Berlina Tbk PT
IDX:BRNA
Balance Sheet
Balance Sheet Decomposition
Berlina Tbk PT
Berlina Tbk PT
Balance Sheet
Berlina 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 |
52 426
|
52 358
|
33 114
|
56 714
|
42 951
|
37 893
|
28 878
|
44 264
|
48 391
|
41 506
|
39 517
|
43 733
|
180 955
|
107 952
|
91 619
|
175 195
|
67 553
|
101 956
|
58 011
|
0
|
0
|
0
|
48 691
|
34 407
|
|
| Cash |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
73 003
|
107 952
|
0
|
0
|
67 553
|
101 956
|
58 011
|
0
|
0
|
0
|
48 691
|
34 407
|
|
| Cash Equivalents |
52 426
|
52 358
|
33 114
|
56 714
|
42 951
|
37 893
|
28 878
|
44 264
|
48 391
|
41 506
|
39 517
|
43 733
|
107 952
|
0
|
91 619
|
175 195
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Short-Term Investments |
10 799
|
3 554
|
3 595
|
87 705
|
67 314
|
57 492
|
21 364
|
9 412
|
10 222
|
5 104
|
4 919
|
5 048
|
3 754
|
3 823
|
4 105
|
3 754
|
4 710
|
3 995
|
178
|
99
|
91
|
126
|
152
|
97
|
|
| Total Receivables |
26 529
|
24 000
|
23 527
|
38 580
|
40 376
|
44 393
|
79 638
|
104 137
|
145 505
|
141 818
|
143 447
|
146 026
|
302 724
|
232 367
|
244 366
|
302 724
|
317 029
|
328 147
|
241 303
|
194 826
|
191 118
|
190 448
|
188 954
|
188 487
|
|
| Accounts Receivables |
26 134
|
23 414
|
22 628
|
37 827
|
38 683
|
42 751
|
78 576
|
100 164
|
139 859
|
136 491
|
132 921
|
137 091
|
298 868
|
226 734
|
240 232
|
298 868
|
311 212
|
302 574
|
237 679
|
192 435
|
190 436
|
188 131
|
188 164
|
187 897
|
|
| Other Receivables |
395
|
586
|
899
|
753
|
1 693
|
1 642
|
1 062
|
3 973
|
5 646
|
5 327
|
10 526
|
8 935
|
3 856
|
5 633
|
4 134
|
3 856
|
5 817
|
25 572
|
3 624
|
2 391
|
683
|
2 317
|
790
|
590
|
|
| Inventory |
25 306
|
29 082
|
25 549
|
28 447
|
37 278
|
45 998
|
41 165
|
55 005
|
67 052
|
78 682
|
93 563
|
115 736
|
234 450
|
184 314
|
202 459
|
234 450
|
236 755
|
296 479
|
246 229
|
166 792
|
159 032
|
164 377
|
142 171
|
156 645
|
|
| Other Current Assets |
708
|
4 410
|
1 062
|
540
|
2 962
|
1 659
|
4 604
|
9 773
|
12 460
|
27 176
|
16 504
|
22 619
|
61 194
|
52 564
|
41 480
|
61 194
|
92 710
|
81 221
|
119 555
|
38 684
|
26 414
|
13 974
|
7 244
|
4 569
|
|
| Total Current Assets |
115 768
|
113 404
|
86 847
|
211 986
|
190 882
|
187 435
|
175 649
|
222 591
|
283 629
|
294 286
|
297 952
|
333 162
|
777 316
|
581 020
|
584 029
|
777 316
|
718 758
|
811 798
|
665 275
|
459 210
|
405 198
|
395 075
|
387 211
|
384 205
|
|
| PP&E Net |
71 146
|
121 031
