Fajar Surya Wisesa Tbk PT
IDX:FASW
Balance Sheet
Balance Sheet Decomposition
Fajar Surya Wisesa Tbk PT
Fajar Surya Wisesa Tbk PT
Balance Sheet
Fajar Surya Wisesa 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 |
46 417
|
41 939
|
34 924
|
41 362
|
29 760
|
170 038
|
168 651
|
168 826
|
169 877
|
42 218
|
72 871
|
80 306
|
60 986
|
63 784
|
223 740
|
287 858
|
355 227
|
101 256
|
102 305
|
145 027
|
84 477
|
75 685
|
71 962
|
112 784
|
|
| Cash |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
102 305
|
145 027
|
84 477
|
75 685
|
71 962
|
112 784
|
|
| Cash Equivalents |
46 417
|
41 939
|
34 924
|
41 362
|
29 760
|
170 038
|
168 651
|
168 826
|
169 877
|
42 218
|
72 871
|
80 306
|
60 986
|
63 784
|
223 740
|
287 858
|
355 227
|
101 256
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Total Receivables |
141 614
|
116 264
|
187 964
|
211 145
|
257 451
|
464 373
|
349 617
|
473 432
|
528 273
|
338 244
|
880 766
|
1 063 613
|
817 929
|
682 421
|
1 113 234
|
1 347 084
|
1 913 099
|
1 284 009
|
1 381 958
|
2 194 629
|
1 440 625
|
1 239 035
|
1 533 683
|
1 623 805
|
|
| Accounts Receivables |
130 456
|
115 457
|
187 384
|
210 203
|
256 122
|
462 969
|
347 907
|
473 112
|
527 593
|
336 604
|
878 622
|
887 117
|
811 094
|
680 663
|
1 112 720
|
1 343 803
|
1 871 628
|
1 283 914
|
1 347 482
|
2 194 248
|
1 280 600
|
1 229 938
|
1 441 461
|
1 620 285
|
|
| Other Receivables |
11 158
|
807
|
580
|
942
|
1 329
|
1 404
|
1 710
|
320
|
680
|
1 640
|
2 144
|
176 496
|
6 835
|
1 758
|
514
|
3 281
|
41 471
|
95
|
34 476
|
381
|
160 025
|
9 097
|
92 222
|
3 520
|
|
| Inventory |
180 119
|
192 261
|
197 592
|
251 012
|
357 730
|
394 066
|
486 001
|
386 487
|
502 124
|
668 283
|
643 693
|
656 312
|
835 198
|
910 366
|
768 429
|
1 104 830
|
1 138 243
|
1 094 393
|
1 090 466
|
1 721 219
|
1 771 888
|
1 395 634
|
1 215 073
|
1 069 202
|
|
| Other Current Assets |
2 632
|
2 629
|
2 233
|
3 218
|
2 547
|
10 683
|
89 734
|
37 569
|
10 453
|
89 118
|
83 622
|
59 609
|
81 511
|
61 970
|
61 633
|
44 235
|
123 650
|
162 104
|
189 437
|
194 121
|
140 991
|
220 892
|
143 272
|
87 087
|
|
| Total Current Assets |
370 783
|
353 093
|
422 713
|
506 738
|
647 487
|
1 039 160
|
1 094 003
|
1 066 314
|
1 210 727
|
1 137 863
|
1 680 952
|
1 859 840
|
1 795 623
|
1 718 541
|
2 167 036
|
2 784 007
|
3 530 219
|
2 641 761
|
2 764 167
|
4 254 996
|
3 437 981
|
2 931 246
|
2 963 990
|
2 892 878
|
|
| PP&E Net |
2 348 776
|
2 273 521
|
2 205 124
|
2 374 202
|
2 773 445
|
2 729 908
|
2 624 002
|
2 604 081
|
3 269 353
|
3 794 404
|
3 861 033
|
3 796 158
|
3 749 694
|
5 208 975
|
6 305 696
|
6 473 050
|
7 310 053
|
7 969 941
|
8 677 962
|
8 919 013
|
9 189 270
|
9 352 207
|
9 408 704
|
9 264 507
|
|
| PP&E Gross |
2 348 776
|
2 273 521
|
2 205 124
|
2 374 202
|
2 773 445
|
2 729 908
|
2 624 002
|
2 604 081
|
3 269 353
|
3 794 404
|
3 861 033
|
3 796 158
|
3 749 694
|
5 208 975
|
0
|
6 473 050
|
7 310 053
|
7 969 941
|
8 677 962
|
8 919 013
|
9 189 270
|
9 352 207
|
9 408 704
|
9 264 507
|
|
| Accumulated Depreciation |
623 561
|
753 978
|
887 355
|
995 956
|
1 114 739
|
1 254 649
|
1 396 452
|
1 541 226
|
1 687 264
|
1 866 230
|
2 075 557
|
2 302 550
