Summarecon Agung Tbk PT
F:RZU
Balance Sheet
Balance Sheet Decomposition
Summarecon Agung Tbk PT
Summarecon Agung Tbk PT
Balance Sheet
Summarecon Agung 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 | |||||||||||||||||||||||||
| Cash & Cash Equivalents |
100 245
|
85 504
|
219 697
|
114 975
|
213 556
|
116 749
|
301 320
|
260 830
|
633 169
|
1 120 483
|
1 495 901
|
2 427 999
|
2 544 845
|
1 695 077
|
1 503 546
|
2 076 201
|
1 473 752
|
1 523 848
|
1 664 424
|
1 656 482
|
2 773 938
|
3 142 558
|
3 292 877
|
3 292 827
|
|
| Cash |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
1 180 189
|
1 589 962
|
|
| Cash Equivalents |
100 245
|
85 504
|
219 697
|
114 975
|
213 556
|
116 749
|
301 320
|
260 830
|
633 169
|
1 120 483
|
1 495 901
|
2 427 999
|
2 544 845
|
1 695 077
|
1 503 546
|
2 076 201
|
1 473 752
|
1 523 848
|
1 664 424
|
1 656 482
|
2 773 938
|
3 142 558
|
2 112 688
|
1 702 865
|
|
| Short-Term Investments |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
1 214
|
1 207
|
375
|
104
|
107
|
146
|
60
|
5 163
|
171
|
3 641
|
3 968
|
13 676
|
14 074
|
|
| Total Receivables |
7 770
|
27 239
|
45 986
|
64 320
|
77 681
|
97 031
|
222 838
|
160 069
|
133 619
|
211 327
|
74 518
|
130 672
|
210 389
|
85 514
|
152 036
|
548 310
|
660 831
|
411 705
|
243 104
|
275 593
|
279 963
|
307 949
|
247 470
|
270 800
|
|
| Accounts Receivables |
4 732
|
24 198
|
2 831
|
21 958
|
30 569
|
54 901
|
153 448
|
87 723
|
43 704
|
89 372
|
34 427
|
106 418
|
178 708
|
76 412
|
145 921
|
539 087
|
645 416
|
393 868
|
220 913
|
256 538
|
249 079
|
293 871
|
235 912
|
258 031
|
|
| Other Receivables |
3 038
|
3 041
|
43 155
|
42 362
|
47 112
|
42 130
|
69 390
|
72 346
|
89 915
|
121 955
|
40 091
|
24 254
|
31 681
|
9 102
|
6 115
|
9 223
|
15 416
|
17 837
|
22 191
|
19 055
|
30 884
|
14 079
|
11 558
|
12 769
|
|
| Inventory |
170 182
|
204 022
|
219 226
|
193 407
|
454 587
|
519 195
|
395 475
|
653 761
|
712 901
|
1 308 433
|
2 741 082
|
2 819 764
|
3 058 266
|
3 103 252
|
4 924 807
|
5 531 047
|
6 498 457
|
7 890 253
|
8 514 332
|
9 186 988
|
9 253 913
|
9 959 606
|
10 906 023
|
10 741 416
|
|
| Other Current Assets |
10 291
|
52 523
|
68 981
|
67 229
|
109 695
|
225 736
|
168 279
|
267 030
|
321 539
|
728 216
|
703 289
|
699 392
|
641 254
|
581 490
|
709 189
|
543 152
|
554 674
|
672 229
|
723 721
|
769 683
|
719 081
|
876 540
|
1 102 183
|
1 084 850
|
|
| Total Current Assets |
288 487
|
369 288
|
553 890
|
439 931
|
855 519
|
958 711
|
1 087 912
|
1 341 690
|
1 801 228
|
3 368 460
|
5 014 791
|
6 079 041
|
6 455 960
|
5 465 707
|
7 289 682
|
8 698 817
|
9 187 860
|
10 498 095
|
11 150 745
|
11 888 918
|
13 030 536
|
14 290 621
|
15 562 229
|
15 403 966
|
|
| PP&E Net |
298 583
|
475 259
|
791 414
|
951 428
|
975 778
|
1 200 515
|
1 899 929
|
1 006 500
|
1 411 113
|
1 482 321
|
1 148 009
|
1 883 908
|
351 832
|
366 762
|
420 472
|
451 343
|
421 579
|
376 729
|
338 339
|
331 696
|
317 847
|
370 445
|
442 053
|
521 838
|
|
| PP&E Gross |
298 583
|
475 259
|
791 414
|
951 428
|
975 778
|
1 200 515
|
1 899 929
|
1 006 500
|
1 411 113
|
1 482 321
|
1 148 009
|
1 883 908
|
351 832
|
366 762
|
420 472
|
451 343
|
421 579
|
376 729
|
338 339
|
331 696
|
317 847
|
370 445
|
442 053
|
521 838
|
|
| Accumulated Depreciation |
75 663
|
90 251
|
119 474
|
152 862
|
195 706
