Sarana Meditama Metropolitan Tbk PT
IDX:SAME

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Cashflow-Rechnung

Cashflow-Rechnung
Sarana Meditama Metropolitan Tbk PT

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Cashflow-Rechnung
Währung: IDR
Jun-2012 Sep-2012 Dec-2012 Mar-2013 Jun-2013 Sep-2013 Dec-2013 Mar-2014 Jun-2014 Sep-2014 Dec-2014 Mar-2015 Jun-2015 Sep-2015 Dec-2015 Mar-2016 Jun-2016 Sep-2016 Dec-2016 Mar-2017 Jun-2017 Sep-2017 Dec-2017 Mar-2018 Jun-2018 Sep-2018 Dec-2018 Mar-2019 Jun-2019 Sep-2019 Dec-2019 Mar-2020 Jun-2020 Sep-2020 Dec-2020 Mar-2021 Jun-2021 Sep-2021 Dec-2021 Mar-2022 Jun-2022 Sep-2022 Dec-2022 Mar-2023 Jun-2023 Sep-2023 Dec-2023 Mar-2024 Jun-2024 Sep-2024 Dec-2024 Mar-2025 Jun-2025 Sep-2025 Dec-2025
Operativer Cashflow
Gezahlte Steuern
(8.247)
(2.475)
(11.001)
(11.825)
(10.034)
(17.293)
(9.643)
(10.541)
(7.799)
(7.968)
(10.442)
(10.827)
(8.342)
(11.481)
(2.448)
(4.758)
(6.577)
(3.338)
(23.526)
(29.384)
(36.203)
(39.953)
(33.724)
(28.513)
(32.991)
(33.171)
(36.057)
(35.215)
(29.468)
(36.555)
(28.499)
(24.004)
(16.636)
(5.761)
(58)
(3.850)
(19.705)
(15.795)
(31.635)
(34.483)
(36.564)
(41.292)
(32.010)
(35.187)
(26.384)
(26.904)
(24.046)
(19.099)
(16.518)
(16.640)
(22.031)
(21.650)
(18.808)
(18.251)
(15.363)
Gezahlte Zinsen
(25.292)
(28.972)
(20.060)
(18.947)
(19.625)
(19.727)
(21.447)
(23.172)
(23.282)
(23.579)
(23.876)
(22.645)
(19.494)
(26.349)
(22.232)
(25.017)
(31.511)
(34.381)
(43.901)
(49.287)
(52.827)
(51.915)
0
(54.447)
(56.444)
(67.942)
0
(86.767)
(99.894)
(105.109)
0
(113.099)
(102.363)
(101.313)
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Veränderung des Working Capital
(177.375)
(230.915)
(180.590)
(188.746)
(198.121)
(222.405)
(71.031)
(41.013)
(12.230)
41.309
(79.012)
(82.846)
(88.193)
(92.007)
(95.082)
(100.125)
(101.205)
(101.476)
(123.754)
(128.949)
(136.592)
(142.574)
(196.309)
(147.109)
(155.555)
(164.111)
(249.178)
(189.086)
(187.529)
(185.901)
(298.633)
(177.058)
(165.702)
(229.172)
(357.148)
(200.841)
(263.195)
(283.703)
(374.504)
(401.889)
(416.321)
(402.255)
(453.952)
(472.001)
(478.211)
(530.832)
(528.519)
(570.571)
(595.685)
(562.305)
(561.499)
(566.434)
(568.344)
(575.480)
(583.209)
Cashflow aus operativer Tätigkeit
42.071
N/A
60.842
+45%
55.045
-10%
57.999
+5%
70.227
+21%
60.323
-14%
74.802
+24%
91.477
+22%
85.905
-6%
90.167
+5%
111.117
+23%
94.173
-15%
103.597
+10%
121.341
+17%
97.530
-20%
124.968
+28%
175.412
+40%
136.502
-22%
123.850
-9%
125.458
+1%
55.288
-56%
51.791
-6%
66.255
+28%
47.671
-28%
80.032
+68%
83.285
+4%
31.313
-62%
63.508
+103%
72.298
+14%
186.123
+157%
188.401
+1%
151.194
-20%
95.841
-37%
22.301
-77%
(21.667)
N/A
(9.084)
+58%
60.650
N/A
87.341
+44%
253.740
+191%
238.716
-6%
182.045
-24%
189.280
+4%
161.419
-15%
223.349
+38%
170.025
-24%
