PT Tower Bersama Infrastructure Tbk

IDX:TBIG.JK

1900 (IDR) • At close November 13, 2024
Overzicht | Financiële gegevens

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

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Operationele Activiteiten:
Nettowinst 436,586380,956349,842441,917429,594356,796332,000414,724396,712410,871415,272468,002417,706397,365265,902262,160236,982281,947228,536207,492229,822164,080218,06057,127220,478169,368233,6081,439,289367,968231,353277,758352,20096,16495,325746,668633,542225,826250,731319,804163,032474,813137,000526,651423,027214,910328,977281,080336,972222,050141,078141,835152,828105,667115,364100,499111,124
Afschrijvingen & Amortisatie 399,530393,905368,556412,796399,950345,632335,200264,151382,927422,738309,62810,543317,593306,255248,7219,685178,58892,676248,721103,00380,65387,05675,8888,20466,58166,50366,0688,2458,99259,83459,6799,5389,6735,5626,6486,5206,123-5398,10811,8596,4746,1786,2255,9945,7055,2775,9685,3025,6245,1094,2984,1803,4511,8952,1691,302
Uitgestelde Inkomstenbelasting 00000000000000000000000000000000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 00000000000000000000000000000000000000000000000000000000
Verandering in Werkkapitaal 00000000000000000000000000000000000000000000000000000000
Vorderingen 00000000000000000000000000000000000000000000000000000000
Voorraden 00000000000000000000000000000000000000000000000000000000
Crediteuren 00000000000000000000000000000000000000000000000000000000
Overig Werkkapitaal 00000000000000000000000000000000000000000000000000000000
Overige Niet-Contante Posten -161,532596,8811,140,493652,661351,923320,159-335,200-264,151-382,927-410,871-415,272-478,545-417,706-397,365-265,902-271,845-236,982-281,947-228,536-207,492-229,822-164,080-218,060-65,331-220,478-169,368-233,608-1,447,534-376,960-231,353-277,758-361,738-105,837-100,887-746,668-633,542-231,949-250,731-327,912-174,891-481,287-143,178-532,876-429,021-220,615-334,254-281,080-336,972-222,050-146,187-146,133-157,008-109,118-117,259-102,668-112,426
Kasstroom uit Operationele Activiteiten 674,584583,9321,121,779681,7821,181,4671,022,587332,000414,724396,712410,8711,516,59010,543700,0251,228,5491,753,8459,6851,078,166352,7881,982,080441,801723,7621,047,5491,478,3058,204488,634379,1851,745,6878,2458,9921,322,623628,3409,5389,6735,562602,944464,3426,123985,6528,10811,8596,4746,1786,2255,9945,7055,277313,009400,558472,4865,1094,2984,1803,4511,8952,1691,302
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -764,492-738,065-578,748-724,842-674,725-592,778-746,047-1,545,686-749,303-934,573-670,743-1,299,070-542,446-4,404,743-754,777-311,293-414,512-474,618-764,408-474,653-473,496-813,939-272,246-387,398-564,086-428,509-468,629-1,631,631-90,079-71,189-70,759-93,397-102,373-114,483-71,304-114,151-106,788-177,383-123,657-469,360-118,920-164,644-111,922-148,823-112,926-166,019-7,552-132,252-249,770-81,605-28,146-108,476-39,660-48,820-39,635-9,826
Netto Overnames 000-43,1610000000000000000000000000000000000000000000-264,605-40,00000-2,900-90,15200-17,546
Aankoop van Beleggingen -12,23913,392-96,5551,288-457-1,964-713-2,371-179-168-59-343-525-3,596-3950000011,426-139-11,287-149,669-30,100000-353,621-594,055-91,380-99,988-143,610-627,583-112,594-447,431-153,895-29,590-438,286-61,2080-629,114-559,967-200,513-230,962-200,000-50,000-467,217-3,456,515-225,593-255,6600-225,466-347,497-233,528-162,990
Verkoop/verval van Beleggingen 6,76190,2801,0500000000000000000000000000000000000000000000000000-39,880000
