Bank Pan Indonesia Tbk PT
F:PTQ
Balance Sheet
Balance Sheet Decomposition
Bank Pan Indonesia Tbk PT
Bank Pan Indonesia Tbk PT
Balance Sheet
Bank Pan Indonesia Tbk PT
| Dec-2001 | Dec-2002 | Dec-2003 | Dec-2004 | Dec-2005 | Dec-2006 | Dec-2007 | Dec-2008 | Dec-2009 | Dec-2010 | Dec-2011 | Dec-2012 | Dec-2013 | Dec-2014 | Dec-2015 | Dec-2016 | Dec-2017 | Dec-2018 | Dec-2019 | Dec-2020 | Dec-2021 | Dec-2022 | Dec-2023 | Dec-2024 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Assets | |||||||||||||||||||||||||
| Net Loans |
8 686 097
|
9 738 972
|
8 999 690
|
11 266 549
|
18 120 450
|
22 074 407
|
33 035 576
|
42 275 995
|
50 009 102
|
75 503 283
|
89 725 395
|
97 854 023
|
110 789 802
|
120 359 110
|
125 904 719
|
133 051 421
|
139 740 334
|
148 944 901
|
148 007 244
|
124 390 471
|
119 240 073
|
130 442 780
|
140 532 955
|
141 801 518
|
|
| Investments |
13 043 296
|
4 186 370
|
7 337 392
|
9 267 136
|
13 774 145
|
12 717 860
|
13 593 751
|
15 301 918
|
21 084 649
|
23 677 956
|
22 627 894
|
36 462 278
|
38 190 615
|
36 335 101
|
34 756 146
|
43 289 879
|
51 454 631
|
35 353 013
|
39 131 085
|
72 625 544
|
63 227 314
|
55 991 503
|
53 481 991
|
73 809 153
|
|
| PP&E Net |
1 199 069
|
1 199 553
|
1 122 790
|
1 086 901
|
1 201 767
|
1 337 488
|
1 564 421
|
2 450 416
|
2 508 524
|
2 649 458
|
2 610 295
|
2 114 288
|
2 440 744
|
2 501 839
|
9 134 396
|
9 851 752
|
9 688 314
|
10 260 918
|
10 312 649
|
10 326 085
|
10 642 361
|
10 176 936
|
10 002 144
|
9 898 262
|
|
| PP&E Gross |
1 199 069
|
1 199 553
|
1 122 790
|
1 086 901
|
1 201 767
|
1 337 488
|
1 564 421
|
2 450 416
|
2 508 524
|
2 649 458
|
2 610 295
|
2 114 288
|
2 440 744
|
2 501 839
|
9 134 396
|
9 851 752
|
9 688 314
|
10 260 918
|
10 312 649
|
10 326 085
|
10 642 361
|
10 176 936
|
10 002 144
|
9 898 262
|
|
| Accumulated Depreciation |
125 268
|
191 225
|
277 969
|
328 999
|
414 054
|
555 242
|
718 677
|
949 138
|
1 229 296
|
1 462 250
|
1 672 164
|
1 569 990
|
1 818 776
|
1 567 324
|
1 005 935
|
254 219
|
503 311
|
415 661
|
192 582
|
562 479
|
481 413
|
282 494
|
598 346
|
487 625
|
|
| Intangible Assets |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
37 538
|
28 170
|
57 250
|
76 614
|
110 850
|
120 553
|
138 176
|
119 975
|
145 333
|
214 431
|
320 981
|
425 974
|
522 482
|
596 550
|
|
| Goodwill |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
17 852
|
9 917
|
9 917
|
9 918
|
9 918
|
9 918
|
9 918
|
9 918
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Long-Term Investments |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
293 784
|
323 430
|
408 258
|
342 292
|
399 246
|
420 465
|
421 629
|
559 967
|
554 565
|
576 148
|
633 735
|
636 438
|
630 103
|
|
| Customer Acceptances Liabilities |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Other Long-Term Assets |
5 371
|
9 172
|
21 120
|
22 722
|
29 754
|
34 600
|
195 272
|
79 740
|
77 293
|
53 157
|
53 590
|
96 958
|
209 845
|
239 060
|
252 584
|
335 480
|
511 012
|
126 509
|
31 552
|
101 209
|
419 208
|
609 846
|
747 872
|
136 028
|
|
| Other Assets |
146 034
|
323 980
|
1 365 616
|
1 416 908
|
1 866 951
|
2 833 640
|
3 076 468
|
1 351 413
|
1 268 867
|
1 967 541
|
2 653 376
|
2 718 454
|
1 996 635
|
2 598 806
|
2 466 591
|
2 338 059
|
2 207 706
|
3 403 849
|
4 478 421
|
4 815 100
|
4 513 328
|
6 437 352
|
7 448 866
|
8 062 930
|
|
| Total Assets |
23 589 175