213.044
+25%
136.148
-36%
194.347
+43%
264.433
+36%
205.764
-22%
263.422
+28%
172.511
-35%
199.284
+16%
279.204
+40%
340.149
+22%
Investitions-Cashflow
Investitionsausgaben
(11.220)
(18.975)
(15.318)
(15.688)
(16.266)
(19.157)
(97.517)
(126.343)
(160.718)
(155.555)
(91.716)
(64.860)
(71.650)
(85.814)
(141.641)
(287.605)
(393.887)
(377.247)
(296.625)
(177.320)
(64.623)
(66.580)
(78.414)
(110.619)
(120.264)
(340.633)
(489.662)
(493.940)
(458.364)
(415.171)
(369.364)
(306.309)
(294.751)
(175.035)
(86.699)
(30.449)
(69.621)
(17.676)
(126.920)
(145.025)
(142.875)
(205.401)
(228.945)
(233.505)
(245.142)
(528.139)
(515.519)
(542.813)
(556.585)
(274.147)
(287.411)
(266.051)
(306.055)
(312.629)
(348.444)
Sonstige Posten
211
211
214
214
15
15
34
0
93
234
34
0
999
869
10
17
17
6
739
732
732
1.037
443
0
0
138
0
19
41
68.041
68.041
68.023
68.341
486
(200)
(300)
(114)
(1.694.446)
(2.177.183)
(2.248.034)
(2.969.104)
(1.228.523)
(823.183)
(626.777)
93.901
47.958
6.861
1.462
(3.127)
25.931
37.274
44.110
53.071
24.338
22.823
Cashflow aus Investitionstätigkeit
(11.008)
N/A
(18.763)
-70%
(15.104)
+20%
(15.474)
-2%
(16.251)
-5%
(19.142)
-18%
(97.483)
-409%
(126.309)
-30%
(160.626)
-27%
(155.322)
+3%
(90.643)
+42%
(63.787)
+30%
(70.650)
-11%
(84.944)
-20%
(141.631)
-67%
(287.588)
-103%
(393.870)
-37%
(377.241)
+4%
(295.886)
+22%
(176.588)
+40%
(63.891)
+64%
(65.543)
-3%
(77.971)
-19%
(110.176)
-41%
(119.821)
-9%
(340.495)
-184%
(489.662)
-44%
(493.922)
-1%
(458.322)
+7%
(347.129)
+24%
(301.323)
+13%
(238.286)
+21%
(226.411)
+5%
(174.549)
+23%
(86.900)
+50%
(30.749)
+65%
(69.734)
-127%
(1.712.122)
-2.355%
(2.304.103)
-35%
(2.393.059)
-4%
(3.111.979)
-30%
(1.433.924)
+54%
(1.052.128)
+27%
(860.282)
+18%
(151.241)
+82%
(480.181)
-217%
(508.657)
-6%
(541.351)
-6%
(559.711)
-3%
(248.216)
+56%
(250.137)
-1%
(221.941)
+11%
(252.985)
-14%
(288.290)
-14%
(325.621)
-13%
Finanzierungs-Cashflow
Nettoausgabe von Stammaktien
0
0
0
67.137
67.137
67.137
72.000
4.863
4.863
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
71.573
0
1.271.515
1.271.515
3.699.845
3.692.925
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Nettoaufnahme von Schulden
(27.521)
(40.962)
(43.063)
(84.348)
(89.645)
(73.683)
(34.849)
7.359
42.419
36.205
(1.048)
15.856
73.793
77.486
157.454
190.887
200.190
184.595
96.421
45.390
(41.496)
3.396
34.480
47.265
98.609
426.567
508.452
499.165
450.706
69.603
23.480
21.778
16.879
22.945
(8.559)
12.925
(1.019.645)
(1.029.104)
(1.192.681)
(1.123.079)
580.237
563.795
693.894
579.660
(47.358)
177.865
216.651
250.401
214.088
(2.069)
7.252
(42.525)
36.554
55.121
(8.838)
Gezahlte Dividenden
0
0
0
0
0
0
0
0
0
0
0
0
0
(8.260)
(8.260)
0
(16.520)
(8.260)
(8.260)
0
(3.540)
(3.540)
(3.540)
0
(10.030)
0
(10.030)
0
10.030
0
0
0
0
0
0
0
0
0
0
0
0
(16.119)
0
0
