PT Bank OCBC NISP Tbk

IDX:NISP.JK

1385 (IDR) • At close September 20, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 10,751,36614,627,62112,575,40011,860,97823,043,14016,184,39615,431,06212,827,95718,696,57512,256,57513,003,58111,867,1018,297,8837,656,8655,058,9034,754,2753,739,6442,461,9993,073,559
Kortetermijnbeleggingen 0000000000000000000
Liquide middelen en kortetermijnbeleggingen 10,751,36614,627,62112,575,40011,860,97823,043,14016,184,39615,431,06212,827,95718,696,57512,256,57513,003,58111,867,1018,297,8837,656,8655,058,9034,754,2753,739,6442,461,9993,073,559
Nettovorderingen 3,046,6672,160,7332,531,9012,236,0012,655,3861,862,7041,363,8761,237,256924,535744,3861,325,338476,2261,286,3890-1,614-19,714-15,7660-5,742
Voorraad -40,500,497-50,615,296-28,426,056-42,095,738-31,754,436-26,138,519-25,867,369-19,847,01500000000000
Overige vlottende activa 40,500,49750,615,29628,426,05642,095,73831,754,43626,138,51925,867,36919,847,01500000000000
Totaal vlottende activa 13,798,03316,788,35415,107,30114,096,97925,698,52618,047,10016,794,93814,065,21319,621,11013,000,96114,328,91912,343,3279,584,2727,656,8655,057,2894,734,5613,723,8782,461,9993,067,817
Niet-vlottende activa:
Materiële vaste activa, netto 3,904,9573,763,0113,237,7063,001,6322,784,2422,799,6612,446,4592,413,9871,076,606987,128838,074801,523835,414827,186804,333777,518729,765603,209442,405
Goodwill 0000000000000000000
Immateriële activa 0000000000000000000
Goodwill en immateriële activa 59,118,70553,636,98670,007,90550,738,13033,795,64934,305,56628,701,76628,763,46700000000000
Langetermijnbeleggingen 56,610,68651,175,85067,692,07448,439,73031,675,62532,198,24526,812,77926,719,50511,999,16418,023,73816,255,8128,176,5617,602,1096,592,3958,470,5056,498,5513,944,0834,808,8243,518,560
Belastingvorderingen 1,396,9381,301,875921,875703,232664,218692,340557,472370,02500000000000
Overige niet-vlottende activa -60,515,643-54,938,861-70,929,780-51,441,362-34,459,867-34,997,906-29,259,238-29,133,492-13,075,770-19,010,866-17,093,886-8,978,084-8,437,523-7,419,581-9,274,838-7,276,069-4,673,848-5,412,033-3,960,965
Totaal niet-vlottende activa 60,515,64354,938,86170,929,78051,441,36234,459,86734,997,90629,259,23829,133,49213,075,77019,010,86617,093,8868,978,0848,437,5237,419,5819,274,8387,276,0694,673,8485,412,0333,960,965
Totaal activa 249,757,139238,498,560214,395,608206,297,200180,706,987173,582,894153,773,957138,196,341120,480,402103,123,17997,524,53779,141,73759,834,39744,474,82237,052,59634,245,83828,969,06924,205,99020,105,690
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 469,933337,290320,542424,304336,601319,819418,820357,642307,191501,322333,541167,9101,303,242688,065616,481976,618910,619454,843353,031
Kortlopende schulden 19,936,89213,609,007547,6153,622,31216,614,40511,728,9298,810,8276,237,83100000000000
Belastingschulden 429,224276,399340,620350,464227,938134,856155,074184,973196,357182,658128,96697,85065,53450,52895,030131,69565,10060,22982,946
Uitgestelde opbrengsten 108,24796,53978,79456,575-16,277,804-11,409,11044,16644,89700000000000
Overige kortlopende verplichtingen -20,045,139-13,705,546-626,409-3,678,887-336,601-319,819-8,854,993-6,282,728-307,191-501,322-333,541-167,910-1,303,242-688,065-616,481-976,618-910,619-454,843-353,031
Totaal kortlopende verplichtingen 469,933337,290320,542424,304336,601319,819418,820357,642307,191501,322333,541167,9101,303,242688,065616,481976,618910,619454,843353,031
Langlopende verplichtingen:
Langetermijnschulden 3,102,6535,205,6325,135,6296,031,1774,313,4856,816,5316,567,4315,136,0049,334,7806,775,2237,529,5611,643,1071,763,5101,471,767601,6781,477,3521,304,2081,010,9111,063,029
Uitgestelde opbrengsten niet-vlottend 108,24796,53978,79456,5750044,16644,89700000000000
Uitgestelde belastingverplichtingen niet-vlottend 2,994,406-96,5395,056,8355,974,602006,523,2655,091,10700000000000
Overige niet-vlottende verplichtingen -3,102,653-4,868,342-5,135,629-6,031,177-4,313,485-6,816,531-6,567,431-5,136,004-9,334,780-6,775,223-7,529,561-1,643,107-1,763,510-1,471,767-601,678-1,477,352-1,304,208-1,010,911-1,063,029
Totaal niet-vlottende verplichtingen 3,102,653337,2905,135,6296,031,1774,313,4856,816,5316,567,4315,136,0049,334,7806,775,2237,529,5611,643,1071,763,5101,471,767601,6781,477,3521,304,2081,010,9111,063,029
Totaal passiva 212,436,871204,287,525182,068,037176,467,884153,042,184149,154,640131,989,603118,689,765104,069,05588,216,00384,027,98570,190,26153,244,01839,942,31632,915,29630,615,16825,600,44321,751,05817,990,586
Eigen vermogen:
Preferente aandelen 0000000063,09714,71792,83800000000
Gewone aandelen 2,868,1622,868,1622,868,1622,868,1622,868,1622,868,1621,434,0811,434,0811,434,0811,434,0811,434,0811,068,615880,243726,822726,822726,822726,822616,996616,996
Ingehouden winsten 27,751,53024,984,69222,144,57219,644,21017,806,30314,866,66512,166,39610,008,9938,209,1526,656,7015,324,2984,171,8613,319,9162,567,2622,194,7511,758,9861,334,6611,084,677847,742
Overige gereserveerde algehele resultaten 1,304,920962,6401,919,3591,921,5611,594,9561,298,1471,354,5161,234,141-63,097-14,717-92,83800000000
Overige totale aandeelhoudersvermogen 5,395,2805,395,2805,395,2805,395,2805,395,2805,395,2806,829,3616,829,3616,768,1146,816,3946,738,1733,711,0002,390,2201,238,4221,215,7271,144,8621,307,143753,259585,768
Totaal eigen vermogen van aandeelhouders 37,319,89234,210,77432,327,37329,829,21327,664,70124,428,25421,784,35419,506,57616,411,34714,907,17613,496,5528,951,4766,590,3794,532,5064,137,3003,630,6703,368,6262,454,9322,050,506
Totaal eigen vermogen 37,320,26834,211,03532,327,57129,829,31627,664,80324,428,25421,784,35419,506,57616,411,34714,907,17613,496,5528,951,4766,590,3794,532,5064,137,3003,630,6703,368,6262,454,9322,115,104
Totaal passiva en aandeelhoudersvermogen 249,757,139238,498,560214,395,608206,297,200180,706,987173,582,894153,773,957138,196,341120,480,402103,123,17997,524,53779,141,73759,834,39744,474,82237,052,59634,245,83828,969,06924,205,99020,105,690