Sinar Mas Multiartha Tbk PT
IDX:SMMA
Balance Sheet
Balance Sheet Decomposition
Sinar Mas Multiartha Tbk PT
Sinar Mas Multiartha Tbk PT
Balance Sheet
Sinar Mas Multiartha 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 |
205 795
|
208 746
|
155 516
|
204 353
|
470 175
|
637 171
|
677 254
|
824 498
|
1 754 227
|
1 980 945
|
8 523 794
|
7 010 441
|
2 599 638
|
2 662 513
|
4 126 277
|
4 190 435
|
4 351 508
|
3 980 657
|
3 563 777
|
4 935 948
|
6 413 194
|
6 623 632
|
9 533 705
|
8 828 002
|
|
| Cash Equivalents |
205 795
|
208 746
|
155 516
|
204 353
|
470 175
|
637 171
|
677 254
|
824 498
|
1 754 227
|
1 980 945
|
8 523 794
|
7 010 441
|
2 599 638
|
2 662 513
|
4 126 277
|
4 190 435
|
4 351 508
|
3 980 657
|
3 563 777
|
4 935 948
|
6 413 194
|
6 623 632
|
9 533 705
|
8 828 002
|
|
| Total Receivables |
141 027
|
121 420
|
84 035
|
161 527
|
146 963
|
381 441
|
1 133 838
|
1 289 900
|
1 332 867
|
1 657 112
|
2 471 422
|
3 752 133
|
3 527 976
|
4 928 024
|
3 559 452
|
4 682 388
|
9 072 747
|
8 994 944
|
8 976 818
|
9 036 954
|
7 864 863
|
10 616 602
|
8 047 397
|
7 660 121
|
|
| Insurance Receivable |
104 078
|
128 775
|
171 401
|
292 495
|
304 095
|
315 685
|
286 989
|
443 540
|
287 966
|
132 280
|
118 957
|
26 096
|
576 332
|
964 627
|
0
|
506 570
|
726 170
|
960 829
|
1 118 050
|
1 013 362
|
1 889 817
|
2 301 467
|
1 861 049
|
2 187 030
|
|
| Total Current Assets |
141 027
|
121 420
|
84 035
|
161 527
|
146 963
|
381 441
|
1 133 838
|
1 289 900
|
1 332 867
|
1 657 112
|
2 471 422
|
3 752 133
|
3 527 976
|
4 928 024
|
3 559 452
|
4 682 388
|
9 072 747
|
8 994 944
|
8 976 818
|
9 036 954
|
7 864 863
|
10 616 602
|
8 047 397
|
7 660 121
|
|
| PP&E Net |
45 445
|
42 171
|
54 604
|
99 839
|
170 990
|
230 778
|
355 075
|
587 945
|
735 494
|
786 721
|
1 185 019
|
1 815 827
|
2 394 834
|
2 802 446
|
3 160 220
|
3 449 890
|
2 529 926
|
2 642 568
|
2 558 102
|
3 234 752
|
3 213 556
|
2 770 660
|
2 744 994
|
2 700 439
|
|
| PP&E Gross |
45 445
|
42 171
|
54 604
|
99 839
|
170 990
|
230 778
|
355 075
|
587 945
|
735 494
|
786 721
|
1 185 019
|
1 815 827
|
2 394 834
|
2 802 446
|
3 160 220
|
3 449 890
|
2 529 926
|
2 642 568
|
2 558 102
|
3 234 752
|
3 213 556
|
2 770 660
|
2 744 994
|
2 700 439
|
|
| Accumulated Depreciation |
27 649
|
34 460
|
40 503
|
47 857
|
93 609
|
113 967
|
139 868
|
187 360
|
247 241
|
381 677
|
493 530
|
605 694
|
779 004
|
915 613
|
1 128 584
|
1 293 323
|
1 473 341
|
1 711 053
|
1 770 496
|
2 133 715
|
2 526 406
|
2 921 594
|
3 186 911
|
3 588 020
|
|
| Note Receivable |
0
|
0
|
0
|
0
|
140 481
|
958 356
|
3 016 879
|
4 198 780
|
5 322 975
|
7 209 527
|
10 286 517
|
10 369 027
|
11 035 753
|
84 180
|
0
|
228 869
|
270 604
|
623 776
|
628 023
|
463 152
|
398 651
|
472 029
|
433 902
|
351 525
|
|
| Long-Term Investments |
215 051
|
210 035
|
493 736
|
557 926
|
2 062 709
|
3 278 671
|
8 052 990
|
7 414 475
|
6 866 892
|
8 740 176
|
16 434 978
|
18 918 284
|
25 407 165
|
40 225 162
|
43 275 059
|
59 195 742
|
70 151 060
|
80 339 291
|
79 748 826
|
82 949 972
|
90 170 278
|
82 855 599
|
81 769 330
|
87 379 178
|
|
| Other Long-Term Assets |
61 835
|
25 319
|
19 285
|
17 087
|
54 948
