PT Salim Ivomas Pratama Tbk

IDX:SIMP.JK

382 (IDR) • At close January 15, 2025
Overzicht | Financiële gegevens

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

2023202220212020201920182017201620152014201320122011201020092008
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 5,161,1834,296,6743,726,2932,427,0791,716,7952,071,4592,260,6061,867,9751,461,3022,696,3152,112,8223,449,1245,046,4452,173,9671,617,8592,220,732
Kortetermijnbeleggingen 0-939,666-1,744,947-2,018,735-2,034,484-2,085,905-11,271,061-10,928,805-10,329,292-9,731,247-9,467,727-8,461,2330000
Liquide middelen en kortetermijnbeleggingen 5,161,1834,296,6743,726,2932,427,0791,716,7952,071,4592,260,6061,867,9751,461,3022,696,3152,112,8223,449,1245,046,4452,173,9671,617,8592,220,732
Nettovorderingen 750,1391,200,2141,462,9931,195,6101,209,2331,282,5951,073,8591,012,017810,111724,192876,40001,005,839851,468693,917960,343
Voorraad 2,471,1784,037,6703,528,7353,449,2972,971,3342,945,0212,102,7622,070,3911,936,7311,773,3291,568,4961,889,0061,677,5761,321,2481,082,557910,542
Overige vlottende activa 1,514,3971,677,9541,682,6081,514,3581,578,8511,206,4881,183,536778,913819,881816,656795,5511,459,422364,347240,159399,1921,022,015
Totaal vlottende activa 9,896,89710,442,8789,527,2367,808,9566,758,5936,988,9076,289,8185,729,2965,028,0256,010,4925,353,2696,797,5528,094,2074,671,3233,793,5254,153,289
Niet-vlottende activa:
Materiële vaste activa, netto 19,234,72719,435,51819,613,53120,397,32320,342,29420,065,92810,261,42510,626,68610,810,81210,330,6929,073,9287,743,0886,325,4195,178,7664,054,7022,763,486
Goodwill 2,210,0342,216,1382,320,8232,320,8232,320,8232,336,0282,336,0282,343,8272,343,8272,343,8272,337,7232,245,9770000
Immateriële activa 0631,549667,757641,998633,103565,418483,301501,775482,414413,827000000
Goodwill en immateriële activa 2,210,0342,847,6872,988,5802,962,8212,953,9262,901,4462,819,3292,845,6022,826,2412,757,6542,337,7232,245,9772,245,9772,942,7562,834,7472,783,304
Langetermijnbeleggingen 2,306,2862,331,4783,067,9903,373,9523,410,4853,102,48212,177,31811,531,88611,050,8239,929,4279,657,1278,603,0568,051,8487,743,9577,134,3296,261,055
Belastingvorderingen 268,336265,512387,555559,195923,1711,112,8591,334,0161,226,7001,363,9711,125,770907,860657,095472,988333,689238,193179,831
Overige niet-vlottende activa 1,096,071790,008394,410293,017522,369494,884515,860577,422617,270842,016735,214527,693319,960193,223256,109196,452
Totaal niet-vlottende activa 25,115,45425,670,20326,452,06627,586,30828,152,24527,677,59927,107,94826,808,29626,669,11724,985,55922,711,85219,776,90917,416,19216,392,39114,518,08012,184,128
Totaal activa 35,012,35136,113,08135,979,30235,395,26434,910,83834,666,50633,397,76632,537,59231,697,14230,996,05128,065,12126,574,46125,510,39921,063,71418,311,60516,337,417
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 829,7951,081,550754,620785,034892,094881,690621,549596,978215,448163,72252,190660,814432,506314,783290,195335,468
Kortlopende schulden 6,984,3006,741,0126,637,0726,436,6246,472,3595,677,5984,227,9291,839,4213,365,1464,579,8005,217,8552,664,2133,334,3972,815,5201,755,8042,385,244
Belastingschulden 150,070307,199396,043282,85187,20181,199143,355242,71878,236178,124128,930121,314120,945145,839147,650429,515
Uitgestelde opbrengsten 209,892198,209339,032280,526248,99681,199143,355242,71878,236178,124128,930121,314120,945145,839147,650429,515
Overige kortlopende verplichtingen 1,237,0551,132,8751,033,1421,044,899834,275761,109817,317847,7301,714,2541,638,3891,061,7341,136,873892,223824,802708,398663,213
Totaal kortlopende verplichtingen 9,411,1129,460,8459,159,9098,829,9348,806,6297,791,3966,187,9874,595,3005,373,0846,898,8256,460,7094,583,2144,780,0714,100,9442,902,0473,813,440
Langlopende verplichtingen:
Langetermijnschulden 942,2871,960,5643,717,8524,677,2932,987,9005,796,3535,406,0617,085,0376,814,7585,173,4763,938,7514,290,0534,229,8915,679,4155,230,3203,897,172
Uitgestelde opbrengsten niet-vlottend 003,455,0803,496,1102,424,48900002,033,6831,031,901862,458991,933852,280746,281558,340
Uitgestelde belastingverplichtingen niet-vlottend 573,495492,895440,101378,978370,286361,315389,660418,156438,244482,348508,795546,826604,772668,458693,020684,144
Overige niet-vlottende verplichtingen 2,364,5323,031,4953,234,1823,398,164115,7222,430,7653,738,2863,238,9671,839,65583,0161,557,572199,917724,475875,821782,47140,041
Totaal niet-vlottende verplichtingen 3,880,3145,484,9547,033,1578,075,4578,322,8868,588,4339,029,00010,324,0049,092,6577,290,1755,496,3235,899,2545,559,1387,223,6946,705,8115,179,697
Totaal passiva 13,291,42614,945,79916,193,06616,905,39117,129,51516,379,82915,216,98714,919,30414,465,74114,189,00011,957,03210,482,46810,339,20911,324,6389,607,8588,993,137
Eigen vermogen:
Preferente aandelen 0140,446145,4250000000000000
Gewone aandelen 3,163,2623,163,2623,163,2623,163,2623,163,2623,163,2623,163,2623,163,2623,163,2623,163,2623,163,2623,163,2623,163,2622,530,6102,530,6102,530,610
Ingehouden winsten 12,075,07111,575,53610,416,0809,436,4108,892,6659,368,6219,209,7938,970,9118,516,9378,685,8758,003,6027,832,7847,012,9845,346,4284,402,9223,394,260
Overige gereserveerde algehele resultaten -135,465-140,446-145,42599,153195,06297,499155,38393,511111,79683,08091,11800000
Overige totale aandeelhoudersvermogen 2,233,9642,233,9642,233,9642,233,9642,233,9642,233,9642,233,9642,233,9642,233,9642,522,4942,400,2242,581,3622,725,988-144,860-98,623-170,438
Totaal eigen vermogen van aandeelhouders 17,336,83216,832,31615,667,88114,932,78914,484,95314,863,34614,700,66914,461,64814,025,95914,181,42113,668,44613,577,16812,748,1837,732,1786,834,9095,754,432
Totaal eigen vermogen 21,720,92521,167,28219,786,23618,489,87317,781,32318,286,67718,180,77917,618,28817,231,40116,807,05116,108,08916,091,99315,171,1909,739,0768,703,7477,344,280
Totaal passiva en aandeelhoudersvermogen 35,012,35136,113,08135,979,30235,395,26434,910,83834,666,50633,397,76632,537,59231,697,14230,996,05128,065,12126,574,46125,510,39921,063,71418,311,60516,337,417