|
160 006
|
173 017
|
188 294
|
202 438
|
195 360
|
199 934
|
214 234
|
246 846
|
335 848
|
427 232
|
1 196 817
|
719 369
|
1 202 090
|
1 196 817
|
1 126 410
|
1 504 943
|
1 498 165
|
1 434 365
|
1 590 748
|
1 447 480
|
1 307 141
|
1 781 281
|
|
| PP&E Gross |
71 146
|
121 031
|
160 006
|
173 017
|
188 294
|
202 438
|
195 360
|
199 934
|
214 234
|
246 846
|
335 848
|
427 232
|
1 196 817
|
719 369
|
1 202 090
|
1 196 817
|
1 126 410
|
1 504 943
|
1 498 165
|
1 434 365
|
1 590 748
|
1 447 480
|
1 307 141
|
1 781 281
|
|
| Accumulated Depreciation |
62 794
|
76 040
|
88 553
|
109 211
|
132 099
|
152 407
|
175 469
|
206 951
|
235 357
|
269 281
|
311 116
|
358 256
|
278 245
|
494 368
|
144 324
|
278 245
|
377 747
|
71 629
|
239 414
|
441 362
|
289 135
|
482 962
|
634 681
|
347 244
|
|
| Intangible Assets |
6 389
|
5 857
|
6 431
|
0
|
0
|
0
|
0
|
2 662
|
2 130
|
1 597
|
1 597
|
757
|
65 692
|
7 227
|
26 093
|
65 692
|
58 624
|
51 256
|
44 017
|
36 856
|
15 345
|
11 481
|
8 422
|
119
|
|
| Goodwill |
0
|
0
|
0
|
5 775
|
5 120
|
4 096
|
3 195
|
0
|
0
|
0
|
0
|
1 597
|
20 531
|
20 531
|
0
|
20 531
|
20 531
|
20 531
|
20 531
|
20 531
|
0
|
0
|
0
|
0
|
|
| Note Receivable |
5 736
|
7 132
|
10 862
|
10 251
|
6 999
|
8 262
|
7 916
|
5 777
|
3 021
|
2 255
|
2 255
|
2 255
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Long-Term Investments |
3 582
|
7 037
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
9 875
|
0
|
4 615
|
9 875
|
9 340
|
9 154
|
9 157
|
0
|
0
|
0
|
0
|
0
|
|
| Other Long-Term Assets |
9 042
|
4 849
|
2 411
|
5 956
|
7 097
|
5 878
|
5 153
|
1 678
|
4 213
|
5 923
|
6 312
|
5 381
|
18 465
|
5 940
|
3 957
|
18 465
|
31 215
|
63 645
|
25 968
|
14 757
|
9 350
|
15 923
|
18 722
|
20 765
|
|
| Other Assets |
0
|
0
|
0
|
5 775
|
5 120
|
4 096
|
3 195
|
0
|
0
|
0
|
0
|
1 597
|
20 531
|
20 531
|
0
|
20 531
|
20 531
|
20 531
|
20 531
|
20 531
|
0
|
0
|
0
|
0
|
|
| Total Assets |
211 662
N/A
|
259 311
+23%
|
266 556
+3%
|
406 984
+53%
|
398 392
-2%
|
408 108
+2%
|
387 273
-5%
|
432 642
+12%
|
507 226
+17%
|
550 907
+9%
|
643 964
+17%
|
770 384
+20%
|
2 088 697
+171%
|
1 334 086
-36%
|
1 820 784
+36%
|
2 088 697
+15%
|
1 964 877
-6%
|
2 461 326
+25%
|
2 263 113
-8%
|
1 965 719
-13%
|
2 020 640
+3%
|
1 869 960
-7%
|
1 721 497
-8%
|
2 186 370
+27%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
19 524
|
16 393
|
19 654
|
21 707
|
36 940
|
39 496
|
40 499
|
44 963
|
70 185
|
70 986
|
98 778
|
122 674
