Central Proteina Prima Tbk PT
IDX:CPRO
Balance Sheet
Balance Sheet Decomposition
Central Proteina Prima Tbk PT
Central Proteina Prima Tbk PT
Balance Sheet
Central Proteina Prima Tbk PT
| Dec-2003 | Dec-2004 | Dec-2005 | Dec-2006 | Dec-2007 | Dec-2008 | Dec-2009 | Dec-2010 | Dec-2011 | Dec-2012 | Dec-2013 | Dec-2015 | Dec-2016 | Dec-2017 | Dec-2018 | Dec-2019 | Dec-2020 | Dec-2021 | Dec-2022 | Dec-2023 | Dec-2024 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||||||||||||||
| Cash & Cash Equivalents |
66 831
|
76 868
|
94 080
|
611 427
|
334 502
|
259 874
|
227 225
|
242 081
|
168 477
|
120 549
|
186 762
|
148 862
|
101 453
|
540 307
|
114 097
|
128 243
|
301 607
|
98 125
|
77 888
|
74 867
|
99 315
|
|
| Cash |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
1 526
|
2 760
|
5 089
|
1 155
|
540 307
|
114 097
|
128 243
|
299 061
|
95 745
|
76 888
|
73 867
|
98 815
|
|
| Cash Equivalents |
66 831
|
76 868
|
94 080
|
611 427
|
334 502
|
259 874
|
227 225
|
242 081
|
168 477
|
119 023
|
184 002
|
143 773
|
100 298
|
0
|
0
|
0
|
2 546
|
2 380
|
1 000
|
1 000
|
500
|
|
| Short-Term Investments |
0
|
0
|
0
|
334 130
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
2 426
|
1 200
|
1 200
|
0
|
0
|
0
|
0
|
0
|
|
| Total Receivables |
667 003
|
800 298
|
730 805
|
781 366
|
2 241 904
|
2 300 765
|
2 089 636
|
2 128 664
|
1 968 384
|
2 407 708
|
2 227 218
|
1 583 505
|
785 977
|
842 322
|
789 004
|
525 538
|
532 512
|
533 278
|
634 396
|
786 393
|
867 766
|
|
| Accounts Receivables |
631 250
|
712 842
|
671 665
|
723 452
|
1 402 356
|
1 753 923
|
1 601 944
|
1 500 049
|
1 602 434
|
2 003 452
|
2 186 456
|
1 525 703
|
735 458
|
763 796
|
692 502
|
514 267
|
477 905
|
529 047
|
628 942
|
776 571
|
861 869
|
|
| Other Receivables |
35 753
|
87 456
|
59 140
|
57 914
|
839 548
|
546 842
|
487 692
|
628 615
|
365 950
|
404 256
|
40 762
|
57 802
|
50 519
|
78 526
|
96 502
|
11 271
|
54 607
|
4 231
|
5 454
|
9 822
|
5 897
|
|
| Inventory |
372 066
|
394 432
|
539 155
|
659 033
|
1 169 932
|
1 605 439
|
1 440 128
|
1 401 367
|
1 108 037
|
1 163 969
|
1 218 884
|
1 421 793
|
941 038
|
802 803
|
871 072
|
787 338
|
795 586
|
1 099 259
|
1 355 162
|
1 453 662
|
1 400 586
|
|
| Other Current Assets |
47 384
|
55 791
|
98 520
|
130 678
|
306 671
|
362 973
|
237 320
|
190 483
|
178 052
|
105 437
|
126 887
|
109 979
|
139 851
|
125 421
|
184 350
|
132 197
|
72 443
|
88 091
|
95 093
|
59 166
|
63 532
|
|
| Total Current Assets |
1 153 284
|
1 327 389
|
1 462 560
|
2 516 634
|
4 053 009
|
4 529 051
|
3 994 309
|
3 962 595
|
3 422 950
|
3 797 663
|
3 759 751
|
3 264 139
|
1 968 319
|
2 313 279
|
1 959 723
|
1 574 516
|
1 702 148
|
1 818 753
|
2 162 539
|
2 374 088
|
2 431 199
|
|
| PP&E Net |
683 768
|
688 679
|
873 508
|
1 022 776
|
3 357 895
|
4 248 285
|
4 005 372
|
3 655 030
|
2 707 797
|
2 513 198
|
2 415 055
|
4 616 515
|
4 582 457
|
4 287 247
|
4 206 297
|
4 052 936
|
4 058 063
|
4 040 293
|
4 038 567
|
3 859 998
|
3 660 230
|
|
| PP&E Gross |
683 768
|
688 679
|
873 508
|
1 022 776
|
3 357 895
|
4 248 285
|
4 005 372
|
3 655 030
|
2 707 797
|
2 513 198
|
2 415 055
|
4 616 515
|
4 582 457
|
4 287 247
|
4 206 297
|
4 052 936
|
4 058 063
|
4 040 293
|