|
2 302 550
|
2 794 530
|
0
|
3 007 968
|
3 048 749
|
3 268 969
|
3 528 229
|
3 853 881
|
4 197 970
|
4 507 780
|
4 842 052
|
5 197 811
|
|
| Intangible Assets |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
22 866
|
19 905
|
14 704
|
9 427
|
5 261
|
1 648
|
1 677
|
1 472
|
3 299
|
3 319
|
4 826
|
5 017
|
4 355
|
3 694
|
|
| Other Long-Term Assets |
1 396
|
623
|
578
|
868
|
959
|
520
|
543
|
840
|
14 942
|
3 827
|
13 483
|
16 158
|
20 980
|
56 691
|
105 231
|
111 187
|
123 170
|
138 818
|
67 617
|
124 896
|
245 769
|
256 674
|
284 522
|
68 558
|
|
| Total Assets |
2 720 954
N/A
|
2 627 238
-3%
|
2 628 415
+0%
|
2 881 808
+10%
|
3 421 892
+19%
|
3 769 588
+10%
|
3 718 548
-1%
|
3 671 235
-1%
|
4 495 022
+22%
|
4 936 094
+10%
|
5 578 334
+13%
|
5 692 060
+2%
|
5 581 001
-2%
|
6 993 634
+25%
|
8 583 224
+23%
|
9 369 892
+9%
|
10 965 119
+17%
|
10 751 993
-2%
|
11 513 044
+7%
|
13 302 224
+16%
|
12 877 846
-3%
|
12 545 144
-3%
|
12 661 571
+1%
|
12 229 637
-3%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
43 723
|
63 602
|
63 762
|
64 970
|
100 022
|
107 344
|
87 070
|
91 654
|
141 053
|
324 129
|
639 631
|
561 319
|
1 158 295
|
523 243
|
775 956
|
1 081 179
|
1 187 866
|
834 822
|
536 511
|
690 276
|
686 737
|
787 268
|
1 042 930
|
1 374 378
|
|
| Accrued Liabilities |
18 379
|
16 853
|
18 146
|
20 292
|
50 506
|
48 555
|
76 975
|
46 163
|
52 202
|
71 249
|
64 609
|
77 064
|
89 105
|
93 915
|
94 978
|
201 965
|
154 960
|
141 590
|
188 730
|
225 738
|
179 042
|
211 660
|
199 451
|
183 850
|
|
| Short-Term Debt |
43 017
|
38 623
|
72 512
|
78 267
|
41 432
|
226 380
|
248 421
|
229 636
|
207 526
|
107 698
|
301 673
|
412 586
|
302 219
|
687 677
|
749 015
|
1 029 595
|
878 203
|
1 692 335
|
1 961 024
|
3 498 994
|
3 656 000
|
4 548 616
|
5 138 786
|
1 358 166
|
|
| Current Portion of Long-Term Debt |
134 658
|
104 064
|
108 253
|
95 748
|
86 596
|
98 656
|
103 019
|
905
|
949 644
|
295 942
|
1 804 933
|
219 043
|
220 247
|
245 964
|
253 351
|
1 334 734
|
393 945
|
974 428
|
561 096
|
544 772
|
575 539
|
561 998
|
599 779
|
633 799
|
|
| Other Current Liabilities |
2 308
|
5 337
|
7 696
|
17 952
|
72 076
|
61 226
|
9 387
|
93 704
|
90 534
|
62 181
|
68 473
|
40 169
|
68 786
|
58 699
|
142 317
|
105 597
|
395 565
|
108 845
|
167 651
|
177 860
|
144 450
|
132 704
|
157 576
|
127 936
|
|
| Total Current Liabilities |
242 084
|
228 479
|
270 369
|
277 229
|
350 632
|
542 162
|
524 873
|
462 063
|
1 440 959
|
861 199
|
2 879 319
|
1 310 180
|
1 838 653
|
1 609 497
|
2 015 617
|
3 753 070
|
3 010 539
|
3 752 020
|
3 415 012
|
5 137 640
|
5 241 768
|
6 242 246
|
7 138 522
|
3 678 129
|
|
| Long-Term Debt |
1 155 573
|
992 235
|
936 336
|
1 164 969
|
1 497 400
|
1 519 596
|
1 482 446
|
1 219 793
|
830 752
|
1 821 816
|
430 337
|
2 433 634
|
1 668 484
|
2 564 533
|
3 020 140
|
1 824 080
|
2 939 604
|
1 581 462
|
2 743 133
|
2 251 247
|
1 830 348
|
1 249 819
|
1 727 917
|
2 364 071
|
|
| Deferred Income Tax |
304 363
|
331 712
|
334 077
|
340 724
|
365 349
|
371 116
|
356 894
|
352 994
|
350 497
|
372 609
|
378 346
|
297 994
|
328 167
|
233 883
|
222 016
|
301 363
|
477 874
|
445 818
|
370 926
|
422 424
|
460 909
|