|
179 589
|
167 710
|
180 772
|
179 589
|
182 844
|
244 577
|
216 139
|
190 983
|
173 086
|
137 545
|
113 912
|
108 595
|
|
| Accrued Liabilities |
1 379
|
810
|
1 796
|
5 111
|
3 686
|
5 121
|
8 581
|
7 974
|
6 428
|
6 827
|
11 923
|
9 334
|
23 897
|
22 990
|
25 649
|
23 897
|
27 448
|
23 161
|
37 351
|
33 432
|
43 123
|
45 005
|
37 337
|
34 985
|
|
| Short-Term Debt |
17 900
|
5 248
|
23 778
|
7 037
|
8 791
|
9 418
|
6 443
|
24 014
|
52 235
|
60 080
|
80 072
|
82 714
|
243 689
|
221 904
|
195 111
|
243 689
|
304 395
|
391 716
|
421 142
|
351 937
|
327 305
|
244 063
|
84 244
|
105 570
|
|
| Current Portion of Long-Term Debt |
12 122
|
22 159
|
22 887
|
15 180
|
2 779
|
44 539
|
1 762
|
1 064
|
26 607
|
65 127
|
87 522
|
110 654
|
98 328
|
129 824
|
91 966
|
98 328
|
125 295
|
145 416
|
141 281
|
121 892
|
79 491
|
57 097
|
94 776
|
73 700
|
|
| Other Current Liabilities |
14 896
|
7 129
|
8 093
|
13 367
|
8 190
|
10 164
|
15 637
|
16 281
|
32 126
|
17 983
|
16 925
|
16 811
|
14 774
|
12 681
|
18 298
|
14 774
|
14 051
|
20 209
|
24 380
|
44 434
|
30 812
|
33 246
|
36 939
|
25 012
|
|
| Total Current Liabilities |
65 822
|
51 739
|
76 208
|
62 402
|
60 386
|
108 738
|
72 923
|
94 296
|
187 580
|
221 002
|
295 220
|
342 186
|
560 277
|
555 109
|
511 797
|
560 277
|
654 033
|
825 080
|
840 293
|
742 678
|
653 819
|
516 956
|
367 208
|
347 862
|
|
| Long-Term Debt |
10 443
|
32 717
|
15 589
|
159 376
|
158 930
|
116 952
|
117 711
|
117 392
|
103 829
|
91 741
|
79 233
|
107 915
|
391 022
|
370 794
|
386 252
|
391 022
|
368 262
|
350 927
|
316 210
|
330 426
|
346 100
|
497 628
|
597 737
|
680 344
|
|
| Deferred Income Tax |
5 980
|
9 189
|
12 282
|
15 811
|
11 849
|
8 456
|
10 142
|
8 304
|
3 210
|
2 421
|
1 363
|
1 305
|
60 975
|
10 463
|
54 818
|
60 975
|
27 671
|
103 959
|
88 736
|
64 309
|
123 341
|
98 866
|
76 819
|
136 443
|
|
| Minority Interest |
13 957
|
18 774
|
18 414
|
18 683
|
19 896
|
19 223
|
20 074
|
20 698
|
21 524
|
22 610
|
21 811
|
25 836
|
48 024
|
25 320
|
47 596
|
48 024
|
39 637
|
64 712
|
61 159
|
37 803
|
54 632
|
52 988
|
55 616
|
103 033
|
|
| Other Liabilities |
2 616
|
4 157
|
5 841
|
8 107
|
7 291
|
7 498
|
9 892
|
10 654
|
11 354
|
11 780
|
13 641
|
17 148
|
48 070
|
31 345
|
40 003
|
48 070
|
61 881
|
58 089
|
64 094
|
61 583
|
46 346
|
37 611
|
37 045
|
35 042
|
|
| Total Liabilities |
98 817
N/A
|
116 577
+18%
|
128 333
+10%
|
264 377
+106%
|
258 351
-2%
|
260 868
+1%
|
