PT Indofood CBP Sukses Makmur Tbk

IDX:ICBP.JK

10775 (IDR) • At close January 15, 2025
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 19,353,41615,741,06820,377,9779,535,4188,359,1644,726,8228,796,6908,371,9807,657,5107,342,9865,526,1735,484,3184,420,6443,407,687695,832
Kortetermijnbeleggingen 2,334,020156,420284,220-85,940-108,686563,840148,400-55,20799,40059,52072,00021,28017,28019,3609,283
Liquide middelen en kortetermijnbeleggingen 21,687,43615,897,48820,662,1979,535,4188,359,1645,290,6628,945,0908,371,9807,756,9107,402,5065,598,1735,505,5984,437,9243,427,047705,115
Nettovorderingen 7,198,1586,875,5046,400,9305,273,4164,049,2904,128,1913,871,2523,721,2063,197,8342,709,9692,454,5532,384,1962,378,40200
Voorraad 6,329,4827,132,3215,857,2174,586,9403,840,6904,001,2773,261,6353,109,9162,546,8352,821,6182,868,7221,812,8871,629,8831,422,4661,310,739
Overige vlottende activa 1,558,3891,379,2341,206,6641,433,056407,877713,910534,971407,174459,921696,321400,267213,55619,650142,0731,784,763
Totaal vlottende activa 36,773,46531,070,36533,997,63720,716,22316,624,92514,121,56816,579,33115,571,36213,961,50013,603,52711,321,7159,888,4408,580,3117,017,8353,800,617
Niet-vlottende activa:
Materiële vaste activa, netto 14,949,26613,224,70212,933,24812,148,68011,342,41210,741,6228,120,2547,114,2886,555,6605,838,8434,844,4073,839,7562,590,0362,304,5882,180,441
Goodwill 54,006,15554,006,15554,006,15554,006,1551,775,8391,775,8391,424,0301,424,0301,424,0301,424,0301,424,0301,424,030000
Immateriële activa 1,446,0783,092,9923,176,5583,316,4252,011,0902,136,6791,830,1402,329,9972,628,2352,761,4731,931,9572,065,195000
Goodwill en immateriële activa 55,452,23357,099,14757,182,71357,322,5803,786,9293,912,5183,254,1703,754,0274,052,2654,185,5033,355,9873,489,2253,622,4633,755,7013,969,074
Langetermijnbeleggingen 8,368,85311,012,82310,784,41710,731,1793,998,9572,141,5582,496,8131,687,2881,019,638595,905236,219130,21565,921-10,41210,179
Belastingvorderingen 319,549271,766427,117478,140533,188562,770612,900663,119587,639350,167231,593162,100119,16896,79068,442
Overige niet-vlottende activa 3,403,7102,626,7332,741,4962,191,5232,422,9032,887,117556,046111,864383,922336,2661,277,549243,744244,958196,811195,140
Totaal niet-vlottende activa 82,493,61184,235,17184,068,99182,872,10222,084,38920,245,58515,040,18313,330,58612,599,12411,306,6849,945,7557,865,0406,642,5466,343,4786,423,276
Totaal activa 119,267,076115,305,536118,066,628103,588,32538,709,31434,367,15331,619,51428,901,94826,560,62424,910,21121,267,47017,753,48015,222,85713,361,31310,223,893
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3,773,9693,702,9793,585,9353,045,1112,635,4332,956,1892,904,2332,692,3492,190,6922,264,2762,137,1021,649,1511,274,0671,134,052777,178
Kortlopende schulden 682,6721,392,718907,065816,502654,1091,390,9061,397,8551,157,8091,394,5331,804,9061,125,639614,036628,595413,8621,378,638
Belastingschulden 924,1701,054,0501,198,2491,796,428545,825204,886212,476288,397235,593131,11761,33985,766226,251257,411244,494
Uitgestelde opbrengsten 005,128,27600002,609,1672,374,1772,122,3461,422,7311,371,9371,597,7391,477,1171,121,486
Overige kortlopende verplichtingen 5,083,4143,884,1888,076,6083,518,1232,720,9922,683,4172,313,0242,331,2302,181,5262,007,8471,372,5031,299,116859,627895,8754,978,139
Totaal kortlopende verplichtingen 10,464,22510,033,93518,896,1339,176,1646,556,3597,235,3986,827,5886,469,7856,002,3446,230,9974,696,5833,579,4872,988,5402,701,2007,378,449
Langlopende verplichtingen:
Langetermijnschulden 43,307,66044,613,33340,845,39530,907,8641,702,075-2,263,717956,922876,6361,431,5701,589,6821,383,292640,613-670,097-669,55831,200
Uitgestelde opbrengsten niet-vlottend 0003,748,14403,115,4561,82083,300-15,4660213,150-37,780815,604684,335541,500
Uitgestelde belastingverplichtingen niet-vlottend 329,284326,258320,460269,843364,894379,900385,520412,144443,119482,742498,504530,291563,433598,820637,571
Overige niet-vlottende verplichtingen 3,061,8742,859,0033,333,1769,168,2573,414,88277,5103,125,1542,642,5602,296,6802,647,3591,423,3601,016,55009,81910,433
Totaal niet-vlottende verplichtingen 46,698,81847,798,59444,446,63244,094,1085,481,8514,424,6054,467,5963,931,3404,171,3693,639,2673,305,1562,187,1951,524,5441,297,9321,220,704
Totaal passiva 57,163,04357,832,52963,342,76553,270,27212,038,21011,660,00311,295,18410,401,12510,173,7139,870,2648,001,7395,766,6824,513,0843,999,1328,599,153
Eigen vermogen:
Preferente aandelen 000000000000000
Gewone aandelen 583,095583,095583,095583,095583,095583,095583,095583,095583,095583,095583,095583,095583,095583,095466,476
Ingehouden winsten 33,412,84429,282,63126,862,45522,526,20218,450,20414,989,62912,764,24410,949,4738,825,0677,455,0195,963,6624,827,9473,643,7862,344,832785,140
Overige gereserveerde algehele resultaten 70,5541,306,0311,085,413889,326832,346499,615185,0226,77529,29934,12539,5560000
Overige totale aandeelhoudersvermogen 6,683,6765,985,4695,985,4695,985,4695,985,4695,985,4695,985,4695,985,4695,985,4695,985,4696,000,4696,001,1335,969,7215,969,72127,580
Totaal eigen vermogen van aandeelhouders 40,750,16936,518,51133,881,90329,430,29125,300,83821,618,92319,563,66817,563,95815,454,86314,077,70812,586,78211,414,61210,216,8388,919,5461,279,196
Totaal eigen vermogen 62,104,03357,473,00754,723,86350,318,05326,671,10422,707,15020,324,33018,500,82316,386,91115,039,94713,265,73111,986,79810,709,7739,362,1811,624,740
Totaal passiva en aandeelhoudersvermogen 119,267,076115,305,536118,066,628103,588,32538,709,31434,367,15331,619,51428,901,94826,560,62424,910,21121,267,47017,753,48015,222,85713,361,31310,223,893