Bakrie & Brothers Tbk PT
IDX:BNBR
Balance Sheet
Balance Sheet Decomposition
Bakrie & Brothers Tbk PT
Bakrie & Brothers Tbk PT
Balance Sheet
Bakrie & Brothers Tbk PT
| 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 | Dec-2025 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Assets | |||||||||||||||||||||||||
| Cash & Cash Equivalents |
127 821
|
64 710
|
112 683
|
408 624
|
537 672
|
883 975
|
1 049 517
|
1 350 221
|
742 278
|
486 605
|
135 959
|
161 468
|
270 981
|
356 022
|
145 159
|
123 653
|
97 660
|
124 945
|
78 781
|
154 329
|
186 061
|
325 099
|
165 109
|
236 099
|
|
| Cash |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
135 959
|
161 468
|
270 981
|
356 022
|
145 159
|
123 653
|
97 660
|
124 945
|
78 781
|
154 329
|
186 061
|
325 099
|
165 109
|
236 099
|
|
| Cash Equivalents |
127 821
|
64 710
|
112 683
|
408 624
|
537 672
|
883 975
|
1 049 517
|
1 350 221
|
742 278
|
486 605
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Short-Term Investments |
13 484
|
12 917
|
10 210
|
60 409
|
258 569
|
627 211
|
1 140 545
|
588 544
|
8 043 577
|
4 960 406
|
2 957 714
|
2 977 998
|
2 597 122
|
500 758
|
557 249
|
510 440
|
6 974 544
|
7 701 761
|
8 366 174
|
9 444 547
|
12 100 689
|
1 141 089
|
857 892
|
1 321 719
|
|
| Total Receivables |
283 285
|
249 473
|
213 338
|
615 056
|
708 890
|
1 495 268
|
1 199 713
|
1 072 270
|
4 618 408
|
5 389 173
|
3 479 821
|
2 978 422
|
1 630 984
|
1 471 391
|
1 492 014
|
1 149 825
|
2 144 253
|
2 423 654
|
1 414 367
|
1 517 733
|
1 132 092
|
1 045 245
|
1 325 466
|
1 073 567
|
|
| Accounts Receivables |
262 010
|
245 586
|
210 589
|
490 917
|
546 441
|
810 549
|
1 110 725
|
925 490
|
1 069 460
|
5 249 999
|
3 341 431
|
2 755 011
|
1 579 936
|
1 161 637
|
1 046 516
|
392 299
|
808 261
|
1 062 145
|
881 225
|
1 004 738
|
974 687
|
807 732
|
797 776
|
685 549
|
|
| Other Receivables |
21 275
|
3 887
|
2 749
|
124 139
|
162 449
|
684 719
|
88 988
|
146 780
|
3 548 948
|
139 174
|
138 390
|
223 411
|
51 048
|
309 754
|
445 498
|
757 526
|
1 335 992
|
1 361 509
|
533 142
|
512 995
|
157 405
|
237 513
|
527 690
|
388 018
|
|
| Inventory |
201 178
|
125 098
|
138 304
|
392 545
|
443 910
|
435 836
|
600 956
|
515 555
|
455 486
|
492 062
|
503 687
|
885 790
|
911 627
|
629 595
|
680 133
|
558 791
|
825 956
|
705 325
|
511 113
|
638 574
|
553 396
|
1 013 994
|
957 931
|
626 371
|
|
| Other Current Assets |
112 138
|
270 564
|
102 296
|
162 791
|
415 895
|
752 835
|
1 229 832
|
789 165
|
1 015 285
|
348 431
|
312 571
|
299 980
|
176 550
|
259 311
|
265 508
|
298 437
|
342 726
|
303 517
|
229 200
|
211 131
|
323 582
|
418 489
|
322 706
|
1 160 391
|
|
| Total Current Assets |
737 906
|
722 762
|
576 831
|
1 639 425
|
2 364 935
|
4 195 126
|
5 220 563
|
4 315 755
|
14 875 033
|
11 676 677
|
7 389 752
|
7 303 658
|
5 587 264
|
3 217 077
|
3 140 063
|
2 641 146
|
10 385 139
|
11 259 202
|
10 599 635
|
11 966 314
