

IDX:CSAP.JK

482 (IDR) • At close September 19, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 165,388.457143,607.90166,944.508110,125.08469,778.64366,648.63390,495.04871,942.49863,048.14251,121.15457,234.96665,765.95630,853.3228,362.20933,427.33537,121.081140,711.583
Kortetermijnbeleggingen 007,906.128-166,894.641-256,509.873,404.8022,772.4814,215.4694,053.3367,052.8056,647.473,344.0028,922.5345,300.922859.1362,321.2854,389.447
Liquide middelen en kortetermijnbeleggingen 165,388.457143,607.90174,850.636110,125.08469,778.64370,053.43593,267.52976,157.96767,101.47858,173.95963,882.43669,109.95839,775.85433,663.13134,286.47139,442.366145,101.03
Nettovorderingen 1,986,689.2651,960,583.9071,910,887.4011,953,257.1762,033,812.4121,357,5021,423,7791,364,193.8191,095,843.0481,185,614.551,052,559.411802,614.137628,274.469545,678.837434,067.538374,916.922363,758.95
Voorraad 3,724,243.2153,418,954.6882,890,951.1752,346,120.042,394,256.8172,130,161.1861,769,543.9181,636,601.8431,351,860.4831,242,866.5821,090,835.316849,126.919817,463.961650,718.927532,394.736471,219.597358,589.119
Overige vlottende activa 165,091.10811,224.93713,027.37310,153.7474,598.4111,886,479.47370,530.30857,623.05439,520.02755,121.36158,603.76236,039.56421,547.86627,801.19419,557.27914,749.4647,763.873
Totaal vlottende activa 6,041,412.0455,534,371.4334,889,716.5854,419,656.0474,502,446.2834,086,694.0943,662,499.523,134,576.6832,554,325.0362,541,776.4522,265,880.9251,756,890.5781,507,062.151,257,862.0891,020,306.024900,328.349875,212.972
Niet-vlottende activa:
Materiële vaste activa, netto 4,823,149.6123,240,068.4973,410,851.052,928,374.6191,715,524.941,432,626.7171,242,717.993871,363.683778,838.532641,768.554734,041.671663,402.155415,158.002352,139.893289,102.996267,729.886166,058.368
Goodwill 00000000000000000
Immateriële activa 15,505.02312,603.24918,676.57123,429.24225,279.899000000000000
Goodwill en immateriële activa 15,505.02312,603.24918,676.57123,429.24225,279.899177,517.474144,321.575120,656.36271,049.91971,605.75962,429.04655,927.5180043,073.44238,055.58720,581.594
Langetermijnbeleggingen 8,0006,500-2,906.128171,894.641261,509.871,595.1982,227.519-790.469-628.336-3,627.805-3,222.4712.04500-147.736-1,609.885-3,678.047
Belastingvorderingen 88,244.41672,858.31171,026.89458,210.11870,836.87862,836.69264,775.6762,810.68355,589.05448,137.26241,000.67228,258.11527,374.45626,952.9524,602.74114,237.47813,974.451
Overige niet-vlottende activa 339,267.856779,194.529117,762.58914,701.4298,989.15324,017.37821,717.00852,203.37863,398.6469,257.3797,765.5857,726.93259,587.02867,955.8098,650.9267,903.4426,049.135
Totaal niet-vlottende activa 5,274,166.9074,111,224.5863,615,410.9763,196,610.0492,082,140.741,698,593.4591,475,759.7651,106,243.637968,247.815767,141.149842,014.504755,326.765502,119.486447,048.652365,282.369326,316.508202,985.501
Totaal activa 11,315,578.9529,645,596.0198,505,127.5617,616,266.0966,584,587.0235,785,287.5535,138,259.2854,240,820.323,522,572.8513,308,917.6013,107,895.4292,512,217.3432,009,181.6361,704,910.7411,385,588.3931,226,644.8571,078,198.473
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3,192,704.162,820,260.8822,531,251.3072,552,378.9642,431,223.6961,999,842.0391,888,798.9211,635,060.7161,437,073.4971,463,299.0861,232,325.626955,042.605601,505.968503,539.544443,528.582333,009.138324,398.188
Kortlopende schulden 2,217,271.3582,195,283.4121,698,280.8421,311,867.4021,332,097.4731,146,127.1411,082,710.385755,983.228820,801.328703,764.44773,770.855579,940.669462,795.774378,507.912217,873.018161,022.428132,292.021