346 388
|
110 996
|
53 741
|
|
| Minority Interest |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
1
|
1
|
1
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Other Liabilities |
4 983
|
7 958
|
21 075
|
26 500
|
34 397
|
40 630
|
46 476
|
51 797
|
62 216
|
78 772
|
83 342
|
92 320
|
129 596
|
140 375
|
167 009
|
203 062
|
248 765
|
280 094
|
400 978
|
398 044
|
333 363
|
343 409
|
362 878
|
394 841
|
|
| Total Liabilities |
1 707 002
N/A
|
1 560 384
-9%
|
1 561 857
+0%
|
1 809 422
+16%
|
2 247 778
+24%
|
2 473 504
+10%
|
2 410 689
-3%
|
2 086 647
-13%
|
2 684 424
+29%
|
3 134 396
+17%
|
3 771 344
+20%
|
4 134 128
+10%
|
3 964 899
-4%
|
4 548 288
+15%
|
5 424 781
+19%
|
6 081 575
+12%
|
6 676 782
+10%
|
6 059 396
-9%
|
6 930 050
+14%
|
8 209 355
+18%
|
7 866 388
-4%
|
8 181 862
+4%
|
9 340 313
+14%
|
6 490 782
-31%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
1 238 944
|
1 238 944
|
1 238 944
|
1 238 944
|
1 238 944
|
1 238 944
|
1 238 944
|
1 238 944
|
1 238 944
|
1 238 944
|
1 238 944
|
1 238 944
|
1 238 944
|
1 238 944
|
1 238 944
|
1 238 944
|
1 238 944
|
1 238 944
|
1 238 944
|
1 238 944
|
1 238 944
|
1 238 944
|
1 238 944
|
1 610 628
|
|
| Retained Earnings |
228 553
|
175 651
|
175 948
|
170 120
|
68 391
|
53 579
|
65 354
|
342 083
|
568 093
|
559 192
|
564 485
|
315 427
|
408 362
|
62 297
|
780 840
|
925 733
|
1 929 682
|
2 328 602
|
2 225 970
|
2 667 444
|
2 496 255
|
1 813 399
|
708 205
|
427 749
|
|
| Additional Paid In Capital |
3 561
|
3 561
|
3 561
|
3 561
|
3 561
|
3 561
|
3 561
|
3 561
|
3 561
|
3 561
|
3 561
|
3 561
|
3 561
|
3 561
|
3 561
|
3 561
|
3 561
|
3 561
|
3 561
|
3 561
|
3 561
|
3 561
|
3 561
|
3 121 099
|
|
| Unrealized Security Profit/Loss |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
1 176 011
|
1 180 649
|
1 182 592
|
1 199 823
|
1 221 528
|
1 221 661
|
1 286 839
|
1 344 923
|
1 365 578
|
1 426 388
|
1 499 857
|
|
| Other Equity |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
34 766
|
35 466
|
45 552
|
62 513
|
83 675
|
100 038
|
107 141
|
103 919
|
72 225
|
58 200
|
55 840
|
64 980
|
|
| Total Equity |
1 013 952
N/A
|
1 066 854
+5%
|
1 066 558
0%
|
1 072 386
+1%
|
1 174 114
+9%
|
1 296 084
+10%
|
1 307 859
+1%
|
1 584 588
+21%
|
1 810 598
+14%
|
1 801 697
0%
|
1 806 990
+0%
|
1 557 932
-14%
|
1 616 101
+4%
|
2 445 346
+51%
|
3 158 442
+29%
|
3 288 317
+4%
|
4 288 336
+30%
|
4 692 597
+9%
|
4 582 995
-2%
|
5 092 869
+11%
|
5 011 458
-2%
|
4 363 282
-13%
|
3 321 258
-24%
|
5 738 855
+73%
|
|
| Total Liabilities & Equity |
2 720 954
N/A
|
2 627 238
-3%
|
2 628 415
+0%
|
2 881 808
+10%
|
3 421 892
+19%
|
3 769 588
+10%
|
3 718 548
-1%
|
3 671 235
-1%
|
4 495 022
+22%
|
4 936 094
+10%
|
5 578 334
+13%
|
5 692 060
+2%
|
5 581 001
-2%
|
6 993 634
+25%
|
8 583 224
+23%
|
9 369 892
+9%
|
10 965 119
+17%
|
10 751 993
-2%
|
11 513 044
+7%
|
13 302 224
+16%
|
12 877 846
-3%
|
12 545 144
-3%
|
12 661 571
+1%
|
12 229 637
-3%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
2 478
|
2 478
|
2 478
|
2 478
|
2 478
|
2 478
|
2 478
|
2 478
|
2 478
|
2 478
|
2 478
|
2 478
|
2 478
|
2 478
|
2 478
|
2 478
|
2 478
|
2 478
|
2 478
|
2 478
|
2 559
|
2 559
|
2 559
|
3 221
|
|