|
40 023
|
30 062
|
4 411
|
16 811
|
3 560
|
16 041
|
53 865
|
28 232
|
54 963
|
67 659
|
59 359
|
71 110
|
74 013
|
95 211
|
228 540
|
242 245
|
350 626
|
375 773
|
465 698
|
|
| Other Assets |
18 805
|
8 698
|
92 703
|
91 531
|
156 031
|
218 672
|
577 490
|
773 672
|
3 383 105
|
7 334 703
|
5 927 615
|
6 847 097
|
2 210 762
|
2 115 312
|
0
|
1 777 934
|
1 913 663
|
3 047 373
|
2 936 050
|
6 050 401
|
7 317 395
|
8 416 188
|
9 199 860
|
7 620 131
|
|
| Total Assets |
792 036
N/A
|
745 164
-6%
|
1 071 280
+44%
|
1 424 758
+33%
|
3 506 392
+146%
|
6 060 797
+73%
|
14 130 577
+133%
|
15 537 221
+10%
|
19 700 337
+27%
|
27 845 024
+41%
|
44 964 343
+61%
|
48 792 770
+9%
|
47 780 692
-2%
|
53 837 227
+13%
|
56 844 009
+6%
|
74 091 187
+30%
|
89 086 788
+20%
|
100 663 451
+13%
|
99 624 857
-1%
|
107 913 081
+8%
|
117 509 999
+9%
|
114 406 803
-3%
|
113 966 010
0%
|
117 192 124
+3%
|
|
| Liabilities | |||||||||||||||||||||||||
| Insurance Policy Liabilities |
108 833
|
120 774
|
130 650
|
164 555
|
47 751
|
82 041
|
284 122
|
516 848
|
3 381 283
|
7 088 017
|
4 609 381
|
3 943 326
|
1 912 482
|
14 295 317
|
0
|
22 948 296
|
33 536 047
|
41 010 940
|
39 149 774
|
39 775 125
|
41 921 480
|
38 820 973
|
34 840 747
|
34 205 559
|
|
| Accounts Payable |
228 581
|
231 447
|
218 308
|
349 689
|
146 719
|
263 276
|
775 242
|
300 027
|
275 039
|
198 852
|
303 064
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Accrued Liabilities |
0
|
8 781
|
8 992
|
3 419
|
6 686
|
11 541
|
22 226
|
33 300
|
35 614
|
43 868
|
69 620
|
75 920
|
88 004
|
106 693
|
148 171
|
184 659
|
221 840
|
194 613
|
195 530
|
253 640
|
237 008
|
290 866
|
332 181
|
307 260
|
|
| Short-Term Debt |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Current Portion of Long-Term Debt |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
967 564
|
|
| Other Current Liabilities |
2 534
|
1 390
|
3 003
|
3 865
|
5 970
|
15 947
|
21 559
|
32 490
|
132 329
|
457 064
|
147 563
|
213 202
|
364 332
|
259 256
|
289 252
|
561 391
|
582 727
|
1 101 142
|
545 190
|
1 026 157
|
426 576
|
904 040
|
206 663
|
292 917
|
|
| Total Current Liabilities |
231 115
|
241 618
|
230 303
|
356 973
|
159 375
|
290 764
|
819 027
|
365 817
|
442 982
|
699 784
|
520 247
|
289 122
|
452 336
|
365 949
|
437 423
|
746 050
|
804 567
|
1 295 755
|
740 720
|
1 279 797
|
663 584
|
1 194 906
|
538 844
|
1 567 741
|
|
| Long-Term Debt |
218 576
|
131 871
|
55 474
|
17 000
|
98 300
|
0
|
118 254
|
302 805
|
348 907
|
512 265
|
930 904
|
1 996 503
|
2 005 799
|
1 293 454
|
2 088 151
|
2 835 878
|
4 691 490
|
5 472 978
|
6 623 667
|
7 242 181
|
7 550 680
|
10 689 510
|
10 476 690
|
9 726 078
|
|
| Deferred Income Tax |
11 314
|
11 173
|
14 711
|
21 937
|
17 892
|
31 673
|
4 292
|
23 332
|
33 466
|
41 992
|
55 156
|
59 507
|
82 551
|
94 040
|
116 712
|
137 766
|
151 776
|
114 728
|
134 159
|
7 246
|
12 860
|
10 933
|
4 765
|
8 234
|
|
| Minority Interest |
52
|
53
|
57
|
67
|
80 784
|
71 404
|
89 851
|
113 123
|
130
|
197 916
|
5 018 699
|
5 627 802
|
5 553 103
|
6 033 630
|
5 182 630
|
5 712 272
|
6 230 753
|
5 676 125
|
2 380 335
|
2 383 216
|
2 509 473
|
2 470 520
|
2 548 872
