PT Radiant Utama Interinsco Tbk

IDX:RUIS.JK

172 (IDR) • At close November 8, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 103,103.51470,257.95886,930.31183,012.98664,265.57478,089.06469,890.08157,110.412134,409.532125,927.427105,629.34869,602.16971,803.81749,873.62269,102.859
Kortetermijnbeleggingen 27,238.315,475.12212,896.68221,673.46718,081.1832,658.71925,978.0838,470.282968.0454,969.6422,495.8762,394.4372,234.66421,838.849,066.888
Liquide middelen en kortetermijnbeleggingen 103,103.51485,733.08199,826.993104,686.45382,346.75780,747.78495,868.16195,580.694135,377.576130,897.069108,125.22471,996.60774,038.48271,712.46278,169.747
Nettovorderingen 599,952.312521,848.962505,331.196412,941.162407,852.293352,610290,438292,667.01229,758.77845,966.607581,213.329494,018.932000
Voorraad 16,677.48511,821.57817,398.13416,327.74819,004.1686,289.8836,386.1867,008.28310,617.84412,656.47414,463.4448,096.2138,422.2717,214.9084,195.707
Overige vlottende activa 124,842.73493,879.96483,715.423144,294.098111,115.346437,088.499370,928.799349,695.995387,922.254515,937.38217,479.008572,261.867367,242.374312,642.884272,010.58
Totaal vlottende activa 844,576.043712,548.89705,432.871665,500.152611,756.618524,126.165473,183.147452,284.972563,676.452705,457.531721,281.006652,354.686449,703.127391,570.255354,376.035
Niet-vlottende activa:
Materiële vaste activa, netto 302,589.099376,987.247446,429.84550,568.169543,263.913373,050.828406,237.952443,475.154474,338.231507,593.258475,357.567470,680.264479,325.135176,471.276185,129.4
Goodwill 000000000000000
Immateriële activa 000000000000000
Goodwill en immateriële activa 0-140,303.69700000000027,768.54839,340.51833,762.43225,996.613
Langetermijnbeleggingen 180,244.424140,303.697108,826.39285,615.05550,312.09765,734.56131,118.58626,139.617-2,144.884-21,129.11402,923.003797.591-20,456.825-8,601.673
Belastingvorderingen 8,330.3559,979.45116,229.0816,583.16919,168.75816,040.03614,717.36214,043.87512,690.92810,408.3398,351.2218,690.3475,181.1625,249.7952,536.656
Overige niet-vlottende activa 5,989.397168,033.71220,659.1826,884.96326,856.02111,420.72834,090.69243,188.83343,193.16561,812.64672,953.09914,161.80111,574.6928,355.1634,729.706
Totaal niet-vlottende activa 497,153.275555,000.41592,144.492679,651.356639,600.789466,246.153486,164.591526,847.479528,077.439558,685.129556,661.888524,223.961536,219.098203,381.842209,790.703
Totaal activa 1,341,729.3181,267,549.31,297,577.3631,345,151.5071,251,357.407990,372.319959,347.738979,132.4511,091,753.8911,264,142.661,277,942.8931,176,578.648985,922.224594,952.096564,166.738
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 90,569.46272,004.69971,394.0583,602.8290,649.70549,866.15162,435.44955,966.20173,468.20784,961.0375,756.44287,059.81583,903.00184,418.48186,270.307
Kortlopende schulden 479,346.974454,264.001472,728.209466,539.777430,469.207381,101.626359,076.547375,290.452484,272.069572,370.998452,594.93381,547.818254,022.606118,058.03643,181.196
Belastingschulden 637.54310,962.93512,261.9838,009.81223,941.7295,296.1865,277.5910,486.76913,020.82610,586.82417,965.2917,154.9679,987.4123,377.2756,132.721
Uitgestelde opbrengsten 203.8288,007.116922.51511,492.48805,296.1865,277.5910,486.76959,078.54570,930.999116,386.911136,238.48376,178.54354,310.42441,377.81
Overige kortlopende verplichtingen 47,732.03931,226.46569,841.73358,535.21870,284.27136,952.23544,258.74362,766.91434,763.99710.721419.51367.6173,463.35,072.692107.406
Totaal kortlopende verplichtingen 617,852.303565,502.281614,886.507620,170.304591,403.183473,216.197471,048.328504,510.336651,582.818728,273.749645,157.796604,913.733417,567.45261,859.633170,936.719
Langlopende verplichtingen:
Langetermijnschulden 137,447.682147,636.704159,444.218224,888.873180,934.61773,376.39771,994.9878,419.36766,515.977200,977.163343,100.787315,305.799324,807.975103,520.348171,505.974
Uitgestelde opbrengsten niet-vlottend 0000000001,298.5114,718.435716.4251,441.29100
Uitgestelde belastingverplichtingen niet-vlottend 000000000-606.84914.32547.22612.8560388.178
Overige niet-vlottende verplichtingen 36,953.39230,678.8438,934.32543,643.73846,017.59837,822.76436,015.56436,483.68435,241.63123,617.54423,053.47117,659.12730,229.67715,550.03410,305.768
Totaal niet-vlottende verplichtingen 174,401.075178,315.544198,378.543268,532.611226,952.214111,199.161108,010.544114,903.051101,757.608225,286.369370,887.018333,728.578356,491.799119,070.382182,199.92
Totaal passiva 792,253.377743,817.825813,265.05888,702.915818,355.398584,415.359579,058.872619,413.387753,340.426953,560.1181,016,044.813938,642.311774,059.249380,930.015353,136.638
Eigen vermogen:
Preferente aandelen 000000000000000
Gewone aandelen 77,00077,00077,00077,00077,00077,00077,00077,00077,00077,00077,00077,00077,00077,00077,000
Ingehouden winsten 369,956.433358,464.025340,992.836331,458.444309,622.981283,978.385258,310.724237,740.64216,435.077188,602.157138,671.341117,316.1392,384.865106,038.96296,545.276
Overige gereserveerde algehele resultaten 71,519.58857,269.16234,901.09817,010.69515,40014,00014,00014,00014,00001,245.8760000
Overige totale aandeelhoudersvermogen 30,971.6230,971.6231,396.32130,971.6230,971.6230,971.6230,971.6230,971.6230,971.6244,971.6244,971.6243,616.05742,471.6230,971.6237,471.62
Totaal eigen vermogen van aandeelhouders 549,447.64523,704.807484,290.256456,440.759432,994.601405,950.005380,282.344359,712.26338,406.697310,573.777261,888.837237,932.188211,856.485214,010.582211,016.896
Totaal eigen vermogen 549,475.941523,731.475484,312.313456,448.593433,002.009405,956.96380,288.866359,719.064338,413.465310,582.541261,898.08237,936.337211,862.975214,022.082211,030.099
Totaal passiva en aandeelhoudersvermogen 1,341,729.3181,267,549.31,297,577.3631,345,151.5071,251,357.407990,372.319959,347.738979,132.4511,091,753.8911,264,142.661,277,942.8931,176,578.648985,922.224594,952.096564,166.738