N/A
|
15 940 612
-32%
|
19 379 621
+22%
|
23 937 439
+24%
|
36 919 444
+54%
|
40 514 765
+10%
|
53 470 645
+32%
|
64 409 075
+20%
|
77 915 717
+21%
|
108 995 334
+40%
|
124 755 428
+14%
|
148 792 615
+19%
|
164 055 578
+10%
|
172 638 682
+5%
|
183 120 540
+6%
|
199 175 053
+9%
|
213 541 797
+7%
|
207 204 418
-3%
|
211 287 370
+2%
|
218 067 091
+3%
|
204 462 542
-6%
|
212 431 881
+4%
|
222 010 050
+5%
|
243 958 575
+10%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
247 010
|
250 522
|
295 971
|
403 216
|
432 791
|
396 886
|
470 736
|
422 087
|
301 711
|
151 472
|
223 658
|
223 927
|
351 931
|
|
| Accrued Liabilities |
213 170
|
168 817
|
646 747
|
715 069
|
852 871
|
1 214 034
|
1 349 847
|
728 945
|
779 304
|
953 658
|
1 282 265
|
842 965
|
732 741
|
671 838
|
525 505
|
566 772
|
765 956
|
1 019 312
|
770 730
|
691 373
|
557 215
|
811 790
|
920 090
|
586 496
|
|
| Short-Term Debt |
95 491
|
0
|
719 692
|
0
|
0
|
769 264
|
3 346 225
|
0
|
503 887
|
4 653 892
|
3 665 163
|
5 362 547
|
2 569 087
|
3 216 927
|
4 606 512
|
1 606 876
|
8 138 487
|
0
|
4 910 465
|
2 518 308
|
6 902 041
|
2 408 299
|
20 310 475
|
32 851 300
|
|
| Current Portion of Long-Term Debt |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
257 687
|
2 091 066
|
3 851 067
|
1 707 128
|
870 255
|
798 293
|
2 085 806
|
1 991 992
|
1 998 408
|
0
|
3 899 307
|
0
|
0
|
|
| Total Deposits |
18 226 667
|
11 198 990
|
11 956 723
|
15 794 391
|
28 911 537
|
27 904 617
|
33 881 783
|
47 664 488
|
58 659 016
|
78 985 318
|
91 374 723
|
109 790 280
|
125 391 418
|
131 124 423
|
134 007 346
|
144 628 832
|
149 801 556
|
138 537 158
|
135 442 937
|
144 605 339
|
136 006 245
|
145 272 685
|
137 697 135
|
143 151 782
|
|
| Other Interest Bearing Liabilities |
68 941
|
29 496
|
102 324
|
198 688
|
249 619
|
554 653
|
893 367
|
690 439
|
516 905
|
503 849
|
849 994
|
1 063 267
|
1 838 152
|
1 675 217
|
1 577 080
|
1 801 972
|
2 276 597
|
2 412 250
|
2 583 493
|
2 506 155
|
2 083 313
|
2 137 042
|
1 641 363
|
1 418 048
|
|
| Other Current Liabilities |
45 091
|
37 173
|
42 388
|
212 054
|
83 779
|
202 261
|
307 156
|
94 822
|
227 052
|
136 305
|
268 626
|
254 787
|
269 083
|
300 564
|
242 473
|
251 771
|
163 470
|
309 404
|
274 298
|
108 670
|
140 359
|
222 169
|
221 735
|
144 922
|
|
| Total Current Liabilities |
353 752
|
205 990
|
1 408 827
|
927 123
|
936 650
|
2 185 559
|
5 003 228
|
823 767
|
1 510 243
|
5 743 855
|
5 216 054
|
6 964 996
|
5 912 499
|
8 336 367
|
7 484 834
|
3 728 465
|
10 263 092
|
3 885 258
|
8 369 572
|
5 618 470
|
7 751 087
|
7 565 223
|
21 676 227
|
33 934 649
|
|
| Long-Term Debt |
1 255 242
|
803 990
|
1 651 127
|
1 486 038
|
1 494 744
|
2 332 539
|
3 293 560
|
4 680 953
|
3 123 774
|
7 468 500
|
6 876 769
|
13 130 840
|
10 526 647
|
7 229 755
|
8 044 686
|
12 854 578
|
13 012 321
|
19 983 302
|
18 931 787
|
16 396 251
|
9 071 987
|
6 039 378
|
6 502 649
|
8 221 144
|
|
| Deferred Income Tax |
0
|
0
|
466
|
248
|
470
|
0
|
291
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Minority Interest |
0
|
0
|
288 176
|
357 539
|
431 990
|
500 743
|
819 738
|
791 277
|
904 613
|
1 071 795
|
1 649 390
|
1 243 386
|
1 408 415
|
2 254 648
|
2 455 010
|
2 585 907
|
2 306 833
|
3 001 022
|
3 067 156
|
3 236 981
|
3 102 154
|
3 315 198
|
3 607 669
|
3 745 266
|
|
| Other Liabilities |
202 402
|
200 655
|
284 231
|
651 737