4 038 567
|
3 859 998
|
3 660 230
|
|
| Accumulated Depreciation |
292 310
|
362 452
|
210 156
|
305 693
|
347 286
|
551 819
|
845 143
|
1 149 389
|
1 921 184
|
2 178 892
|
2 539 138
|
2 981 080
|
3 266 091
|
3 915 656
|
2 907 265
|
3 101 989
|
2 248 595
|
2 331 878
|
2 394 301
|
2 143 054
|
1 630 772
|
|
| Goodwill |
0
|
0
|
0
|
41 655
|
39 566
|
37 473
|
37 542
|
35 818
|
637
|
583
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Note Receivable |
63 253
|
71 227
|
26 809
|
108 249
|
79 052
|
231 725
|
284 053
|
280 906
|
238 144
|
182 829
|
226 602
|
0
|
438 120
|
124 229
|
145 924
|
111 728
|
116 591
|
132 834
|
141 957
|
135 608
|
130 464
|
|
| Long-Term Investments |
46 050
|
46 050
|
46 050
|
49 087
|
51 491
|
50 391
|
50 226
|
60 790
|
46 565
|
46 686
|
46 686
|
213 740
|
223 533
|
223 300
|
226 302
|
227 627
|
281 650
|
289 270
|
311 083
|
305 471
|
306 157
|
|
| Other Long-Term Assets |
152 587
|
135 349
|
89 080
|
181 204
|
213 483
|
273 613
|
330 503
|
438 305
|
646 505
|
587 911
|
731 293
|
350 290
|
110 844
|
60 664
|
34 194
|
33 452
|
167 841
|
163 288
|
179 591
|
181 173
|
178 271
|
|
| Other Assets |
0
|
0
|
0
|
41 655
|
39 566
|
37 473
|
37 542
|
35 818
|
637
|
583
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Total Assets |
2 098 942
N/A
|
2 268 694
+8%
|
2 498 007
+10%
|
3 919 605
+57%
|
7 794 496
+99%
|
9 370 538
+20%
|
8 702 005
-7%
|
8 433 444
-3%
|
7 062 598
-16%
|
7 128 870
+1%
|
7 179 387
+1%
|
9 086 586
+27%
|
7 323 273
-19%
|
7 008 719
-4%
|
6 572 440
-6%
|
6 000 259
-9%
|
6 326 293
+5%
|
6 444 438
+2%
|
6 833 737
+6%
|
6 856 338
+0%
|
6 706 321
-2%
|
|
| Liabilities | ||||||||||||||||||||||
| Accounts Payable |
139 351
|
139 529
|
156 347
|
189 254
|
537 777
|
771 172
|
508 615
|
570 498
|
472 630
|
495 643
|
871 224
|
996 533
|
751 540
|
861 867
|
999 872
|
575 034
|
648 312
|
468 956
|
472 309
|
490 579
|
540 959
|
|
| Accrued Liabilities |
37 266
|
42 232
|
47 588
|
51 942
|
73 445
|
106 032
|
255 434
|
568 828
|
1 011 137
|
1 205 785
|
129 427
|
101 491
|
216 764
|
327 353
|
67 265
|
292 802
|
569 757
|
153 232
|
159 887
|
170 433
|
230 280
|
|
| Short-Term Debt |
69 890
|
90 909
|
115 486
|
274 919
|
539 691
|
1 161 540
|
1 154 409
|
3 987 859
|
4 226 582
|
4 434 462
|
1 634 558
|
1 792 449
|
1 406 344
|
5 858 160
|
1 570 583
|
3 618 356
|
3 466 633
|
1 166 627
|
1 024 157
|
1 236 808
|
1 244 456
|
|
| Current Portion of Long-Term Debt |
12 955
|
9 532
|
9 884
|
9 108
|
9 455
|
27 289
|
15 317
|
8 292
|
7 547
|
852
|
665
|
16 730
|
21 240
|
618 500
|
225 855
|
322 275
|
100 758
|
52 720
|
108 571
|
166 102
|
194 579
|
|
| Other Current Liabilities |
169 059
|
200 076
|
265 943
|
129 096
|
268 455
|
104 910
|
168 023
|
320 546
|
377 115
|
435 682
|
475 142
|
356 271
|
721 744
|
588 747
|
329 221
|
268 998
|
299 604
|
213 616
|
216 742
|
164 260
|
156 680
|
|
| Total Current Liabilities |
428 521
|
482 278
|
595 248
|
654 319
|
1 428 823
|
2 170 943
|
2 101 798
|
5 456 023
|
6 095 011
|
6 572 424
|
3 111 016
|
3 263 474
|
3 117 632
|
8 254 627
|
3 192 796
|
5 077 465
|
5 085 064
|
2 055 151
|
1 981 666
|
2 228 182
|
2 366 954
|
|
| Long-Term Debt |
1 172 686
|
1 167 675
|
504 692
|
1 881 559
|
3 011 857
