PT Indonesian Paradise Property Tbk

IDX:INPP.JK

1060 (IDR) • At close September 20, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 419,733.777607,088.33518,753.169437,631.21627,640.216582,976.697440,225.565247,903.815287,484.925197,399.804161,956.22979,601.57877,828.42995,113.3576,943.752
Kortetermijnbeleggingen 0-4,430,466.865-4,504,431.34-3,906,906.297-730,031.024-764,882.5413,762.3294,229.72918,522.7294,768.1598,195.10616,191.71629,749.18256,434.205108,670.541
Liquide middelen en kortetermijnbeleggingen 419,733.777607,088.33518,753.169437,631.21627,640.216582,976.697443,987.894252,133.544306,007.654202,167.963170,151.33595,793.294107,577.612151,547.562115,614.293
Nettovorderingen 64,834.46681,261.13177,677.18960,758.64662,117.40233.85535.74749,364.41768,031.80324,016.63424,911.86221,763.913000
Voorraad 1,378,695.5621,273,053.592989,400.401184,402.038116,713.10449,989.59738,401.9444,460.3824,393.7024,361.6763,488.232,639.3321,479.281560.426126.797
Overige vlottende activa 153,923.957115,952.015142,442.98373,086.3356,867.897122,392.786102,622.7196,493.189132,474.08576,847.51786,308.12788,863.12933,661.77711,351.5572,182.208
Totaal vlottende activa 2,017,187.7632,077,355.0691,717,754.709755,878.224863,338.618755,359.081585,012.548353,087.115442,875.441283,377.156259,947.692187,295.755142,718.67163,459.545117,923.298
Niet-vlottende activa:
Materiële vaste activa, netto 1,735,179.1651,643,256.4641,578,249.2912,014,898.8831,667,214.7191,565,556.731,471,525.5061,490,722.3741,870,640.6521,465,797.5721,500,704.7531,418,015.641515,571.3175,578.2473,678.368
Goodwill 93,648.7193,648.7193,648.71000006.238597.042597.042597.042000
Immateriële activa 0030,264.48630,264.48674,222.18256,920.59659,559.14262,187.20738,326.41239,095.61848,499.12149,240.734000
Goodwill en immateriële activa 93,648.7193,648.7130,264.48630,264.48674,222.18256,920.59659,559.14262,187.20738,332.6539,692.6649,096.16349,837.776953.721240,368.941106.552
Langetermijnbeleggingen 5,359,409.5765,219,513.9385,305,654.7024,769,922.7025,317,178.0624,514,161.8583,685,489.332,551,738.1782,373,720.96643,097.40337,604.22727,421.18811,645.351-12,792.915184,424.174
Belastingvorderingen 133,469.975116,134.349103,866.42878,478.5650,412.01149,622.51156,116.84924,432.94214,567.9081,715.9526,370.9433,951.134,005.673,105.369947.563
Overige niet-vlottende activa 6,355.46713,912.6499,910.6287,663.39517,539.27623,114.065810,218.101673,585.581160,924.913149,053.783106,989.331157,108.657458,604.508240,859.644119,117.745
Totaal niet-vlottende activa 7,328,062.8937,086,466.117,027,945.5356,901,228.0277,126,566.2516,209,375.766,082,908.9284,802,666.2824,458,187.0891,699,357.3691,700,765.4171,656,334.391990,780.55647,119.279378,274.401
Totaal activa 9,345,250.6559,163,821.1798,745,700.2447,657,106.2527,989,904.8696,964,734.8416,667,921.4775,155,753.3974,901,062.531,982,734.5261,960,713.1081,843,630.1461,133,499.22810,578.824496,197.699
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 95,388.89186,841.12688,711.33615,000.80212,460.88516,574.68831,088.99315,918.51819,591.16811,418.84113,036.9498,406.6044,662.5752,388.897449.812
Kortlopende schulden 447,623.975298,429.094154,905.35536,009.51993,807.14849,296.3828,313.06816,748.597121,235.72186,288.1922,031.81213,723.4536,221.923266.7549.745
