PT Intikeramik Alamasri Industri Tbk

IDX:IKAI.JK

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

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

202320222021202020192018201720162015201420132012
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,057.8867,301.9973,647.164,816.85269,651.44576,001.833225.392135.846223.1031,106.176504.588298.996
Kortetermijnbeleggingen 0000000-89.009-160.6551,638.4841,638.4841,632.559
Liquide middelen en kortetermijnbeleggingen 1,057.8867,301.9973,647.164,816.85269,651.44576,001.833225.392135.846223.1031,106.176504.588298.996
Nettovorderingen 86,015.186112,260.93198,377.53718,988.645,865.0311.3241,286.7413,695.46949,197.50757,948.03946,392.08357,890.072
Voorraad 25,801.67320,772.55226,705.22241,909.61734,297.0543,276.3453,454.84224,653.76693,897.154114,180.90587,886.15581,926.919
Overige vlottende activa 6,163.2845,773.93331,154.6722,854.4363,512.9821533,110.795-00-0-030.91
Totaal vlottende activa 119,038.029141,446.706164,884.59176,232.484114,819.62492,211.0268,077.76938,485.081143,317.765173,235.121134,782.826140,146.897
Niet-vlottende activa:
Materiële vaste activa, netto 756,930.73403,276.084411,855.618453,072.21483,364.512509,638.89585,055.756184,445.962204,555.688284,503.673285,679.136292,521.142
Goodwill 000000000000
Immateriële activa 0375,973.739375,973.739375,973.739394,536.724375,973.73940,117.38540,117.38540,117.38558,678.83558,678.83569,928.835
Goodwill en immateriële activa 0375,973.739375,973.739375,973.739394,536.724375,973.73940,117.38540,117.38540,117.38558,678.83558,678.83569,928.835
Langetermijnbeleggingen 20,746.1871,000281,916.426373,213.636358,287.766353,543.26401,980.1342,051.781,891.1251,891.1251,891.125
Belastingvorderingen 03,653.8443,770.1123,533.0734,548.4645,597.9360-1,980.134-2,051.78-1,891.125-1,891.125-1,891.125
Overige niet-vlottende activa 287,594.28290,472.3834,723.4893,176.0711,97651.24996,574.2721,980.1342,051.782,129.0262,916.2524,828.402
Totaal niet-vlottende activa 1,065,271.1971,074,376.051,078,239.3841,208,968.7291,242,713.4661,244,805.083221,747.413226,543.481246,724.853345,311.534347,274.223367,278.378
Totaal activa 1,184,309.2261,215,822.7561,243,123.9751,285,201.2131,357,533.091,337,016.109229,825.182265,028.561390,042.618518,546.655482,057.049507,425.275
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 58,200.64148,199.49852,845.72837,298.89226,475.04522,406.83125,007.16426,435.70914,071.42142,696.48427,489.19328,640.653
Kortlopende schulden 66,003.774226,941.41134,654.10928,745.12544,384.09627,165.95235,925.06920,708.00526,024.76828,129.51319,688.366144,222.45
Belastingschulden 22,671.95415,463.8296,534.5366,393.5465,497.37111,189.1455,235.3964,213.31764,174.73452,461.54453,567.81745,360.248
Uitgestelde opbrengsten 27,651.64225,486.0493,649.13432,203.32326,435.62511,189.14545,424.351122,737.001133,786.026102,732.26576,235.80371,112.4
Overige kortlopende verplichtingen 98,991.423105,464.7887,50060,628.24148,539.514135,872.71133,303.26721,490.4543,387.37933,572.7495,830.001-0
Totaal kortlopende verplichtingen 250,847.48406,091.737188,648.971158,875.581145,834.28196,634.638239,659.851191,371.169177,269.594207,131.012129,243.363243,975.503
Langlopende verplichtingen:
Langetermijnschulden 156,353.66442,907.061254,935.845268,083.846271,585.629316,701.92282,991.468115,909.033125,293.526115,744.987131,109.2780
Uitgestelde opbrengsten niet-vlottend 418.5472.51,295.708887.541,532.1591,841.43909,956.4538,271.1686,605.6700
Uitgestelde belastingverplichtingen niet-vlottend 18,971.03611,870.37110,729.7888,435.42210,678.2211,936.80109,640.94210,175.38810,407.76510,646.79910,701.109
Overige niet-vlottende verplichtingen 3,545.4817,296.3523,884.677,680.04411,353.45315,769.54112,600.9190-0-05,649.5343,863.059
Totaal niet-vlottende verplichtingen 179,288.68162,546.284270,846.011285,086.852295,149.461346,249.70395,592.387135,506.428143,740.082132,758.421147,405.6114,564.168
Totaal passiva 430,136.161468,638.021459,494.982443,962.433440,983.741542,884.341335,252.238326,877.597321,009.677339,889.433276,648.973258,539.671
Eigen vermogen:
Preferente aandelen 000000000000
Gewone aandelen 981,843.484981,843.484981,843.484981,843.484981,843.484921,362.577395,691.893395,691.893395,691.893395,691.893395,691.893395,691.893
Ingehouden winsten -663,156.603-672,230.756-634,869.418-578,894.126-507,948.883-440,373.887-501,523.954-472,180.807-328,361.5-219,144.09-192,627.044-149,538.838
Overige gereserveerde algehele resultaten 18,195.37917,996.77919,111.532,178.00632,242.58260.989000000
Overige totale aandeelhoudersvermogen 396,955.673396,955.673396,955.673396,955.673396,955.673289,177.379483.514,454.552429.747429.747429.747429.747
Totaal eigen vermogen van aandeelhouders 733,837.933724,565.18763,041.239832,083.037903,092.856770,227.058-105,348.561-62,034.36367,760.14176,977.551203,494.597246,582.803
Totaal eigen vermogen 754,173.065747,184.735783,628.993841,238.78916,549.349794,131.768-105,427.056-61,849.03669,032.941178,657.222205,408.076248,885.604
Totaal passiva en aandeelhoudersvermogen 1,184,309.2261,215,822.7561,243,123.9751,285,201.2131,357,533.091,337,016.109229,825.182265,028.561390,042.618518,546.655482,057.049507,425.275