|
3 535 143
|
3 050 621
|
18 909
|
1 966
|
566
|
2 276 168
|
3 225 341
|
3 491 297
|
153
|
2 114 844
|
255
|
29 508
|
1 064 582
|
1 210 335
|
751 053
|
277 523
|
|
| Deferred Income Tax |
5 364
|
6 009
|
6 358
|
5 953
|
197
|
4 588
|
2 819
|
1 334
|
1 929
|
2 851
|
18
|
3 764
|
1 306
|
30 343
|
108 007
|
91 349
|
0
|
0
|
0
|
0
|
0
|
|
| Minority Interest |
16 962
|
16 973
|
7 332
|
8 170
|
9 132
|
9 623
|
9 639
|
9 507
|
9 429
|
9 342
|
7 064
|
6 060
|
2 910
|
5 776
|
1 697
|
1 993
|
2 514
|
2 437
|
2 735
|
3 024
|
2 594
|
|
| Other Liabilities |
180 432
|
173 023
|
229 772
|
140 006
|
1 813 668
|
307 006
|
326 577
|
373 041
|
417 778
|
443 444
|
484 563
|
611 624
|
532 153
|
502 474
|
482 450
|
501 698
|
504 137
|
450 964
|
459 904
|
457 400
|
493 193
|
|
| Total Liabilities |
1 803 965
N/A
|
1 845 958
+2%
|
1 343 402
-27%
|
2 690 007
+100%
|
6 263 677
+133%
|
6 027 303
-4%
|
5 491 454
-9%
|
5 858 814
+7%
|
6 526 113
+11%
|
7 028 627
+8%
|
5 878 829
-16%
|
7 110 263
+21%
|
7 139 478
+0%
|
8 781 821
+23%
|
5 899 794
-33%
|
5 672 760
-4%
|
5 621 223
-1%
|
3 573 134
-36%
|
3 654 640
+2%
|
3 439 659
-6%
|
3 140 264
-9%
|
|
| Equity | ||||||||||||||||||||||
| Common Stock |
451 584
|
451 584
|
451 584
|
1 831 584
|
1 834 772
|
3 959 863
|
4 047 073
|
4 047 073
|
4 047 073
|
4 047 073
|
4 047 073
|
4 047 073
|
4 047 073
|
4 047 073
|
5 002 156
|
5 002 156
|
5 002 156
|
5 002 156
|
5 002 156
|
5 002 156
|
5 002 156
|
|
| Retained Earnings |
14 746
|
8 368
|
241 311
|
274 431
|
632 844
|
225 662
|
8 491
|
626 991
|
2 663 116
|
3 099 010
|
1 898 695
|
3 488 374
|
5 478 761
|
8 136 677
|
6 376 730
|
6 735 273
|
6 117 586
|
3 881 050
|
3 499 231
|
3 083 006
|
2 751 634
|
|
| Additional Paid In Capital |
16 580
|
16 580
|
16 580
|
6 850
|
7 647
|
100 757
|
96 922
|
96 922
|
96 922
|
96 922
|
1 104 136
|
1 104 136
|
1 104 136
|
1 104 136
|
1 102 556
|
1 102 556
|
1 102 556
|
1 102 556
|
1 102 556
|
1 102 556
|
1 102 556
|
|
| Other Equity |
187 931
|
53 796
|
445 130
|
883 267
|
944 444
|
943 047
|
941 935
|
942 374
|
944 394
|
944 742
|
256 316
|
2 521 760
|
2 719 619
|
3 420 638
|
3 149 776
|
3 163 172
|
2 923 056
|
2 852 754
|
2 778 728
|
2 600 085
|
2 418 091
|
|
| Total Equity |
294 979
N/A
|
422 736
+43%
|
1 154 605
+173%
|
1 229 598
+6%
|
1 530 819
+24%
|
3 343 235
+118%
|
3 210 551
-4%
|
2 574 630
-20%
|
536 485
-79%
|
100 243
-81%
|
1 300 558
+1 197%
|
1 976 323
+52%
|
183 795
-91%
|
1 773 102
N/A
|
672 646
N/A
|
327 499
-51%
|
705 070
+115%
|
2 871 304
+307%
|
3 179 097
+11%
|
3 416 679
+7%
|
3 566 057
+4%
|
|
| Total Liabilities & Equity |
2 098 944
N/A
|
2 268 694
+8%
|
2 498 007
+10%
|
3 919 605
+57%
|
7 794 496
+99%
|
9 370 538
+20%
|
8 702 005
-7%
|
8 433 444
-3%
|
7 062 598
-16%
|
7 128 870
+1%
|
7 179 387
+1%
|
9 086 586
+27%
|
7 323 273
-19%
|
7 008 719
-4%
|
6 572 440
-6%
|
6 000 259
-9%
|
6 326 293
+5%
|
6 444 438
+2%
|
6 833 737
+6%
|
6 856 338
+0%
|
6 706 321
-2%
|
|
| Shares Outstanding | ||||||||||||||||||||||
| Common Shares Outstanding |
18 316
|
18 316
|
18 316
|
18 316
|
18 348
|
39 599
|
40 471
|
40 471
|
40 471
|
40 471
|
40 471
|
40 471
|
40 471
|
40 471
|
59 572
|
59 572
|
59 572
|
59 572
|
59 572
|
59 572
|
59 572
|
|