|
14 295 820
|
3 943 916
|
3 629 104
|
4 418 147
|
|
| PP&E Net |
2 118 035
|
2 172 101
|
2 282 103
|
3 119 563
|
3 691 080
|
6 566 795
|
8 705 940
|
12 865 937
|
11 767 646
|
2 552 840
|
2 663 456
|
2 578 293
|
2 569 317
|
2 455 787
|
2 509 218
|
3 164 300
|
2 328 449
|
2 108 395
|
1 881 875
|
1 754 550
|
1 632 431
|
1 736 237
|
1 954 331
|
2 064 430
|
|
| PP&E Gross |
2 118 035
|
2 172 101
|
2 282 103
|
3 119 563
|
3 691 080
|
6 566 795
|
8 705 940
|
12 865 937
|
11 767 646
|
2 552 840
|
2 663 456
|
2 578 293
|
2 569 317
|
2 455 787
|
2 509 218
|
3 164 300
|
2 328 449
|
2 108 395
|
1 881 875
|
1 754 550
|
1 632 431
|
1 736 237
|
1 954 331
|
2 064 430
|
|
| Accumulated Depreciation |
909 172
|
822 850
|
915 061
|
1 336 580
|
1 561 885
|
1 974 375
|
2 560 810
|
3 622 376
|
4 087 947
|
785 215
|
902 581
|
1 154 519
|
1 258 124
|
1 473 054
|
1 511 772
|
1 540 226
|
1 787 296
|
1 858 345
|
2 112 275
|
2 260 909
|
2 305 263
|
2 360 826
|
2 439 984
|
2 585 861
|
|
| Intangible Assets |
550 753
|
551 594
|
546 758
|
300 603
|
305 302
|
389 390
|
752 823
|
707 525
|
117 955
|
184 429
|
283 634
|
201 533
|
259 917
|
222 114
|
125 297
|
18 399
|
30 748
|
26 210
|
48 020
|
63 554
|
55 877
|
61 940
|
67 382
|
15 065 447
|
|
| Goodwill |
3 549
|
3 387
|
18 854
|
89 908
|
84 978
|
539 174
|
512 585
|
485 800
|
2 693
|
4 686
|
3 763
|
3 763
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Note Receivable |
772 609
|
784 110
|
785 248
|
869 201
|
1 170 827
|
753 597
|
1 997 939
|
1 551 667
|
152 738
|
156 209
|
62 436
|
340 727
|
365 655
|
226 158
|
224 062
|
727 281
|
723 326
|
282 778
|
189 059
|
220 401
|
43 212
|
30 821
|
17 006
|
31 825
|
|
| Long-Term Investments |
632 950
|
480 465
|
823 978
|
497 463
|
478 937
|
768 066
|
6 850 290
|
6 366 419
|
417 812
|
8 099 774
|
642 674
|
1 127 967
|
1 766 414
|
2 710 816
|
191 769
|
453 012
|
653 015
|
273 067
|
1 002 718
|
1 002 793
|
1 099 368
|
1 002 709
|
543 867
|
537 524
|
|
| Other Long-Term Assets |
394 576
|
408 510
|
185 485
|
496 719
|
570 700
|
925 108
|
1 377 826
|
1 088 654
|
4 434 152
|
2 538 035
|
4 611 872
|
310 720
|
762 164
|
391 504
|
368 029
|
269 026
|
214 431
|
414 886
|
270 479
|
211 094
|
336 116
|
325 983
|
617 799
|
1 450 190
|
|
| Other Assets |
3 549
|
3 387
|
18 854
|
89 908
|
84 978
|
539 174
|
512 585
|
485 800
|
2 693
|
4 686
|
3 763
|
3 763
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Total Assets |
5 210 377
N/A
|
5 122 929
-2%
|
5 219 257
+2%
|
7 012 882
+34%
|
8 666 760
+24%
|
14 137 256
+63%
|
25 417 966
+80%
|
27 381 757
+8%
|
31 768 029
+16%
|
25 212 651
-21%
|
15 657 587
-38%
|
11 866 660
-24%
|
11 314 495
-5%
|
9 223 456
-18%
|
6 558 438
-29%
|
7 273 164
+11%
|
14 335 108
+97%
|
14 364 538
+0%
|
13 991 786
-3%
|
15 218 706
+9%
|
17 462 824
+15%
|
7 101 606
-59%
|
6 829 489
-4%
|
23 567 563
+245%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
248 180