Overige Investeringsactiviteiten 1,055-16,632-190,291-5,500-157,705-126,679-142,036499,218-499,218-168-59-343-349-24,462-149,529-912-48,059-1,256-36,829-732-501-486-3,432-1,789-356-174,323-64,0951,093,697-62,81218,647-69,800-313,139-211,988-725,986-168,492-538,959-250,148-111,947-533,487-296,525-248,139459,244-459,151-413,635-254,925-316,655-489,308-857,169-385,58214,592-26,060-202,676-159-105,4650-9,229
Kasstroom uit Investeringsactiviteiten -768,915-651,025-674,253-729,054-675,182-594,742-746,760-1,048,839-1,248,700-934,741-670,802-1,299,413-543,320-4,429,205-904,306-312,205-462,571-475,874-801,237-475,385-462,571-814,564-286,965-538,856-594,542-602,832-468,629-537,934-443,700-646,597-162,139-193,385-245,983-742,066-183,898-561,582-260,683-206,973-561,943-530,568-367,059-334,514-1,131,040-762,971-598,813-682,674-546,860-864,074-4,131,867-292,606-283,806-314,052-395,317-501,782-273,163-199,591
Financieringsactiviteiten:
Schuldaflossingen 894,1770000000000000000000000000000000000000000000000000000000
Uitgifte van Gewone Aandelen 000-92150,35017,400894,195003,283,02600000000000000000000000-5,461-6,975-47,701-34,676-138,534-80,56700000000000000001,118,886
Terugkoop van Gewone Aandelen -231,168-45,902-14,700-1,689-152,001-52,817-117,698-718,727-45,599-1,91200-525-170,0000000000-6,736-36,153-66,889-31,747-404,429-19,691-8,5800-29-47,681-411,328-340,879-63,543-103,034-231,246-500,678-138,534-80,567-250,755-86,309-112,096-704,074-681,4750-200,000-50,000000000000
Uitgekeerde Dividenden -683,624-50,1700-515,743-800,001000-100,622-715,0300-6,721-6,721-692,194000-605,670000-600,0000-533-10,377-750,000000-665,00000-330,000-262,0000000000-287,7870-287,7920000000-1510000
Overige Financieringsactiviteiten -64,679-24,209-543,974-1,6686,733,0954,105,4966,618,0914,008,6864,567,2825,291,2364,276,6367,983,9192,549,0801,868,88821,048,6161,583,7661,118,3992,091,4436,863,3511,245,6345,889,1911,864,054-15,8271,139,065583,7701,412,948264,25075,905754,8904,413,353-22,701-384,740-479,963-389,875-419,129-188,101-323,772-321,302-247,622-1,073,58721,379-645,347-139,720129,026238,6542,564,979184,457460,843652,0053,643,426-89,421416,318582,653-173,986-66,4382,176,162
Kasstroom uit Financieringsactiviteiten -85,294142,113-556,08049,006-625,263-103,459-802,16216,689529,192-382,063-756,372305,082-204,529-1,012,4533,300,289328,063-815,401128,193-957,423229,663-224,783-169,841-1,174,739-156,938-304,979-7,251-760,025-101,74561,836-710,263-604,942-646,483-459,933-783,920-444,465-234203,593-1,144,570-308,013427,944-686,873173,48089,242-389,556152,0931,050,17068,369388,559581,0463,574,502-156,831347,067259,683-173,986-66,4381,013,068
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 04,5933,534-2,52611,479-827-15,3587,7996,4298,0411,289-1,009-5,021-2,01912,406-16,33012,373-41,47649,530-4,199705-1,842-2,240-3,4784,0765,0291,6158472,615-31-1,7385,648-2,348-1,239-6,69530,574-19,793-7,55014,249-92,776-24,88137,707-66,85039,802639,518580,835000-118,825236,913162,490104,583111,442127,527184,338
Netto Kasstroomverandering -190,00079,613-105,020-792-107,499323,559-380,797256,499-8,484-1,45990,705-212,477-52,845-4,215,1284,162,234372,951-187,433-36,369272,950191,88037,11361,30214,361-72,826-406,811-225,869518,648199,11517,734-34,268-140,479-39,514147,576-6,737-32,114-66,90040,528-373,441-204,632321,584131,41521,682-428,137-752,496198,503953,608-457,243-186,528-2,888,1133,168,180-199,426199,685-27,600-562,431-209,905999,117
Kaspositie aan het Einde van de Periode 585,450775,450695,837800,857801,649909,148585,589966,386709,887718,371719,830629,125841,602894,4475,109,575947,341574,390761,823798,192525,242333,362296,249234,947220,586293,412700,223926,092407,444208,329190,595224,863365,342404,856257,280264,017296,131363,031322,503695,944900,576578,992447,577425,895647,1861,399,6821,201,179247,571507,253693,7813,581,894413,714499,552299,867327,467889,8981,047,454