PT Hotel Sahid Jaya International Tbk

IDX:SHID.JK

1005 (IDR) • At close September 19, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 6,441.39214,242.0855,863.2554,449.10211,693.99620,790.70214,471.81310,036.79813,609.5215,175.79831,122.76831,777.00614,929.7266,839.829
Kortetermijnbeleggingen 0-76,192.977-97,833.83200000000000
Liquide middelen en kortetermijnbeleggingen 6,441.39214,242.0855,863.2554,449.10211,693.99620,790.70214,471.81310,036.79813,609.5215,175.79831,122.76831,777.00614,929.7266,839.829
Nettovorderingen 10,778.3478,870.5686,491.98235,784.83567,543.37149,80638,66957,163.85264,692.83664,741.76762,094.87650,339.34944,305.84820,528.977
Voorraad 214,859.482213,830.125213,661.241213,509.219214,252.111214,527.83214,477.169100,217.819101,044.358100,770.098100,675.18100,502.136100,434.711111,492.413
Overige vlottende activa 2,585.5841,129.376550.394179.0791,673.18264,251.58851,572.74158,661.969155.953353.6242,028.259389.225907.395210.07
Totaal vlottende activa 234,664.804238,072.154226,566.872253,922.235295,162.66299,570.12280,521.723168,916.586179,502.667181,041.287195,921.083183,007.715160,577.681139,071.29
Niet-vlottende activa:
Materiële vaste activa, netto 964,721.974987,259.771,009,068.1111,048,225.4351,081,170.9331,106,699.2081,131,123.811,101,318.5141,093,617.3681,090,815.3661,083,444.1721,066,098.6471,029,278.799430,606.627
Goodwill 00000000000000
Immateriële activa 00000000000000
Goodwill en immateriële activa -12,534.74-76,217.977-97,858.832-144,674.178-84,318.717-81,666.465-92,190.654-159,271.865-63,249.47500000
Langetermijnbeleggingen 62,773.08376,217.97797,858.832144,674.17884,318.71781,666.46592,190.654159,271.86563,249.47500000
Belastingvorderingen 1,997.3542,194.82611,055.22612,938.66814,803.87315,163.10714,786.97914,033.3812,667.2619,233.5756,662.4335,268.1854,362.1251,665.696
Overige niet-vlottende activa 12,534.7476,217.97797,858.832106,966.05684,318.71781,666.46592,190.654159,271.865163,249.475153,791.612156,595.01349,991.37642,428.47947,725.736
Totaal niet-vlottende activa 1,029,492.4111,065,672.5731,117,982.1691,168,130.1591,180,293.5231,203,528.781,238,101.4441,274,623.761,269,534.1041,253,840.5521,246,701.6181,121,358.2091,076,069.403479,998.059
Totaal activa 1,264,157.2151,303,744.7271,344,549.0411,422,052.3941,475,456.1831,503,098.91,518,623.1671,443,540.3461,449,036.7711,434,881.8391,442,622.7011,304,365.9241,236,647.084619,069.349
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 11,240.69615,609.05912,772.09415,200.16614,112.9919,149.3324,045.45823,148.321,507.16419,174.24726,836.14425,085.68126,163.92322,765.583
Kortlopende schulden 57,619.39456,450.16812,238.14560,645.76256,668.72156,653.99155,647.47977,062.68862,377.4425,832.06220,863.0766,913.6562,278.65331,794.775
Belastingschulden 102.5881,960.45110,240.1849,943.0139,993.8713,696.5813,270.3868,655.42718,758.49640,214.61734,080.75429,888.84342,492.72838,646.667
Uitgestelde opbrengsten 5,161.7823,511.22517,667.69720,141.22916,215.28713,696.5835,242.93139,377.75133,554.17852,386.28148,333.10644,242.89473,982.99655,850.013
Overige kortlopende verplichtingen 26,568.2722,547.24810,781.94712,031.0233,696.03311,196.1031,467.62820,710.32837,658.26650,470.84359,805.9236,117.3332,016.53325,220.566
Totaal kortlopende verplichtingen 100,590.14298,117.753,459.882108,018.17990,693.031100,696.004116,403.495160,299.067155,097.048147,863.435155,838.245112,359.561134,442.105135,630.937
Langlopende verplichtingen:
Langetermijnschulden 390,544.636403,670.178453,347.846408,006.854414,923.254420,556.55422,179.357266,395.438286,605.141282,105.552297,769.587211,567.691129,726.837110,925.048
Uitgestelde opbrengsten niet-vlottend 00000000000000
Uitgestelde belastingverplichtingen niet-vlottend 00000000000000
Overige niet-vlottende verplichtingen 13,409.25819,775.13625,382.26630,721.82534,809.24133,957.21133,400.09770,494.37969,457.5563,890.42859,693.26758,185.95662,998.60760,687.76
Totaal niet-vlottende verplichtingen 403,953.894423,445.315478,730.113438,728.679449,732.495454,513.76455,579.454336,889.817356,062.691345,995.979357,462.853269,753.647192,725.444171,612.808
Totaal passiva 504,544.036521,563.014532,189.995546,746.858540,425.526555,209.764571,982.95497,188.884511,159.739493,859.414513,301.098382,113.208327,167.549307,243.745
Eigen vermogen:
Preferente aandelen 00000000000000
Gewone aandelen 559,663.084559,663.084559,663.084559,663.084559,663.084559,663.084559,663.084559,663.084559,663.084559,663.084559,663.084559,663.084559,663.084559,663.084
Ingehouden winsten -137,500.361-114,931.827-84,754.494-36,009.26422,676.06237,429.12835,805.13842,642.34433,751.52737,609.24426,115.18419,213.7366,717.295-260,956.12
Overige gereserveerde algehele resultaten 312,250.456312,250.456312,250.456325,150.387325,150.387323,295.202323,763.127324,932.441324,946.585312,303.435301,796.259000
Overige totale aandeelhoudersvermogen 25,20025,20025,20025,20025,20025,20025,20017,126.6617,673.3429,804.31540,311.491342,107.75342,107.7512,300.069
Totaal eigen vermogen van aandeelhouders 759,613.179782,181.713812,359.046874,004.206932,689.533945,587.414944,431.349944,364.528936,034.535939,380.078927,886.018920,984.57908,488.129311,007.033
Totaal eigen vermogen 759,613.179782,181.713812,359.046875,305.536935,030.656947,889.136946,640.217946,351.462937,877.032941,022.425929,321.603922,252.715909,479.535311,825.604
Totaal passiva en aandeelhoudersvermogen 1,264,157.2151,303,744.7271,344,549.0411,422,052.3941,475,456.1831,503,098.91,518,623.1671,443,540.3461,449,036.7711,434,881.8391,442,622.7011,304,365.9241,236,647.084619,069.349