0
0
0
0
0
0
0
0
0
0
0
Sonstiges
0
0
0
0
0
0
(4.863)
0
0
0
4.200
0
(2.825)
(2.825)
(21.750)
(23.514)
(16.536)
(16.536)
7.732
9.496
9.543
9.543
(1.000)
0
0
(1.000)
(1.553)
0
0
0
9.284
0
0
9.321
91.610
(4.634)
(834)
(125.921)
14.829
0
0
0
(16.119)
0
0
(17.994)
(17.994)
0
0
(2.062)
(2.062)
0
0
0
0
Cashflow aus Finanzierungstätigkeit
(27.521)
N/A
(40.962)
-49%
(43.063)
-5%
(17.212)
+60%
(22.509)
-31%
(6.546)
+71%
32.288
N/A
7.360
-77%
42.420
+476%
36.205
-15%
3.152
-91%
20.056
+536%
70.968
+254%
66.401
-6%
127.444
+92%
159.113
+25%
167.134
+5%
159.800
-4%
95.893
-40%
46.626
-51%
(35.493)
N/A
9.398
N/A
29.940
+219%
42.725
+43%
87.579
+105%
407.027
+365%
496.869
+22%
487.582
-2%
449.152
-8%
76.559
-83%
32.764
-57%
31.062
-5%
26.163
-16%
103.839
+297%
83.051
-20%
1.208.233
+1.355%
179.464
-85%
2.473.247
+1.278%
2.515.072
+2%
1.389.404
-45%
3.088.920
+122%
681.505
-78%
677.775
-1%
563.540
-17%
(63.477)
N/A
159.871
N/A
198.657
+24%
232.407
+17%
196.094
-16%
(4.131)
N/A
5.190
N/A
(44.587)
N/A
34.492
N/A
55.121
+60%
(8.838)
N/A
Veränderung der Zahlungsmittel
Effekt von Wechselkursänderungen
0
0
0
0
0
0
0
0
0
0
0
0
(17.914)
(39.975)
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Nettoveränderung der Zahlungsmittel
3.542
N/A
1.117
-68%
(3.122)
N/A
25.313
N/A
31.467
+24%
34.635
+10%
9.607
-72%
(27.472)
N/A
(32.301)
-18%
(28.950)
+10%
23.626
N/A
50.442
+113%
86.001
+70%
62.823
-27%
83.342
+33%
(3.507)
N/A
(51.324)
-1.363%
(80.939)
-58%
(76.143)
+6%
(4.504)
+94%
(44.096)
-879%
(4.354)
+90%
18.224
N/A
(19.780)
N/A
47.790
N/A
149.817
+213%
38.519
-74%
57.169
+48%
63.128
+10%
(84.447)
N/A
(80.158)
+5%
(56.030)
+30%
(104.407)
-86%
(48.410)
+54%
(25.516)
+47%
1.168.400
N/A
170.379
-85%
848.466
+398%
464.709
-45%
(764.939)
N/A
158.986
N/A
(563.139)
N/A
(212.933)
+62%
(73.393)
+66%
(44.694)
+39%
(107.266)
-140%
(173.852)
-62%
(114.597)
+34%
(99.184)
+13%
(46.583)
+53%
18.475
N/A
(94.017)
N/A
(19.209)
+80%
46.034
N/A
5.690
-88%
Free Cashflow
Free Cashflow
30.851
N/A
41.867
+36%
39.727
-5%
42.311
+7%
53.961
+28%
41.166
-24%
(22.715)
N/A
(34.866)
-53%
(74.813)
-115%
(65.388)
+13%
19.401
N/A
29.313
+51%
31.947
+9%
35.527
+11%
(44.112)
N/A
(162.637)
-269%
(218.475)
-34%
(240.745)
-10%
(172.775)
+28%
(51.862)
+70%
(9.335)
+82%
(14.789)
-58%
(12.159)
+18%
(62.948)
-418%
(40.232)
+36%
(257.348)
-540%
(458.349)
-78%
(430.432)
+6%
(386.066)
+10%
(229.048)
+41%
(180.963)
+21%
(155.115)
+14%
(198.910)
-28%
(152.734)
+23%
(108.367)
+29%
(39.533)
+64%
(8.971)
+77%
69.665
N/A
126.820
+82%
93.691
-26%
39.171
-58%
(16.121)
N/A
(67.525)
-319%
(10.156)
+85%
(75.118)
-640%
(315.095)
-319%
(379.371)
-20%
(348.466)
+8%
(292.152)
+16%
(68.383)
+77%
(23.988)
+65%
(93.540)
-290%
(106.772)
-14%
(33.425)
+69%
(8.295)
+75%
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