PT. Garuda Indonesia (Persero) Tbk

IDX:GIAA.JK

55 (IDR) • At close November 5, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 289.846521.68354.442200.98299.349250.619305.718566.004519.973434.327475.261325.785417.715129.159182.756235313.888141.051152.692
Kortetermijnbeleggingen -351.5090-277.92-426.434-130.025-120.475-94.102-80.803-81.622-54.334-77.016-65.352-352.43901.1671.3211.23761.0261.122
Liquide middelen en kortetermijnbeleggingen 289.846521.68354.442200.98299.349250.619305.718566.004519.973434.327475.261325.785417.715129.159183.923236.321315.125202.078153.814
Nettovorderingen 149.519114.31196.538121.29348.495,890.2973,110.351196.232124.713123.141149.503133.0020000000
Voorraad 116.24667.98673.034105.199167.744176.457131.156108.95491.63185.20490.32883.44479.54966.60965.58246.70842.26640.36251.509
Overige vlottende activa 59.28664.67558.211102.704308.858929.899549.868490.175396.244290.983253.545227.337251.7231.735197.444151.273217.075160.542112.855
Totaal vlottende activa 653.773801.154305.725536.5471,133.8931,356.975986.7421,165.1331,007.848810.515819.134636.566748.964427.503446.949434.302574.466402.982318.178
Niet-vlottende activa:
Materiële vaste activa, netto 5,300.1824,703.3556,009.7269,578.8291,333.0941,116.011,073.2481,096.4061,071.5591,311.8781,363.4651,295.237557.028614.595676.375454.962279.048323.575327.757
Goodwill 0000000000000000000
Immateriële activa 0.010.0050.0360.2530.7381.4763.4254.9934.6496.0476.8237.2170000000
Goodwill en immateriële activa 0.010.0050.0360.2530.7381.4763.4254.9934.6496.0476.8237.2173.8240385.7353.8631.67861.7021.585
Langetermijnbeleggingen 371.62618.507294.813449.328158.011138.92799.0685.54886.05559.061103.27691.071375.493021.52317.8623.925-35.99121.727
Belastingvorderingen 390.8372.316571.753211.82885.06654.17869.511108.494104.991107.41326.20911.46324.23624.4955.7197.12431.50231.11430.862
Overige niet-vlottende activa 11.253339.67410.69313.1951,744.8731,704.0931,531.3061,276.9951,034.911805.902634.877476.444278.756432.56834.236264.729143.167115.4387.068
Totaal niet-vlottende activa 6,073.8725,433.8576,887.0210,253.4333,321.7833,014.6852,776.552,572.4362,302.1632,290.3012,134.6511,881.4321,239.3371,071.6591,123.588748.539479.319495.83468.998
Totaal activa 6,727.6456,235.0117,192.74510,789.984,455.6764,371.663,763.2923,737.5693,310.0113,100.8162,953.7852,517.9981,988.31,499.1621,570.5371,182.8411,053.785898.812787.177
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 161.073500.607629.579420.974686.472402.327224.023220.432149.356215.589206.186173.4763.106122.471129.249185.682198.241177.508122.319
Kortlopende schulden 267.402206.8553,227.7852,973.2171,704.061,086.931,093.502782.019480.316457.19378.567169.909135.696125.39249.855130.202159.172160.586118.057
Belastingschulden 131.893194.056233.638253.936137.58578.24849.69939.45980.99718.45917.03820.40812.6459.7498.0447.2449.02913.4617.721
Uitgestelde opbrengsten 658.39801,195.969817.566634.76178.248549.313502.872488.473477.742363.542368.616259.688175.623252.4367.2449.02913.4617.721
Overige kortlopende verplichtingen 78.283973.568717.9883.04232.544883.61155.00958.25377.70568.84335.59542.213189.224151.48441.948226.224303.021236.126239.585
Totaal kortlopende verplichtingen 1,165.1561,681.035,771.3134,294.7983,257.8362,451.1171,921.8461,563.5761,195.8491,219.365983.891754.207647.714574.968673.489549.352669.463587.68497.682
Langlopende verplichtingen:
Langetermijnschulden 3,664.9723,796.1794,488.4194,792.7779.325626.971621.957912.048875.026712.423625.952443.042323.826368.609358.898506.559111.829154.007182.686
Uitgestelde opbrengsten niet-vlottend 478.2830674.502682.58843.98134.69743.56745.76538.87933.79922.7215.014148.848148.553133.42679.14874.99970.44156.627
Uitgestelde belastingverplichtingen niet-vlottend 0.6290.6170.7790.8050.940.7891.6852.0561.6622.99716.98815.023.5641.2327.73717.8570.3610.3970.29
Overige niet-vlottende verplichtingen 2,701.3322,292.2852,367.7932,962.044352.972247.899236.767204.227247.872215.519187.085185.75431.14525.20335.2372.6062.2572.7933.481
Totaal niet-vlottende verplichtingen 6,845.2176,089.087,531.4928,438.207477.2171,010.355903.9771,164.0961,163.439964.738852.746648.831507.382543.595555.298606.169189.446227.638243.084
Totaal passiva 8,010.3727,770.1113,302.80512,733.0053,735.0533,461.4712,825.8232,727.6722,359.2882,184.1031,836.6371,403.0381,155.0971,118.5631,228.7871,155.521858.91815.317740.765
Eigen vermogen:
Preferente aandelen 0000060.4560101.64161.948158.062161.18100000000
Gewone aandelen 2,131.3542,131.3541,310.3271,310.3271,310.3271,310.3271,310.3271,309.4341,309.4341,309.4341,146.0321,146.0321,249.7831,000.519967.685737.813761.54759.797696.31
Ingehouden winsten -3,432.486-3,678.71-7,418.847-3,263.966-675.421-415.858-449.484-221.07-220.046-253.83118.391110.598-659.554-749.349-789.309-886.23-675.04-733.688-651.416
Overige gereserveerde algehele resultaten 17.39112.97316.34214.11940.256-60.4564.331-101.64-161.948-158.062-161.18100000000
Overige totale aandeelhoudersvermogen 36.36136.36119.83619.83619.836-31.08429.608-95.558-155.866-151.665-148.745-143.541241.328128.092162.637171.461108.25257.4881.68
Totaal eigen vermogen van aandeelhouders -1,247.379-1,498.021-6,072.342-1,919.685694.997863.385894.782992.806933.521903.9391,115.6781,113.089831.557379.262341.01323.044194.75383.59646.573
Totaal eigen vermogen -1,282.727-1,535.099-6,110.06-1,943.024720.623910.188937.4691,009.897950.723916.7131,117.1481,114.96833.204380.599341.75127.319194.87683.49446.411
Totaal passiva en aandeelhoudersvermogen 6,727.6456,235.0117,192.74510,789.984,455.6764,371.663,763.2923,737.5693,310.0113,100.8162,953.7852,517.9981,988.31,499.1621,570.5371,182.8411,053.785898.812787.177