PT Metropolitan Kentjana Tbk

IDX:MKPI.JK

25700 (IDR) • At close November 14, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 1,375,491.285935,561.858713,494.545571,328.533874,915.6531,340,984.8031,875,256.1392,112,641.4761,871,711.82881,408.426115,638.115234,584.159117,021.709117,342.77357,039.75655,143.349
Kortetermijnbeleggingen 0-34,113.21-44,156.639-33,178.608-28,638.436000-7,209.8170000000
Liquide middelen en kortetermijnbeleggingen 1,375,491.285935,561.858713,494.545571,328.533874,915.6531,340,984.8031,875,256.1392,112,641.4761,871,711.82881,408.426115,638.115234,584.159117,021.709117,342.77357,039.75655,143.349
Nettovorderingen 244,122.264266,385.294212,414.794212,381.536164,639.958181,511.838112,806.661120,184.05594,162.81564,211.48356,542.16342,178.10543,096.2570030,793
Voorraad 18,605.36218,174.25216,124.75810,578.6849,360.4657,520.156,331.8986,232.2196,314.3546,748.7955,116.3073,691.4490000
Overige vlottende activa 365,039.578370,536.929302,402.151298,068.262256,943.293274,278.962224,523.274252,221.401251,018.481199,694.31199,763.67275,293.45974,608.09759,667.17658,968.59661,983.635
Totaal vlottende activa 1,759,136.2261,324,273.0391,032,021.454879,975.4791,141,219.4111,622,783.9152,106,111.3112,371,095.0962,129,044.6551,087,851.532220,518.094313,569.067191,629.807177,601.993117,225.284117,126.984
Niet-vlottende activa:
Materiële vaste activa, netto 6,310,532.1375,004,084.4725,144,912.5084,960,049.8514,436,070.3643,868,965.0273,105,972.7462,689,384.4152,288,651.0022,102,421.5351,915,526.6941,678,293.7831,530,593.331162,219.682320,184.568231,095.369
Goodwill 50000000-888.183000000000
Immateriële activa 11,978.9118,853.518,745.15410,769.48512,745.26113,596.9951,251.064000000000
Goodwill en immateriële activa 12,478.9118,853.518,745.15410,769.48512,745.26113,596.995362.881298.831-158,562.972-1,374.337-1,362.34700000
Langetermijnbeleggingen 194,371.026204,751.947204,290.53191,980.383180,459.258153,576.518153,168.439151,809.97158,562.9721,374.3371,362.3471,392.3210000
Belastingvorderingen 111,687.514123,776.369116,924.67793,488.37757,409.7489,149.089362.881298.831244.92179.523130.56200005,767.449
Overige niet-vlottende activa 532.51,490,199.6681,487,388.1081,486,654.4911,447,330.4761,340,183.31,462,068.2551,399,313.7241,291,430.7961,125,761.678702,640.089559,948.469416,374.1761,478,389.5521,226,322.9551,298,519.011
Totaal niet-vlottende activa 6,629,602.0886,831,665.9666,962,260.9786,742,942.5876,134,015.1075,385,470.9294,721,935.2034,241,105.7713,580,326.7173,228,362.7372,618,297.3452,239,634.5731,946,967.5071,640,609.2341,546,507.5231,535,381.829
Totaal activa 8,388,738.3148,155,939.0057,994,282.4327,622,918.0667,275,234.5187,008,254.8436,828,046.5156,612,200.8675,709,371.3724,316,214.2692,838,815.4392,553,203.642,138,597.3141,818,211.2281,663,732.8071,652,508.813
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 49,562.64251,070.26872,159.15484,867.63242,791.40524,892.86336,540.19848,796.69643,086.93916,546.75124,086.97324,802.9119,941.13212,231.7363,945.4096,759.76
Kortlopende schulden 044,078.97293,389.956122,143.249175,082.81123,855.435137,137.255138,420.72468,614.32472,645.93981,212.26149,453.77313,397.65941,212.574124,698.1110,764.925
Belastingschulden 15,168.08215,115.1568,501.0615,311.58119,655.44821,044.87314,383.88422,117.10924,287.5889,842.4628,683.2466,672.4827,164.4183,594.5761,721.47410,685.683