Belastingschulden 2,870.86923,326.84219,363.51321,912.32518,324.92227,582.47759,371.64114,600.8113,379.7324,801.41813,153.9566,926.11610,264.7655,418.6985,804.75315,132.99913,795.64
Uitgestelde opbrengsten 2,870.869000027,582.47759,371.64114,600.8113,379.7324,801.41813,153.9566,926.11610,264.7655,418.6985,804.75315,132.99913,795.64
Overige kortlopende verplichtingen 314,718.445256,103.516237,025.902196,714.567193,527.069129,154.557128,911.38386,968.64183,958.75180,184.98891,583.06452,371.848206,579.583189,055.998137,612.397151,879.575107,517.749
Totaal kortlopende verplichtingen 5,727,564.8325,271,647.814,466,558.0514,060,960.9333,956,848.2383,302,706.2143,159,792.332,492,613.3962,345,213.3082,252,049.9322,110,833.5011,594,281.2381,281,146.091,076,522.152804,818.75661,044.14578,003.598
Langlopende verplichtingen:
Langetermijnschulden 731,851.8231,706,799.4981,591,428.5161,283,743.554420,323.35346,936.681266,610.453168,203.432180,556.306104,631.182167,717.586187,103.33566,952.91247,235.89250,077.2251,253.03456,186.624
Uitgestelde opbrengsten niet-vlottend 0000000000000048,289.35440,016.7920
Uitgestelde belastingverplichtingen niet-vlottend 00000000000000174.128219.2680
Overige niet-vlottende verplichtingen 1,354,466.155171,101.172181,954.043218,009.383235,615.751194,990.622186,579.523168,229.179143,284.253133,358.71112,470.11582,559.5766,491.92458,192.735220.502247.82134,202.639
Totaal niet-vlottende verplichtingen 2,086,317.9781,877,900.671,773,382.5591,501,752.937655,939.101541,927.303453,189.976336,432.611323,840.559237,989.892280,187.701269,662.905133,444.836105,428.62798,761.20491,736.91590,389.263
Totaal passiva 7,813,882.817,149,548.486,239,940.615,562,713.874,612,787.3393,844,633.5173,612,982.3062,829,046.0072,669,053.8672,490,039.8242,391,021.2021,863,944.1431,414,590.9261,181,950.779903,579.954752,781.055668,392.861
Eigen vermogen:
Preferente aandelen 00000000000000000
Gewone aandelen 568,317.516445,835.292445,835.292445,835.292445,835.292445,835.292405,305.292405,305.292289,503.78289,503.78289,503.78289,503.78289,503.78289,503.78289,503.78289,503.78289,503.78
Ingehouden winsten 1,294,298.0151,153,531.689947,437.656745,082.928663,776.35632,806.029553,625.808480,616.457419,474.119383,716.217293,774.601232,960.343189,623.315128,368.60195,341.57395,667.97339,441.12
Overige gereserveerde algehele resultaten 3,2003,0002,8002,6002,4005,252.3064,419.9865,662.9745,300.8416,700.3096,294.975000000
Overige totale aandeelhoudersvermogen 1,441,633.779708,165.401709,446.651709,446.651709,446.651709,679.146426,410.206426,410.20651,882.61953,282.61953,082.61955,874.12652,534.66752,382.66752,096.90752,190.13352,154.762
Totaal eigen vermogen van aandeelhouders 3,307,449.312,310,532.3822,105,519.5991,902,964.8711,821,458.2931,793,572.7731,389,761.2921,317,994.929766,161.359733,202.925642,655.975578,338.249531,661.762470,255.048436,942.26437,361.886381,099.662
Totaal eigen vermogen 3,501,696.1422,496,047.5392,265,186.9512,053,552.2261,971,799.6841,940,654.0361,525,276.9791,411,774.313853,518.984818,877.777716,874.227648,273.2594,590.71522,959.962482,008.439473,863.802409,805.612
Totaal passiva en aandeelhoudersvermogen 11,315,578.9529,645,596.0198,505,127.5617,616,266.0966,584,587.0235,785,287.5535,138,259.2854,240,820.323,522,572.8513,308,917.6013,107,895.4292,512,217.3432,009,181.6361,704,910.7411,385,588.3931,226,644.8571,078,198.473