|
138 580
|
191 570
|
521 446
|
376 989
|
471 207
|
1 071 092
|
1 839 497
|
1 959 641
|
804 805
|
528 019
|
1 027 883
|
1 029 859
|
489 202
|
595 295
|
543 716
|
822 014
|
736 843
|
423 168
|
405 402
|
591 166
|
666 040
|
761 031
|
906 985
|
|
| Accrued Liabilities |
119 013
|
92 082
|
85 862
|
170 664
|
276 628
|
404 894
|
438 298
|
1 103 197
|
1 491 967
|
945 611
|
406 901
|
1 453 315
|
1 000 455
|
1 472 516
|
1 193 952
|
1 484 343
|
799 729
|
765 815
|
875 753
|
1 022 597
|
842 986
|
598 284
|
151 020
|
280 284
|
|
| Short-Term Debt |
203 455
|
5 672
|
426 408
|
125 469
|
218 000
|
1 965 834
|
5 885 379
|
2 637 390
|
2 177 252
|
7 237 717
|
3 639 854
|
4 279 300
|
3 584 652
|
2 290 237
|
1 712 927
|
699 838
|
585 731
|
469 647
|
452 911
|
546 673
|
1 065 171
|
1 278 706
|
768 683
|
1 836 563
|
|
| Current Portion of Long-Term Debt |
73 927
|
224 113
|
218 184
|
15 532
|
68 269
|
87 774
|
190 746
|
609 522
|
452 800
|
2 336 524
|
94 990
|
159 823
|
2 266 019
|
2 882 221
|
3 438 869
|
3 412 772
|
1 534 950
|
1 465 964
|
1 506 401
|
1 528 575
|
825 256
|
873 581
|
130 497
|
352 964
|
|
| Other Current Liabilities |
415 977
|
368 056
|
289 733
|
284 096
|
279 420
|
423 520
|
2 028 909
|
613 853
|
264 341
|
268 242
|
264 655
|
3 125 843
|
3 932 233
|
4 502 463
|
4 774 555
|
5 588 646
|
6 925 148
|
7 676 974
|
8 595 188
|
9 825 669
|
12 010 193
|
539 985
|
339 333
|
219 205
|
|
| Total Current Liabilities |
1 060 552
|
828 502
|
1 211 757
|
1 117 207
|
1 219 306
|
3 353 229
|
9 614 424
|
6 803 459
|
6 346 001
|
11 592 899
|
4 934 419
|
10 046 164
|
11 813 217
|
11 636 639
|
11 715 598
|
11 729 315
|
10 667 572
|
11 115 243
|
11 853 421
|
13 328 916
|
15 334 772
|
3 956 596
|
2 150 564
|
3 596 001
|
|
| Long-Term Debt |
1 746 875
|
1 904 928
|
1 951 740
|
1 115 295
|
1 763 146
|
3 639 583
|
4 005 163
|
10 979 424
|
10 138 637
|
1 230 133
|
2 704 495
|
3 342 678
|
1 145 842
|
871 439
|
153 171
|
138 190
|
256 791
|
229 036
|
183 822
|
154 595
|
148 879
|
32 337
|
334 051
|
14 833 876
|
|
| Deferred Income Tax |
12 155
|
92 167
|
34 258
|
150 097
|
180 020
|
255 036
|
296 025
|
329 973
|
397 152
|
123 015
|
116 929
|
140 312
|
141 356
|
148 302
|
197 905
|
176 737
|
171 540
|
145 920
|
101 694
|
114 010
|
123 793
|
125 054
|
111 667
|
102 949
|
|
| Minority Interest |
77 344
|
88 211
|
73 435
|
471 170
|
1 026 358
|
1 981 950
|
4 019 109
|
4 161 723
|
2 955 187
|
216 107
|
76 718
|
205 440
|
19 253
|
16 810
|
25 206
|
16 408
|
6 886
|
9 389
|
4 307
|
30 242
|
93 716
|
482 747
|
656 794
|
818 494
|
|
| Other Liabilities |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
99 198
|
1 238 980
|
99 987
|
2 442 402
|
361 628
|
399 639
|
474 645
|
543 785
|
611 216
|
560 166
|
519 661
|
408 162
|
326 344
|
329 132
|
326 956
|
321 541
|
363 073
|
|
| Total Liabilities |
2 896 926
N/A
|
2 913 808
+1%
|
3 271 191
+12%
|
2 853 769
-13%
|
4 188 830
+47%
|
9 229 798