Uitgestelde opbrengsten 1,046,116.765950,934.73694,809.39389,776.50277,974.70821,044.87377,887.70484,638.89871,552.35359,290.66241,417.71732,169.2017,164.4183,594.576344,422.60144,663.868
Overige kortlopende verplichtingen 1,108,641.6881,019,220.339885,711.934727,485.935708,420.859694,973.2441,136,878.5731,923,424.6712,151,453.871,594,910.276452,020.232391,299.989498,285.831389,082.023342,701.128422,002.556
Totaal kortlopende verplichtingen 1,173,372.4121,129,484.7341,059,762.105939,808.397945,950.522864,766.4151,324,939.912,132,759.2012,287,442.7211,693,945.428566,002.713472,229.155528,789.04446,120.909473,066.111550,212.924
Langlopende verplichtingen:
Langetermijnschulden 0252,115.387775,246.225748,524.067490,007595,008.5651,009.3496,993.316358,491.348264,439.58175,607.413221,868.70575,704.2650,152.55831,799.525156,497.625
Uitgestelde opbrengsten niet-vlottend 1,328,170.7861,212,757.1211,029,830.502857,416.897207,445.41191,998.776174,009.606161,154.526147,299.661124,751.187114,573.78696,081.8540000
Uitgestelde belastingverplichtingen niet-vlottend -1,328,170.786-1,212,757.121-1,029,830.502-857,416.897-79,216.76-67,182.73-47,529.586-54,765.01-60,357.498-53,467.361-50,651.282-42,581.3570000
Overige niet-vlottende verplichtingen 364,035.158344,721.837322,936.64327,286.902335,674.059316,814.823300,489.627267,544.042234,241.825210,966.242178,496.2953,500.49745,426.74337,738.3933,214.25522,575.392
Totaal niet-vlottende verplichtingen 364,035.158596,837.2231,098,182.8651,075,810.969825,681.059911,823.323951,498.927764,537.359592,733.173460,474.593354,103.702371,451.057121,131.00387,890.94965,013.78179,073.017
Totaal passiva 1,537,407.571,726,321.9582,157,944.972,015,619.3661,771,631.5821,776,589.7382,276,438.8372,897,296.5592,880,175.8942,154,420.022920,106.415843,680.212649,920.042534,011.857538,079.891729,285.94
Eigen vermogen:
Preferente aandelen 6,848,069.9786,426,577.8255,837,156.3975,613,912.344227.6885,271,531.6954,603,829.0633,761,072.6388,132.841145,515.288130,349.85500000
Gewone aandelen 94,819.494,819.494,819.494,819.494,819.494,819.494,819.494,819.494,819.494,819.494,819.494,819.494,819.494,819.494,819.485,319.4
Ingehouden winsten 6,848,069.9786,426,577.8255,837,156.3975,613,912.3445,535,432.5375,271,531.6954,603,829.0633,761,072.6382,872,758.1722,195,005.7491,951,920.1191,742,810.3421,524,207.2551,319,729.3541,158,964.8991,152,541.106
Overige gereserveerde algehele resultaten 35,121.02534,908.26231,025.7125,148.103-227.6885,231,665.1054,551,607.6783,714,904.308-8,132.841-145,515.288-130,349.85500000
Overige totale aandeelhoudersvermogen -126,349.855-126,349.855-126,349.855-126,349.855-126,349.855-126,349.855-126,349.855-141,088.176-146,615.537-288,812.576-262,917.71-128,131.855-130,349.855-128,131.855-130,349.855-314,638.105
Totaal eigen vermogen van aandeelhouders 6,851,660.5486,429,955.6325,836,651.6525,607,529.9925,503,674.3945,231,591.5274,551,507.4193,714,803.8632,829,094.8762,161,693.2941,918,607.6641,709,497.8871,488,676.81,284,198.8991,125,652.444923,222.401
Totaal eigen vermogen 6,851,330.7446,429,617.0475,836,337.4625,607,298.75,503,602.9365,231,665.1054,551,607.6783,714,904.3082,829,195.4792,161,794.2481,918,709.0241,709,523.4271,488,677.2721,284,199.371,125,652.916923,222.873
Totaal passiva en aandeelhoudersvermogen 8,388,738.3148,155,939.0057,994,282.4327,622,918.0667,275,234.5187,008,254.8436,828,046.5156,612,200.8675,709,371.3724,316,214.2692,838,815.4392,553,203.642,138,597.3141,818,211.2281,663,732.8071,652,508.813