PT Bukit Asam Tbk

IDX:PTBA.JK

2780 (IDR) • At close September 19, 2024
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008200720062005
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 4,138,8677,030,3434,394,1954,340,9474,756,8016,301,1633,555,4063,674,6873,115,3374,039,2673,343,9055,917,0346,791,2915,054,0754,709,1043,041,7202,222,8191,295,0351,229,290
Kortetermijnbeleggingen 1,417,1489,712,2669,352,808301,257179,556323,570408,665718,957623,879296,49286,995172,58439,21771,42200000
Liquide middelen en kortetermijnbeleggingen 5,556,01516,742,60913,747,0034,642,2044,936,3576,624,7333,964,0714,393,6443,739,2164,335,7593,430,9006,089,6186,830,5085,125,4974,709,1043,041,7202,222,8191,295,0351,229,290
Nettovorderingen 3,797,2923,760,6363,199,7971,714,4592,577,5082,781,5675,343,7082,694,5282,476,0691,809,8261,893,9761,814,4881,180,195997,1781,491,4601,376,624563,948780,788602,900
Voorraad 5,499,6143,837,1871,207,585805,4361,383,0641,551,1351,156,0121,102,2901,233,1751,033,360901,952765,964644,833423,678409,901420,040271,482261,249245,890
Overige vlottende activa 295,43591,71657,1151,202,2572,782,955505,727375,829159,465150,016237,860252,95548,227203,72499,600172,926111,56922,10110,68910,877
Totaal vlottende activa 15,148,35624,432,14818,211,5008,364,35611,679,88411,739,34411,117,7458,349,9277,598,4767,416,8056,479,7838,718,2978,859,2606,645,9536,783,3914,949,9533,080,3502,347,7612,088,957
Niet-vlottende activa:
Materiële vaste activa, netto 11,910,68711,336,43710,468,7559,694,2829,315,7888,227,1557,466,0056,115,2375,625,7654,047,3352,933,5782,007,7831,140,466921,005371,523383,932360,571403,254444,205
Goodwill 102,077102,077102,077102,077102,077102,077102,077102,077102,0770000000000
Immateriële activa 0000000000000000000
Goodwill en immateriële activa 102,077102,077102,077102,077102,077102,077102,077102,077102,0772,360,3621,088,474877,457531,037398,98200000
Langetermijnbeleggingen 7,470,230-3,167,855-4,155,0823,647,9052,801,6772,297,9361,089,763676,524616,115639,854541,332380,864363,866195,55700000
Belastingvorderingen 1,208,683917,323768,833542,644641,944725,212834,562484,173431,022227,948514,242646,694386,702316,072250,053171,828181,506161,792144,086
Overige niet-vlottende activa 2,925,15611,739,07710,727,6201,705,4911,556,6821,081,2091,377,3302,848,8362,520,588119,719119,74697,886225,773245,130673,611601,115305,644194,927162,442
Totaal niet-vlottende activa 23,616,83320,927,05917,912,20315,692,39914,418,16812,433,58910,869,73710,226,8479,295,5677,395,2185,197,3724,010,6842,647,8442,076,7461,295,1871,156,875847,721759,973750,733
Totaal activa 38,765,18945,359,20736,123,70324,056,75526,098,05224,172,93321,987,48218,576,77416,894,04314,812,02311,677,15512,728,98111,507,1048,722,6998,078,5786,106,8283,928,0713,107,7342,839,690
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,082,1881,935,8181,270,363697,3811,020,0941,047,997886,423539,4401,146,089545,505471,879149,776122,28273,15658,09769,19099,13716,54545,284
Kortlopende schulden 558,017591,677420,941532,241322,234372,047440,9601,617,5451,351,8851,293,66377,89034,91518,15513,29413,50008642210
Belastingschulden 295,1761,509,8071,555,103216,666310,578485,960830,150122,958176,21664,839211,849238,901413,217197,836431,230563,097188,05564,99863,515
Uitgestelde opbrengsten 95,449129,9585,738,0152,567,7273,259,169485,9603,133,7252,810,9042,308,1211,619,6641,625,1521,581,1851,767,7911,053,4501,300,8330504,499406,5290
Overige kortlopende verplichtingen 7,232,4478,044,32771,32875,10889,7543,029,69252,11874,858116,638115,29786,0354,7884,1957,8288,4781,284,23690,5108,238417,751
Totaal kortlopende verplichtingen 9,968,10110,701,7807,500,6473,872,4574,691,2514,935,6964,513,2265,042,7474,922,7333,574,1292,260,9561,770,6641,912,4231,147,7281,380,9081,353,426695,010431,533463,035
Langlopende verplichtingen:
Langetermijnschulden 743,665770,524626,310399,943308,710460,348532,543750,979670,172961,75309,670000004830
Uitgestelde opbrengsten niet-vlottend 00000057,379-290,729-282,4830000000000
Uitgestelde belastingverplichtingen niet-vlottend 77,226102,344102,34482,03259,86646,39947,331290,729282,4830000000000
Overige niet-vlottende verplichtingen 6,413,0014,868,5133,640,6782,763,1272,615,3992,460,7943,037,0182,230,6432,013,5911,605,2991,864,6302,443,4781,429,6791,133,723911,832675,743421,789368,077313,678
Totaal niet-vlottende verplichtingen 7,233,8925,741,3814,369,3323,245,1022,983,9752,967,5413,674,2712,981,6222,683,7632,567,0521,864,6302,453,1481,429,6791,133,723911,832675,743421,789368,560313,678
Totaal passiva 17,201,99316,443,16111,869,9797,117,5597,675,2267,903,2378,187,4978,024,3697,606,4966,141,1814,125,5864,223,8123,342,1022,281,4512,292,7402,029,1691,116,799800,093776,713
Eigen vermogen:
Preferente aandelen 0000000000000000000
Gewone aandelen 1,152,0661,152,0661,152,0661,152,0661,152,0661,152,0661,152,0661,152,0661,152,0661,152,0661,152,0661,152,0661,152,0661,152,0661,152,0661,152,0661,152,0661,152,0661,152,066
Ingehouden winsten 5,288,73212,561,4178,382,8331,790,1753,326,6494,340,2863,209,2091,414,7721,584,5021,908,6351,618,5122,240,6486,906,4915,182,7634,518,8212,815,5811,616,5671,112,909870,109
Overige gereserveerde algehele resultaten 14,442,69414,440,53913,973,72013,953,60213,899,47812,793,96811,517,97110,125,6508,709,27965,07960,73700000000
Overige totale aandeelhoudersvermogen 551,046551,046551,046-132,439-119,918-2,271,151-2,271,151-2,271,151-2,271,1515,427,8314,606,0665,026,40429,70231,90730,48530,48530,48530,48530,485
Totaal eigen vermogen van aandeelhouders 21,434,53828,705,06824,059,66516,763,40418,258,27516,015,16913,608,09510,421,3379,174,6968,553,6117,437,3818,419,1188,088,2596,366,7365,701,3723,998,1322,799,1182,295,4602,052,660
Totaal eigen vermogen 21,563,19628,916,04624,253,72416,939,19618,422,82616,269,69613,799,98510,552,4059,287,5478,670,8427,551,5698,505,1698,165,0026,441,2485,785,8384,077,6592,811,2722,307,6412,062,977
Totaal passiva en aandeelhoudersvermogen 38,765,18945,359,20736,123,70324,056,75526,098,05224,172,93321,987,48218,576,77416,894,04314,812,02311,677,15512,728,98111,507,1048,722,6998,078,5786,106,8283,928,0713,107,7342,839,690