PT Surya Semesta Internusa Tbk
IDX:SSIA.JK
1165 (IDR) • At close November 8, 2024
Overzicht | Financiële gegevens
Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) IDR.
2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 | 2007 | 2006 | 2005 | |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Activa: | |||||||||||||||||||
Vlottende activa: | |||||||||||||||||||
Liquide middelen & kasequivalenten
| 1,219,048.85 | 1,136,027.22 | 782,185.609 | 850,910.102 | 1,527,062.933 | 1,371,984.166 | 1,145,366.973 | 1,519,976.716 | 923,632.276 | 1,172,701.117 | 1,692,417.195 | 1,890,286.698 | 584,074.787 | 244,929.185 | 209,695.741 | 218,387.184 | 135,948.052 | 126,507.065 | 96,008.811 |
Kortetermijnbeleggingen
| 101,307.816 | 103,597.773 | 87,969.39 | 109,707.244 | 190,481.578 | 211,700.588 | 34,831.759 | 24,695.255 | 25,082.243 | 3,173.372 | 32,084.822 | 2,222.725 | 1,256.183 | 10,292.558 | 18,930.053 | 14,562.004 | 33,143.453 | 9,028.614 | 16,720.388 |
Liquide middelen en kortetermijnbeleggingen
| 1,320,356.666 | 1,239,624.993 | 870,154.999 | 960,617.346 | 1,717,544.511 | 1,583,684.755 | 1,180,198.732 | 1,544,671.97 | 948,714.52 | 1,175,874.489 | 1,724,502.016 | 1,892,509.423 | 585,330.971 | 255,221.744 | 228,625.794 | 232,949.188 | 169,091.505 | 135,535.68 | 112,729.199 |
Nettovorderingen
| 1,470,725.057 | 1,570,008.504 | 1,431,738.955 | 1,443,655.422 | 1,535,594.975 | 601,861 | 582,102 | 1,168,358.25 | 1,126,150.62 | 867,803.378 | 1,137,100.884 | 1,018,647.197 | 0 | 0 | 404,902.802 | 225,678.879 | 0 | 0 | 0 |
Voorraad
| 324,603.04 | 376,226.6 | 552,993.74 | 489,515.272 | 422,171.491 | 462,782.201 | 414,533.876 | 391,697.516 | 475,737.693 | 350,778.202 | 458,902.019 | 163,816.18 | 8,261.984 | 6,463.972 | 5,358.792 | 4,525.444 | 112,148.818 | 60,154.875 | 128,186.804 |
Overige vlottende activa
| 119,201.687 | 133,025.759 | 121,471.544 | 84,575.748 | 73,433.33 | 1,412,195.419 | 3,490,602.423 | 1,444,309.473 | 1,475,318.921 | 1,374,283.759 | 1,535,144.129 | -0 | 852,179.024 | 503,482.818 | 4,366.385 | 248,754.913 | 163,421.38 | 170,506.438 | 169,982.821 |
Totaal vlottende activa
| 3,234,886.449 | 3,324,869.203 | 3,008,237.107 | 3,004,087.952 | 4,057,603.567 | 3,458,662.375 | 5,085,335.03 | 3,380,678.959 | 2,899,771.134 | 2,900,936.451 | 3,718,548.164 | 3,074,972.8 | 1,445,771.978 | 765,168.534 | 643,253.773 | 711,908.423 | 444,661.702 | 366,196.992 | 410,898.824 |
Niet-vlottende activa: | |||||||||||||||||||
Materiële vaste activa, netto
| 4,222,341.748 | 1,158,422.614 | 1,193,185.496 | 1,277,403.696 | 1,245,650.636 | 1,252,198.812 | 1,249,898.697 | 1,182,205.359 | 1,129,632.103 | 930,256.349 | 942,494.597 | 607,714.873 | 482,930.227 | 656,511.575 | 635,606.504 | 608,748.272 | 298,849.084 | 217,799.456 | 294,723.565 |
Goodwill
| 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
Immateriële activa
| 7,758.399 | 4,032.216 | 4,059.068 | 4,682.618 | 4,946.085 | 3,098.488 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
Goodwill en immateriële activa
| 7,758.399 | 4,032.216 | 4,059.068 | 4,682.618 | 4,946.085 | 3,098.488 | 2,132,795.247 | 1,751,299.76 | 0 | 0 | 0 | 0 | 4,301.654 | 885,711.257 | 531.967 | 3,551.934 | 7,538.099 | 11,851.665 | 17,379.012 |
Langetermijnbeleggingen
| 840,824.64 | 27,339.789 | 222,106.398 | 184,627.202 | 137,993.118 | 108,727.497 | 376,753.536 | 832,820.962 | 839,254.805 | 708,891.139 | 445,558.291 | 291,956.676 | 2,557.944 | -6,619.585 | -15,037.875 | -9,817.094 | 8,168.94 | 29,669.574 | 21,960.182 |
Belastingvorderingen