230 741
-12%
|
251 344
+9%
|
327 497
+30%
|
349 554
+7%
|
411 268
+18%
|
494 390
+20%
|
1 108 368
+124%
|
993 031
-10%
|
1 040 465
+5%
|
1 108 368
+7%
|
1 151 485
+4%
|
1 402 767
+22%
|
1 370 491
-2%
|
1 236 798
-10%
|
1 224 237
-1%
|
1 204 048
-2%
|
1 134 424
-6%
|
1 302 725
+15%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
34 500
|
34 500
|
34 500
|
34 500
|
34 500
|
34 500
|
34 500
|
34 500
|
34 500
|
34 500
|
34 500
|
34 500
|
48 956
|
34 500
|
37 950
|
48 956
|
48 956
|
48 956
|
48 956
|
48 956
|
48 956
|
48 956
|
48 956
|
48 956
|
|
| Retained Earnings |
76 923
|
106 857
|
101 972
|
107 759
|
107 631
|
102 184
|
112 564
|
129 922
|
136 822
|
159 577
|
187 185
|
224 446
|
236 437
|
252 160
|
199 312
|
236 437
|
96 437
|
107 970
|
5 020
|
135 543
|
259 438
|
341 279
|
370 829
|
423 893
|
|
| Additional Paid In Capital |
665
|
575
|
575
|
575
|
575
|
575
|
575
|
575
|
575
|
575
|
575
|
575
|
246 579
|
575
|
40 595
|
246 579
|
246 579
|
246 579
|
246 579
|
246 579
|
246 579
|
246 579
|
246 579
|
246 579
|
|
| Unrealized Security Profit/Loss |
757
|
802
|
869
|
1 228
|
544
|
7 898
|
3 548
|
725
|
166
|
248
|
0
|
0
|
406 083
|
0
|
0
|
406 083
|
365 646
|
594 874
|
548 390
|
501 783
|
688 361
|
637 523
|
597 031
|
941 473
|
|
| Other Equity |
0
|
0
|
308
|
1 454
|
2 121
|
2 084
|
5 344
|
17 026
|
7 666
|
6 950
|
10 436
|
16 473
|
42 274
|
53 820
|
61 589
|
42 274
|
55 775
|
60 180
|
53 716
|
67 146
|
71 946
|
74 133
|
65 336
|
70 530
|
|
| Total Equity |
112 846
N/A
|
142 734
+26%
|
138 224
-3%
|
142 607
+3%
|
140 041
-2%
|
147 240
+5%
|
156 532
+6%
|
181 297
+16%
|
179 730
-1%
|
201 353
+12%
|
232 696
+16%
|
275 994
+19%
|
980 329
+255%
|
341 055
-65%
|
780 319
+129%
|
980 329
+26%
|
813 393
-17%
|
1 058 559
+30%
|
892 622
-16%
|
728 921
-18%
|
796 403
+9%
|
665 912
-16%
|
587 073
-12%
|
883 645
+51%
|
|
| Total Liabilities & Equity |
211 662
N/A
|
259 311
+23%
|
266 556
+3%
|
406 984
+53%
|
398 392
-2%
|
408 108
+2%
|
387 273
-5%
|
432 642
+12%
|
507 226
+17%
|
550 907
+9%
|
643 964
+17%
|
770 384
+20%
|
2 088 697
+171%
|
1 334 086
-36%
|
1 820 784
+36%
|
2 088 697
+15%
|
1 964 877
-6%
|
2 461 326
+25%
|
2 263 113
-8%
|
1 965 719
-13%
|
2 020 640
+3%
|
1 869 960
-7%
|
1 721 497
-8%
|
2 186 370
+27%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
693
|
693
|
693
|
693
|
693
|
693
|
693
|
693
|
693
|
693
|
693
|
693
|
979
|
693
|
759
|
979
|
979
|
979
|
979
|
979
|
979
|
979
|
979
|
979
|
|