Belastingschulden 0.44511,751.7199,412.1834,814.189,804.91712,299.07511,349.469,004.6519,606.6017,303.1788,734.44513,890.6135,458.4922,149.722790.194
Uitgestelde opbrengsten 128,018.763115,409.888390,491.26104,328.63171,366.75212,299.07511,349.4629,251.1469,606.6017,303.1788,734.44571,168.3285,458.4922,149.722790.194
Overige kortlopende verplichtingen 382,344.044162,369.418-129,589.71848,326.6478,055.1654,522.963749,217.02544,714.716162,752.89246,651.94668,666.0490.374,605.38937,974.9026,385.759
Totaal kortlopende verplichtingen 1,053,375.673663,049.526504,518.233203,665.59355,689.886732,693.108799,968.546106,632.977313,186.383151,662.156112,469.25593,298.68590,948.37842,780.2717,675.51
Langlopende verplichtingen:
Langetermijnschulden 1,241,254.2451,442,155.971,462,750.6251,328,984.4251,074,968.0891,685,275.4231,464,902.496769,424.075458,398.798491,866.008510,917.713473,845.671279,278.947123,776.48596.202
Uitgestelde opbrengsten niet-vlottend 962,729.468310,500623,496.803264,466.929141,898.825126,516.202101,141.615134,183.981123,958.672199,025.75263,808.338252,011.5258,437.5500
Uitgestelde belastingverplichtingen niet-vlottend 1,120.3021,348.654683.8414.31521,862.07414,804.01419,015.84920,631.894,752.1671,372.66343.71907.82500
Overige niet-vlottende verplichtingen 158,438.0091,006,877.066436,061.86287,943.56963,843.07149,085.92447,958.70435,934.22448,744.77658,991.86338,236.90134,256.206117,344.02739,971.3081,265.605
Totaal niet-vlottende verplichtingen 2,363,542.0242,760,881.692,522,993.1311,681,399.2391,302,572.061,875,681.5631,633,018.664960,174.17635,854.413751,256.284813,006.67760,113.402405,068.349163,747.7931,361.807
Totaal passiva 3,416,917.6973,423,931.2163,027,511.3641,885,064.8291,658,261.9462,608,374.6712,432,987.211,066,807.147949,040.796902,918.439925,475.925853,412.087496,016.727206,528.0649,037.317
Eigen vermogen:
Preferente aandelen 033,558.31133,558.31133,558.31133,700.26810,786.25110,786.25110,786.25110,786.251000000
Gewone aandelen 1,118,197.1731,118,197.1731,118,197.1731,118,197.1731,118,197.1731,118,197.1731,118,197.1731,118,197.1731,118,197.173255,880.36251,880.36248,180.36241,080.36241,080.36159,400
Ingehouden winsten 2,272,604.3412,167,180.5792,154,701.9652,155,106.9282,686,277.484672,049.44606,594.832508,386.284355,652.807295,102.855270,336.5634,234.4729,728.07728,318.6754,414.998
Overige gereserveerde algehele resultaten -21,582.223-33,558.311-33,558.311-33,558.311-33,700.268-10,786.251-10,786.251-10,786.251-10,786.25187,905.49900000
Overige totale aandeelhoudersvermogen 1,963,984.0861,930,425.7751,930,425.7751,930,425.7751,929,233.7381,952,168.951,954,897.5341,954,897.5341,957,591.82213,923.142106,496.795321,354.113222,450.625222,338.392304,018.752
Totaal eigen vermogen van aandeelhouders 5,333,203.3765,215,803.5275,203,324.9135,203,729.8765,733,708.3953,742,415.5633,679,689.5393,581,480.993,431,441.802652,811.856628,713.714603,768.942493,259.063491,737.427467,833.751
Totaal eigen vermogen 5,928,332.9585,739,889.9635,718,188.885,772,041.4226,331,642.9234,356,360.174,234,934.2664,088,946.253,952,021.7341,079,816.0871,035,237.184990,218.059637,482.493604,050.76487,160.382
Totaal passiva en aandeelhoudersvermogen 9,345,250.6559,163,821.1798,745,700.2447,657,106.2527,989,904.8696,964,734.8416,667,921.4775,155,753.3974,901,062.531,982,734.5261,960,713.1081,843,630.1461,133,499.22810,578.824496,197.699