|
243 635
|
284 167
|
109 957
|
137 258
|
177 616
|
171 345
|
217 234
|
262 157
|
325 281
|
409 341
|
504 485
|
592 647
|
626 452
|
703 042
|
749 396
|
795 351
|
849 111
|
904 479
|
972 677
|
|
| Note Receivable |
92 740
|
94 016
|
2 532
|
2 127
|
739
|
399
|
953
|
813
|
2 541
|
5 647
|
2 524
|
111
|
65 579
|
524
|
56 096
|
39 863
|
40 101
|
51 114
|
44 108
|
55 065
|
35 871
|
67 056
|
22 365
|
18 296
|
|
| Long-Term Investments |
41 300
|
9 654
|
92 598
|
76 629
|
21 280
|
24 035
|
30 144
|
1 280 832
|
1 244 874
|
1 282 418
|
1 929 125
|
2 642 680
|
6 349 734
|
8 460 407
|
10 148 201
|
10 870 984
|
11 185 275
|
11 538 747
|
11 977 030
|
11 803 676
|
11 606 143
|
12 559 503
|
13 711 123
|
16 093 544
|
|
| Other Long-Term Assets |
0
|
1 384
|
3 258
|
8 824
|
11 443
|
8 157
|
10 545
|
134
|
522
|
795
|
4 727
|
270 646
|
436 032
|
1 086 079
|
843 811
|
749 313
|
828 137
|
834 557
|
931 435
|
843 180
|
1 059 320
|
1 145 950
|
1 430 606
|
1 496 456
|
|
| Total Assets |
721 111
N/A
|
949 602
+32%
|
1 443 691
+52%
|
1 478 941
+2%
|
1 864 759
+26%
|
2 191 817
+18%
|
3 029 483
+38%
|
3 629 969
+20%
|
4 460 277
+23%
|
6 139 640
+38%
|
8 099 175
+32%
|
10 876 387
+34%
|
13 659 137
+26%
|
15 379 479
+13%
|
18 758 262
+22%
|
20 810 320
+11%
|
21 662 951
+4%
|
23 299 242
+8%
|
24 441 657
+5%
|
24 922 534
+2%
|
26 049 717
+5%
|
28 433 575
+9%
|
31 168 375
+10%
|
33 534 100
+8%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
23 976
|
30 799
|
25 569
|
12 613
|
111 015
|
93 783
|
66 967
|
60 245
|
62 785
|
181 665
|
246 765
|
184 225
|
63 235
|
64 656
|
63 007
|
57 614
|
80 937
|
76 741
|
86 134
|
80 677
|
70 858
|
87 415
|
91 416
|
93 362
|
|
| Accrued Liabilities |
27 073
|
16 092
|
14 689
|
22 255
|
19 727
|
24 649
|
32 732
|
28 388
|
69 262
|
157 754
|
166 780
|
313 975
|
400 213
|
405 627
|
1 697 307
|
1 515 289
|
1 195 747
|
1 026 276
|
1 174 972
|
740 073
|
816 056
|
1 104 004
|
1 119 978
|
797 254
|
|
| Short-Term Debt |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
13 249
|
74 996
|
289 308
|
808 553
|
1 040 799
|
905 840
|
1 782 155
|
2 139 382
|
2 670 935
|
1 590 250
|
2 048 662
|
2 766 358
|
5 533 875
|
|
| Current Portion of Long-Term Debt |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
430 541
|
169 303
|
216 736
|
174 880
|
361 511
|
1 488 750
|
1 931 514
|
2 512 622
|
1 299 154
|
1 328 731
|
606 555
|
992 427
|
711 002
|
|
| Other Current Liabilities |
189 516
|
313 484
|
484 875
|
445 560
|
605 453
|
525 133
|
758 489
|
770 293
|
1 570 488
|
2 826 590
|
4 009 389
|
4 255 501
|
4 334 504
|
3 016 271
|
1 665 939
|
1 242 158
|
2 604 553
|
2 412 532
|
3 104 222
|
3 568 316
|
3 162 871
|
5 654 639
|
6 815 535
|
5 749 392
|
|
| Total Current Liabilities |
240 565
|
360 376
|
525 133
|
480 429
|
736 195
|
643 565
|
858 188
|
858 926
|
1 702 536
|
3 166 008
|
4 422 934
|
5 197 490
|
5 042 251
|
3 992 598
|
4 409 686
|
4 217 372
|
6 275 828
|
7 229 217
|
9 017 332
|
8 359 155
|
6 968 766
|
9 501 274
|
11 785 714
|
12 884 885
|
|
| Long-Term Debt |
114 400
|
150 792
|
371 579
|
320 736
|
262 790
|
542 270
|
629 048
|
1 160 858
|
996 595
|
773 047
|
1 140 280
|
678 349
|
2 257 164
|
3 876 437
|
5 214 386
|
6 024 332
|
5 589 119
|
4 892 933
|
4 317 002
|
5 487 991
|
4 126 042
|
3 289 565
|
3 444 561
|
4 299 118
|
|
| Deferred Income Tax |
3 320