+120%
|
17 934 722
+94%
|
22 373 776
+25%
|
21 075 958
-6%
|
13 262 142
-37%
|
10 274 963
-23%
|
14 096 222
+37%
|
13 519 308
-4%
|
13 114 215
-3%
|
12 585 253
-4%
|
12 639 050
+0%
|
11 649 183
-8%
|
12 019 249
+3%
|
12 551 406
+4%
|
13 954 107
+11%
|
16 030 292
+15%
|
4 923 690
-69%
|
3 574 617
-27%
|
19 714 393
+452%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
3 545 662
|
3 545 662
|
3 545 662
|
5 467 681
|
5 467 681
|
5 467 681
|
21 514 997
|
21 514 997
|
21 514 997
|
12 263 548
|
12 263 548
|
12 263 548
|
12 263 548
|
12 263 548
|
12 428 548
|
13 254 241
|
14 189 464
|
14 235 002
|
14 235 002
|
14 383 908
|
14 845 717
|
23 675 988
|
4 764 178
|
4 764 178
|
|
| Retained Earnings |
2 364 726
|
2 342 068
|
2 604 243
|
2 344 021
|
2 128 521
|
1 905 163
|
17 760 497
|
19 997 257
|
27 746 282
|
370 211
|
497 985
|
12 228 320
|
12 078 461
|
13 594 463
|
17 021 320
|
18 634 952
|
19 895 922
|
19 042 966
|
20 098 328
|
20 035 888
|
19 769 754
|
19 532 286
|
327 590
|
821 442
|
|
| Additional Paid In Capital |
677 065
|
677 065
|
677 065
|
631 400
|
631 400
|
631 400
|
24 533 082
|
24 533 082
|
24 533 082
|
61 728
|
61 728
|
61 728
|
61 728
|
2 559 844
|
2 256 948
|
1 395 308
|
1 395 308
|
2 504 322
|
2 504 322
|
2 504 322
|
2 504 322
|
2 504 322
|
1 750 758
|
1 750 758
|
|
| Unrealized Security Profit/Loss |
0
|
0
|
0
|
266
|
373
|
308
|
2 658
|
1 092
|
2 298 030
|
763 644
|
4 997 878
|
0
|
0
|
0
|
0
|
124 903
|
2 125
|
1 901
|
2 312
|
2 200
|
2 985
|
2 598
|
174
|
0
|
|
| Other Equity |
455 451
|
328 462
|
329 583
|
403 786
|
506 996
|
713 231
|
20 806 995
|
21 043 934
|
9 907 756
|
18 665
|
2 442 760
|
2 326 518
|
2 411 455
|
0
|
822 905
|
1 285 230
|
9 785 566
|
9 655 674
|
9 805 716
|
9 418 701
|
8 857 906
|
535 938
|
86 312
|
18 308
|
|
| Total Equity |
2 313 451
N/A
|
2 209 121
-5%
|
1 948 067
-12%
|
4 159 113
+113%
|
4 477 930
+8%
|
4 907 458
+10%
|
7 483 244
+52%
|
5 007 981
-33%
|
10 692 072
+114%
|
11 950 509
+12%
|
5 382 623
-55%
|
2 229 561
N/A
|
2 204 813
+1%
|
3 890 759
-76%
|
6 026 815
-55%
|
5 365 886
+11%
|
2 685 925
N/A
|
2 345 289
-13%
|
1 440 380
-39%
|
1 264 599
-12%
|
1 432 532
+13%
|
2 177 916
+52%
|
3 254 872
+49%
|
3 853 170
+18%
|
|
| Total Liabilities & Equity |
5 210 377
N/A
|
5 122 929
-2%
|
5 219 257
+2%
|
7 012 882
+34%
|
8 666 760
+24%
|
14 137 256
+63%
|
25 417 966
+80%
|
27 381 757
+8%
|
31 768 029
+16%
|
25 212 651
-21%
|
15 657 587
-38%
|
11 866 660
-24%
|
11 314 495
-5%
|
9 223 456
-18%
|
6 558 438
-29%
|
7 273 164
+11%
|
14 335 108
+97%
|
14 364 538
+0%
|
13 991 786
-3%
|
15 218 706
+9%
|
17 462 824
+15%
|
7 101 606
-59%
|
6 829 489
-4%
|
23 567 563
+245%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
472
|
472
|
472
|
1 372
|
1 372
|
1 372
|
9 372
|
9 372
|
9 372
|
9 372
|
9 372
|
9 372
|
9 372
|
9 372
|
9 702
|
11 354
|
20 772
|
20 863
|
20 863
|
21 161
|
22 084
|
160 057
|
173 417
|
173 417
|
|