| 19,079.445 | 40,623.804 | 44,389.506 | 21,871.735 | 2,955.198 | 2,802.767 | 2,871.626 | 40,656.613 | 23,133.501 | 18,843.051 | 18,733.235 | 18,253.128 | 12,971.284 | 9,289.407 | 11,736.148 | 4,720.791 | 24,337.023 | 16,267.077 | 16,882.67 |
Overige niet-vlottende activa
| 91,882.448 | 3,734,358.681 | 3,280,192.948 | 3,132,695.335 | 2,643,298.211 | 2,578,677.162 | 3,782.83 | 7,786.675 | 1,572,131.921 | 1,434,151.101 | 689,100.826 | 861,735.938 | 989,404.963 | 72,580.352 | 959,350.991 | 932,257.057 | 757,515.738 | 707,445.989 | 635,577.489 |
Totaal niet-vlottende activa
| 5,181,886.68 | 4,964,777.103 | 4,743,933.416 | 4,621,280.587 | 4,034,843.248 | 3,945,504.726 | 3,766,101.937 | 3,814,769.369 | 3,564,152.331 | 3,092,141.64 | 2,095,886.949 | 1,779,660.615 | 1,492,166.072 | 1,617,473.006 | 1,592,187.735 | 1,539,460.961 | 1,096,408.884 | 983,033.761 | 986,522.918 |
Totaal activa
| 8,416,773.129 | 8,289,646.306 | 7,752,170.523 | 7,625,368.538 | 8,092,446.815 | 7,404,167.101 | 8,851,436.967 | 7,195,448.328 | 6,463,923.465 | 5,993,078.09 | 5,814,435.113 | 4,854,633.415 | 2,937,938.05 | 2,382,641.54 | 2,235,441.509 | 2,251,369.384 | 1,541,070.587 | 1,349,230.753 | 1,397,421.742 |
Passiva en Eigen Vermogen: | |||||||||||||||||||
Kortlopende verplichtingen: | |||||||||||||||||||
Crediteuren
| 531,186.103 | 533,844.26 | 546,951.401 | 532,560.336 | 626,033.774 | 462,660.876 | 455,524.342 | 538,365.764 | 416,666.972 | 356,250.655 | 346,350.451 | 155,720.608 | 219,660.354 | 210,044.931 | 191,957.376 | 266,494.073 | 194,520.197 | 184,287.076 | 129,412.119 |
Kortlopende schulden
| 392,720.304 | 661,903.734 | 371,088.43 | 845,193.691 | 245,327.927 | 754,955.269 | 776,012.14 | 751,789.112 | 329,957.028 | 247,882.017 | 79,777.961 | 77,817.56 | 77,933.924 | 181,348.83 | 187,052.343 | 426,292.977 | 129,565.912 | 56,291.932 | 152,272.136 |
Belastingschulden
| 9,049.418 | 46,283.182 | 64,606.479 | 44,234.4 | 56,167.39 | 70,449.959 | 452,743.611 | 38,101.413 | 49,749.374 | 48,145.569 | 64,118.717 | 44,265.421 | 36,687.798 | 25,061.124 | 38,689.091 | 29,789.614 | 21,656.678 | 15,863.774 | 26,744.295 |
Uitgestelde opbrengsten
| 378,982.953 | 482,305.79 | 267,216.903 | 270,088.795 | 476,405.859 | 70,449.959 | 1,379,085.147 | 38,101.413 | 49,749.374 | 48,145.569 | 1,427,615.543 | 1,548,982.742 | 427,493.567 | 278,578.491 | 141,251.419 | 175,121.522 | 107,541.022 | 78,571.411 | 97,832.087 |
Overige kortlopende verplichtingen
| 218,172.026 | 153,354.016 | 266,583.208 | 214,844.83 | 365,405.407 | 745,063.867 | 29,406.453 | 568,097.176 | 1,060,422.979 | 1,074,815.433 | 0 | -0 | 142,079.472 | 80,846.412 | 73,975.22 | 105,723.219 | 103,856.017 | 89,875.414 | 91,809.427 |
Totaal kortlopende verplichtingen
| 1,521,061.385 | 1,831,407.799 | 1,451,839.942 | 1,862,687.653 | 1,713,172.967 | 2,033,129.971 | 2,640,028.082 | 1,896,353.464 | 1,856,796.353 | 1,727,093.675 | 1,853,743.955 | 1,782,520.909 | 867,167.317 | 750,818.665 | 594,236.358 | 973,631.791 | 535,483.149 | 409,025.833 | 471,325.77 |
Langlopende verplichtingen: | |||||||||||||||||||
Langetermijnschulden
| 2,151,311.767 | 1,988,457.456 | 2,044,310.107 | 1,241,384.684 | 948,130.653 | 751,337.308 | 1,494,383.775 | 1,704,313.96 | 1,046,969.344 | 1,031,256.091 | 1,198,772.218 | 1,237,766.414 | 422,887.857 | 443,994.511 | 562,102.075 | 307,673.166 | 220,274.009 | 202,555.123 | 207,991.785 |
Uitgestelde opbrengsten niet-vlottend
| 1,097.608 | 32,416.679 | 24,504.845 | 34,300.733 | 37,647.819 | 26,945.041 | 26,604.85 | 53,425.602 | 33,884.494 | 63,310.857 | 33,104.373 | 34,868.098 | 355,004.475 | 133,280.579 | 97,401.329 | 95,615.637 | 99,880.325 | 18,432.922 | 23,226.857 |