|
1 459
|
0
|
0
|
28
|
0
|
23
|
1 540
|
1 448
|
1 540
|
1 461
|
1 365
|
1 157
|
1 068
|
1 150
|
2 291
|
3 713
|
3 156
|
32 211
|
25 158
|
19 387
|
17 986
|
14 571
|
13 099
|
|
| Minority Interest |
213
|
212
|
194
|
610
|
1 468
|
992
|
5 959
|
6 410
|
7 021
|
17 647
|
12 904
|
176 539
|
226 805
|
495 769
|
1 516 936
|
1 922 597
|
1 843 841
|
2 157 113
|
2 083 714
|
2 239 843
|
2 569 055
|
2 552 635
|
2 476 252
|
2 784 662
|
|
| Other Liabilities |
1 637
|
848
|
8 238
|
29 286
|
27 128
|
29 249
|
31 004
|
33 050
|
34 900
|
41 511
|
57 401
|
1 183 783
|
1 700 898
|
1 516 740
|
1 603 289
|
2 400 770
|
1 440 549
|
2 113 232
|
1 623 752
|
1 964 541
|
3 705 298
|
3 874 709
|
3 620 467
|
2 504 471
|
|
| Total Liabilities |
360 136
N/A
|
513 687
+43%
|
905 144
+76%
|
831 060
-8%
|
1 027 609
+24%
|
1 216 076
+18%
|
1 524 222
+25%
|
2 060 785
+35%
|
2 742 500
+33%
|
3 999 754
+46%
|
5 634 979
+41%
|
7 237 526
+28%
|
9 228 275
+28%
|
9 882 612
+7%
|
12 745 448
+29%
|
14 567 361
+14%
|
15 153 049
+4%
|
16 395 651
+8%
|
17 074 011
+4%
|
18 076 688
+6%
|
17 388 549
-4%
|
19 236 169
+11%
|
21 341 565
+11%
|
22 486 235
+5%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
170 321
|
187 353
|
187 353
|
187 353
|
196 720
|
275 409
|
321 310
|
643 579
|
643 680
|
687 314
|
687 314
|
721 339
|
1 442 678
|
1 442 678
|
1 442 678
|
1 442 678
|
1 442 678
|
1 442 678
|
1 442 678
|
1 442 678
|
1 650 857
|
1 650 857
|
1 650 857
|
1 650 857
|
|
| Retained Earnings |
174 232
|
226 180
|
328 811
|
438 145
|
555 631
|
694 222
|
818 258
|
877 002
|
1 025 038
|
1 207 161
|
1 531 470
|
2 171 202
|
2 963 203
|
4 029 681
|
4 545 366
|
4 775 726
|
5 042 670
|
5 436 359
|
5 900 414
|
5 381 836
|
5 704 773
|
6 241 011
|
6 870 415
|
8 091 471
|
|
| Additional Paid In Capital |
16 421
|
22 382
|
22 382
|
22 382
|
84 799
|
6 111
|
365 693
|
48 547
|
49 002
|
245 356
|
245 356
|
744 335
|
22 996
|
22 996
|
22 996
|
22 996
|
22 996
|
22 996
|
22 996
|
22 996
|
1 307 203
|
1 307 203
|
1 307 203
|
1 307 203
|
|
| Other Equity |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
57
|
57
|
57
|
57
|
1 984
|
1 984
|
1 511
|
1 773
|
1 557
|
1 557
|
1 557
|
1 557
|
1 665
|
1 665
|
1 665
|
1 665
|
1 665
|
|
| Total Equity |
360 974
N/A
|
435 915
+21%
|
538 547
+24%
|
647 880
+20%
|
837 150
+29%
|
975 742
+17%
|
1 505 262
+54%
|
1 569 184
+4%
|
1 717 777
+9%
|
2 139 887
+25%
|
2 464 196
+15%
|
3 638 861
+48%
|
4 430 862
+22%
|
5 496 867
+24%
|
6 012 814
+9%
|
6 242 958
+4%
|
6 509 901
+4%
|
6 903 591
+6%
|
7 367 646
+7%
|
6 845 846
-7%
|
8 661 168
+27%
|
9 197 406
+6%
|
9 826 810
+7%
|
11 047 866
+12%
|
|
| Total Liabilities & Equity |
721 111
N/A
|
949 602
+32%
|
1 443 691
+52%
|
1 478 941
+2%
|
1 864 759
+26%
|
2 191 817
+18%
|
3 029 483
+38%
|
3 629 969
+20%
|
4 460 277
+23%
|
6 139 640
+38%
|
8 099 175
+32%
|
10 876 387
+34%
|
13 659 137
+26%
|
15 379 479
+13%
|
18 758 262
+22%
|
20 810 320
+11%
|
21 662 951
+4%
|
23 299 242
+8%
|
24 441 657
+5%
|
24 922 534
+2%
|
26 049 717
+5%
|
28 433 575
+9%
|
31 168 375
+10%
|
33 534 100
+8%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
11 173
|
11 173
|
11 173
|
11 173
|
11 732
|
11 732
|
12 852
|
12 872
|
12 874
|
13 746
|
13 746
|
14 427
|
14 427
|
14 427
|
14 427
|
14 889
|
14 889
|
14 889
|
14 889
|
14 889
|
16 509
|
16 509
|
16 509
|
16 509
|
|