PT Indomobil Multi Jasa Tbk

IDX:IMJS.JK

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

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

202320222021202020192018201720162015201420132012
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,670,660.7972,066,740.881,582,013.2341,464,744.192605,990.46339,371.454359,344.248614,510.652381,345.507178,527.913204,991.037250,813.847
Kortetermijnbeleggingen 0-7,139,803.187,442.671-5,948,810.751-8,160,805.578419,449.758-5,291,711.95-4,923,815.907-4,076,332.414000
Liquide middelen en kortetermijnbeleggingen 1,670,660.7972,066,740.881,589,455.9051,464,744.192605,990.46758,821.212359,344.248614,510.652381,345.507178,527.913204,991.037250,813.847
Nettovorderingen 7,792,689.8057,072,620.5036,823,119.9916,641,169.3576,915,208.2945,955.1954,811.7464,368,619.4014,419,054.214,141,459.0563,146,919.1362,246,876.968
Voorraad 159,541.9861,389.8850,435.30782,300.4554,448.39744,280.02933,906.8760,189.73550,829.98327,648.37320,905.70220,483.783
Overige vlottende activa 163,480.536148,158.48119,577.81980,433.78112,616.13819,228.69144,265.138148,222.822171,073.49979,683.53744,090.78843,169.005
Totaal vlottende activa 9,786,373.1189,348,909.7438,622,455.4328,268,647.787,588,263.2886,953,329.4525,336,888.1675,191,542.6115,022,303.1994,427,318.883,416,906.6632,561,343.603
Niet-vlottende activa:
Materiële vaste activa, netto 10,048,888.2219,716,576.4629,167,7688,709,218.0157,601,630.9735,062,236.8762,701,487.251,934,034.2411,749,741.8691,611,673.8281,283,037.464941,873.178
Goodwill 000000000000
Immateriële activa 21,374.7125,183.23229,074.3232,314.372317,474.945275,504.597275,504.59700000
Goodwill en immateriële activa 21,374.7125,183.23229,074.3232,314.372317,474.945275,504.597275,504.597-5,322,860.37-4,342,338.852000
Langetermijnbeleggingen 8,576,282.8747,680,375.355495,741.5626,501,227.5948,669,629.2846,558.4735,674,110.45,322,860.374,342,338.852000
Belastingvorderingen 164,048.995126,064.935156,623.949157,835.044113,127.96422,517.923,745.17215,826.86714,786.49917,329.54316,132.65123,750.419
Overige niet-vlottende activa 114,593.09532,349.2846,243,731.061636.5286,013.8787,680,839.752553.8245,327,605.3064,347,823.7283,670,976.2473,584,459.5572,149,938.633
Totaal niet-vlottende activa 18,925,187.89617,580,549.26916,092,938.89515,371,231.55216,707,877.04413,047,657.5988,675,401.2427,277,466.4146,112,352.0965,299,979.6184,883,629.6723,115,562.231
Totaal activa 28,711,561.01426,929,459.01224,715,394.32723,639,879.33224,296,140.33320,000,987.0514,012,289.4112,469,009.02511,134,655.2959,727,298.4988,300,536.3355,676,905.833
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 212,282.55331,547.556487,360.785233,417.92165,464.5611,054,039.624329,568.331193,344.29670,104.09929,578.95740,442.73537,362.956
Kortlopende schulden 9,969,475.02812,301,767.6179,472,501.2789,023,709.2938,472,235.8448,820,213.9565,955,413.2044,867,050.9524,834,467.6443,975,311.8122,600,220.5171,302,481.009
Belastingschulden 48,506.8636,367.27414,762.68916,445.80339,048.91731,273.64520,570.60822,522.6228,556.05510,129.5426,286.5963,455.287
Uitgestelde opbrengsten 20,381.35710,967.92710,789.3239,563.2939,219.89231,273.64520,570.608-27,503.03-32,307.035-754.17-3,554.804-5,166.666
Overige kortlopende verplichtingen 489,637.678441,500.384455,122.652352,738.475347,889.021314,165.423206,986.031236,110.782302,505.571267,011.852139,967.839112,044.139
Totaal kortlopende verplichtingen 10,691,776.61413,085,783.48510,425,774.0399,619,428.9818,994,809.31810,219,692.6486,512,538.1745,269,002.9995,174,770.2794,271,148.4512,777,076.2871,446,721.438
Langlopende verplichtingen:
Langetermijnschulden 13,068,274.9358,857,768.52710,019,243.2239,551,817.63811,435,889.986,857,464.3514,871,593.8935,031,740.4083,997,606.4523,585,959.9793,869,477.0562,994,398.371
Uitgestelde opbrengsten niet-vlottend 45,046.288406,8000000000000
Uitgestelde belastingverplichtingen niet-vlottend 126,590.056118,920.112106,874.94974,867.781104,126.97588,789.12469,960.43670,452.11253,172.98244,150.90826,900.57512,483.603
Overige niet-vlottende verplichtingen 42,085.55937,155.401353,384.988789,397.063479,405.7558,219.06951,977.71352,569.18925,391.22417,587.08213,868.33310,765.735
Totaal niet-vlottende verplichtingen 13,281,996.8379,420,644.0410,479,503.1610,416,082.48312,019,422.7057,004,472.5454,993,532.0415,154,761.714,076,170.6583,647,697.9683,910,245.9643,017,647.709
Totaal passiva 23,973,773.45122,506,427.52420,905,277.19920,035,511.46421,014,232.02217,224,165.19211,506,070.21510,423,764.7099,250,940.9377,918,846.4196,687,322.2514,464,369.147
Eigen vermogen:
Preferente aandelen 0091,257.745306,407.497202,663.34632,593.04872,478.018005,076.05100
Gewone aandelen 1,730,8651,730,8651,730,8651,730,8651,153,9101,003,4001,003,400865,000865,000865,000865,000900
Ingehouden winsten 1,117,852.835788,581.856645,836.023654,230.557824,415.889753,731.472601,276.013414,211.201276,646.356221,087.649121,291.687-241.094
Overige gereserveerde algehele resultaten 207,093.182100,023.181-91,257.745-306,407.497-202,663.346-32,593.048-72,478.018108.24514,740.129-5,076.05113,715.5350
Overige totale aandeelhoudersvermogen 1,286,741.8951,282,241.8951,190,984.15975,834.398995,533.768792,182.106749,737.451612,647.738612,485.238608,589.779612,485.2380
Totaal eigen vermogen van aandeelhouders 4,342,552.9123,901,711.9323,567,685.1733,360,929.9552,973,859.6582,549,313.5782,354,413.4641,891,967.1841,768,871.7231,694,677.4291,612,492.46658.906
Totaal eigen vermogen 4,737,787.5634,423,031.4883,810,117.1283,604,367.8683,281,908.312,776,821.8582,506,219.1952,045,244.3161,883,714.3571,808,452.0781,613,214.0841,212,536.687
Totaal passiva en aandeelhoudersvermogen 28,711,561.01426,929,459.01224,715,394.32723,639,879.33224,296,140.33320,000,987.0514,012,289.4112,469,009.02511,134,655.2959,727,298.4988,300,536.3355,676,905.833