Uitgestelde belastingverplichtingen niet-vlottend
| 1,008.435 | 0 | 0 | 0 | 17,329.502 | 24,538.807 | 29,323.543 | 35,347.628 | 38,017.235 | 43,179.066 | 42,220.616 | 38,818.238 | 34,527.723 | 35,641.932 | 40,376.969 | 41,010.647 | 348.234 | 93.051 | 0.221 |
Overige niet-vlottende verplichtingen
| 298,839.565 | 177,896.719 | 180,962.876 | 255,920.847 | 897,986.032 | 183,209.638 | 184,262.3 | 153,180.595 | 150,256.487 | 89,365.163 | 74,819.779 | 91,030.623 | 57,201.433 | 65,175.271 | 59,583.305 | 72,961.476 | 62,764.018 | 109,422.513 | 109,400.975 |
Totaal niet-vlottende verplichtingen
| 2,452,257.375 | 2,198,770.853 | 2,249,777.828 | 1,531,606.264 | 1,901,094.006 | 986,030.795 | 1,734,574.468 | 1,946,267.784 | 1,269,127.56 | 1,227,111.177 | 1,348,916.986 | 1,402,483.373 | 869,621.488 | 678,092.293 | 759,463.677 | 517,260.926 | 383,266.585 | 330,503.609 | 340,619.838 |
Totaal passiva
| 3,973,318.76 | 4,030,178.653 | 3,701,617.77 | 3,394,293.917 | 3,614,266.973 | 3,019,160.766 | 4,374,602.549 | 3,842,621.248 | 3,125,923.913 | 2,954,204.852 | 3,202,660.941 | 3,185,004.282 | 1,736,788.805 | 1,428,910.957 | 1,353,700.036 | 1,490,892.717 | 918,749.734 | 739,529.442 | 811,945.608 |
Eigen vermogen: | |||||||||||||||||||
Preferente aandelen
| 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
Gewone aandelen
| 588,156.18 | 588,156.18 | 588,156.18 | 588,156.18 | 588,156.18 | 588,156.18 | 588,156.18 | 588,156.18 | 588,156.18 | 588,156.18 | 588,156.18 | 588,156.18 | 588,156.18 | 588,156.18 | 588,156.18 | 588,156.18 | 474,319.5 | 474,319.5 | 474,319.5 |
Ingehouden winsten
| 2,946,505.619 | 2,787,079.846 | 2,614,028.317 | 2,812,764.703 | 2,959,067.511 | 2,918,594.044 | 2,991,495.481 | 1,887,407.388 | 1,894,221.657 | 1,715,732.514 | 1,445,641.743 | 900,658.988 | 234,590.59 | -1,716.882 | -117,305.036 | -134,903.66 | -123,199.441 | -134,925.175 | -156,464.056 |
Overige gereserveerde algehele resultaten
| 249,983.138 | 245,684.028 | 163,158.775 | 131,025.839 | 162,962.723 | 182,966.13 | 173,925.03 | 172,106.888 | 165,210.148 | 63,333.971 | 10,153.998 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
Overige totale aandeelhoudersvermogen
| 222,361.894 | 219,294.772 | 219,294.772 | 219,294.772 | 254,255.704 | 254,255.704 | 255,006.454 | 264,249.439 | 260,851.596 | 281,451.596 | 276,451.596 | 110,075.29 | 277,224.707 | 282,641.082 | 350,892.328 | 283,372.432 | 255,350.818 | 254,717.566 | 254,717.566 |
Totaal eigen vermogen van aandeelhouders
| 4,007,006.832 | 3,840,214.825 | 3,584,638.044 | 3,751,241.493 | 3,964,442.119 | 3,943,972.057 | 4,008,583.145 | 2,911,919.896 | 2,908,439.581 | 2,648,674.261 | 2,320,403.517 | 1,598,890.458 | 1,099,971.477 | 869,080.38 | 821,743.472 | 736,624.952 | 606,470.877 | 594,111.891 | 572,573.011 |
Totaal eigen vermogen
| 4,443,454.369 | 4,259,467.653 | 4,050,552.754 | 4,231,074.621 | 4,478,179.842 | 4,385,006.335 | 4,476,834.418 | 3,352,827.079 | 3,337,999.552 | 3,038,873.238 | 2,611,774.172 | 1,669,629.133 | 1,201,149.244 | 953,730.583 | 881,741.473 | 760,476.667 | 622,320.853 | 609,701.312 | 585,476.134 |
Totaal passiva en aandeelhoudersvermogen
| 8,416,773.129 | 8,289,646.306 | 7,752,170.523 | 7,625,368.538 | 8,092,446.815 | 7,404,167.101 | 8,851,436.967 | 7,195,448.328 | 6,463,923.465 | 5,993,078.09 | 5,814,435.113 | 4,854,633.415 | 2,937,938.05 | 2,382,641.54 | 2,235,441.509 | 2,251,369.384 | 1,541,070.587 | 1,349,230.753 | 1,397,421.742 |