|
509 783
|
422 266
|
2 078 531
|
1 718 065
|
2 309 055
|
2 797 058
|
4 539 652
|
195 467
|
428 429
|
1 216 029
|
1 200 385
|
1 960 406
|
1 899 500
|
1 639 333
|
1 517 867
|
1 480 544
|
1 002 163
|
701 459
|
1 180 191
|
1 163 336
|
|
| Total Liabilities |
20 107 004
N/A
|
12 439 121
-38%
|
15 691 874
+26%
|
19 415 764
+24%
|
32 534 793
+68%
|
33 900 377
+4%
|
45 970 498
+36%
|
56 368 989
+23%
|
67 023 606
+19%
|
96 570 375
+44%
|
110 506 582
+14%
|
132 388 236
+20%
|
145 505 560
+10%
|
151 836 439
+4%
|
154 769 341
+2%
|
167 560 160
+8%
|
179 559 899
+7%
|
169 458 323
-6%
|
169 912 812
+0%
|
173 843 740
+2%
|
159 016 949
-9%
|
165 030 985
+4%
|
172 305 234
+4%
|
191 634 225
+11%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
1 488 919
|
1 488 934
|
1 488 934
|
1 606 543
|
1 606 543
|
2 008 179
|
2 021 119
|
2 033 530
|
2 408 765
|
2 408 765
|
2 408 765
|
2 408 765
|
2 408 765
|
2 408 765
|
2 408 765
|
2 408 765
|
2 408 765
|
2 408 765
|
2 408 765
|
2 408 765
|
2 408 765
|
2 408 765
|
2 408 765
|
2 408 765
|
|
| Retained Earnings |
58 956
|
159 765
|
452 462
|
910 535
|
962 885
|
1 614 898
|
2 467 020
|
3 951 679
|
4 912 285
|
6 605 244
|
8 419 121
|
10 535 959
|
12 795 888
|
15 164 182
|
16 571 014
|
18 978 149
|
21 418 947
|
24 443 976
|
27 744 955
|
28 722 643
|
30 867 202
|
33 930 655
|
36 481 979
|
39 363 496
|
|
| Additional Paid In Capital |
1 034 117
|
1 034 142
|
1 034 142
|
1 251 719
|
1 251 719
|
2 242 574
|
2 281 394
|
2 318 626
|
3 444 330
|
3 444 330
|
3 444 330
|
3 444 330
|
3 444 330
|
3 444 330
|
3 444 330
|
3 444 330
|
3 444 330
|
3 444 330
|
3 444 330
|
3 440 707
|
3 440 707
|
3 440 707
|
3 440 707
|
3 440 707
|
|
| Unrealized Security Profit/Loss |
882 817
|
803 937
|
698 456
|
738 893
|
549 518
|
734 743
|
717 125
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Treasury Stock |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
610
|
610
|
610
|
610
|
610
|
|
| Other Equity |
17 362
|
14 713
|
13 753
|
13 985
|
13 986
|
13 994
|
13 489
|
263 749
|
126 731
|
33 380
|
23 370
|
15 325
|
98 965
|
215 034
|
5 927 090
|
6 783 649
|
6 709 856
|
7 449 024
|
7 776 508
|
9 651 846
|
8 729 529
|
7 621 379
|
7 373 975
|
7 111 992
|
|
| Total Equity |
3 482 171
N/A
|
3 501 491
+1%
|
3 687 747
+5%
|
4 521 675
+23%
|
4 384 651
-3%
|
6 614 388
+51%
|
7 500 147
+13%
|
8 040 086
+7%
|
10 892 111
+35%
|
12 424 959
+14%
|
14 248 846
+15%
|
16 404 379
+15%
|
18 550 018
+13%
|
20 802 243
+12%
|
28 351 199
+36%
|
31 614 893
+12%
|
33 981 898
+7%
|
37 746 095
+11%
|
41 374 558
+10%
|
44 223 351
+7%
|
45 445 593
+3%
|
47 400 896
+4%
|
49 704 816
+5%
|
52 324 350
+5%
|
|
| Total Liabilities & Equity |
23 589 175
N/A
|
15 940 612
-32%
|
19 379 621
+22%
|
23 937 439
+24%
|
36 919 444
+54%
|
40 514 765
+10%
|
53 470 645
+32%
|
64 409 075
+20%
|
77 915 717
+21%
|
108 995 334
+40%
|
124 755 428
+14%
|
148 792 615
+19%
|
164 055 578
+10%
|
172 638 682
+5%
|
183 120 540
+6%
|
199 175 053
+9%
|
213 541 797
+7%
|
207 204 418
-3%
|
211 287 370
+2%
|
218 067 091
+3%
|
204 462 542
-6%
|
212 431 881
+4%
|
222 010 050
+5%
|
243 958 575
+10%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
16 644
|
16 649
|
16 649
|
16 653
|
16 653
|
20 082
|
20 211
|
20 335
|
24 088
|
24 088
|
24 088
|
24 088
|
24 088
|
24 088
|
24 088
|
24 088
|
24 088
|
24 088
|
24 088
|
24 082
|
24 082
|
24 082
|
24 082
|
24 082
|
|