|
2 222 385
|
|
| Other Liabilities |
74 623
|
18 069
|
32 252
|
23 240
|
610 167
|
1 910 412
|
5 137 598
|
5 343 380
|
7 182 270
|
10 283 553
|
15 013 618
|
13 109 030
|
14 523 687
|
18 449 954
|
23 904 743
|
27 148 328
|
26 956 601
|
27 655 810
|
30 811 930
|
37 229 630
|
44 579 111
|
40 015 421
|
43 276 418
|
46 478 722
|
|
| Total Liabilities |
644 513
N/A
|
523 558
-19%
|
463 447
-11%
|
583 772
+26%
|
2 397 433
+311%
|
4 607 529
+92%
|
11 754 739
+155%
|
12 883 264
+10%
|
16 102 946
+25%
|
22 781 932
+41%
|
35 397 418
+55%
|
38 164 893
+8%
|
36 207 643
-5%
|
41 106 181
+14%
|
43 781 072
+7%
|
59 528 590
+36%
|
72 371 234
+22%
|
81 226 336
+12%
|
79 840 585
-2%
|
87 917 195
+10%
|
97 237 188
+11%
|
93 202 263
-4%
|
91 686 336
-2%
|
94 208 719
+3%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
712 372
|
712 372
|
926 083
|
982 748
|
1 082 122
|
1 112 010
|
1 180 330
|
1 276 891
|
1 316 150
|
1 320 504
|
1 321 378
|
1 321 718
|
1 321 905
|
1 321 905
|
1 333 891
|
1 334 891
|
1 334 891
|
1 334 891
|
1 334 891
|
1 334 891
|
1 334 891
|
1 334 891
|
1 334 891
|
1 334 891
|
|
| Retained Earnings |
782 822
|
709 332
|
536 709
|
362 395
|
226 487
|
50 913
|
482 441
|
745 995
|
1 446 093
|
2 720 324
|
4 513 149
|
5 537 951
|
6 745 088
|
7 694 042
|
7 434 818
|
8 737 442
|
10 146 057
|
11 482 666
|
16 448 905
|
16 029 825
|
16 954 465
|
17 619 240
|
18 671 650
|
19 605 494
|
|
| Additional Paid In Capital |
216 622
|
216 622
|
215 718
|
215 718
|
239 441
|
405 001
|
725 685
|
724 672
|
881 084
|
898 385
|
901 881
|
903 239
|
903 989
|
903 989
|
1 491 703
|
1 647 520
|
1 647 520
|
1 647 520
|
1 647 520
|
1 647 520
|
1 647 520
|
1 647 520
|
1 647 520
|
1 647 520
|
|
| Unrealized Security Profit/Loss |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
29 237
|
0
|
263 851
|
78 201
|
0
|
25 377
|
771 620
|
1 685 685
|
148 788
|
829 520
|
510 419
|
594 924
|
650 295
|
410 526
|
|
| Other Equity |
1 351
|
1 944
|
2 741
|
4 915
|
13 883
|
12 830
|
12 618
|
93 601
|
45 936
|
123 879
|
2 859 754
|
2 864 969
|
2 865 918
|
2 889 311
|
2 886 121
|
2 817 367
|
2 815 466
|
3 286 353
|
204 168
|
154 130
|
174 484
|
7 965
|
24 682
|
15 026
|
|
| Total Equity |
147 523
N/A
|
221 606
+50%
|
607 833
+174%
|
840 986
+38%
|
1 108 959
+32%
|
1 453 268
+31%
|
2 375 838
+63%
|
2 653 957
+12%
|
3 597 391
+36%
|
5 063 092
+41%
|
9 566 925
+89%
|
10 627 877
+11%
|
11 573 049
+9%
|
12 731 046
+10%
|
13 062 937
+3%
|
14 562 597
+11%
|
16 715 554
+15%
|
19 437 115
+16%
|
19 784 272
+2%
|
19 995 886
+1%
|
20 272 811
+1%
|
21 204 540
+5%
|
22 279 674
+5%
|
22 983 405
+3%
|
|
| Total Liabilities & Equity |
792 036
N/A
|
745 164
-6%
|
1 071 280
+44%
|
1 424 758
+33%
|
3 506 392
+146%
|
6 060 797
+73%
|
14 130 577
+133%
|
15 537 221
+10%
|
19 700 337
+27%
|
27 845 024
+41%
|
44 964 343
+61%
|
48 792 770
+9%
|
47 780 692
-2%
|
53 837 227
+13%
|
56 844 009
+6%
|
74 091 187
+30%
|
89 086 788
+20%
|
100 663 451
+13%
|
99 624 857
-1%
|
107 913 081
+8%
|
117 509 999
+9%
|
114 406 803
-3%
|
113 966 010
0%
|
117 192 124
+3%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
165
|
165
|
3 256
|
4 076
|
4 076
|
4 806
|
5 600
|
5 788
|
6 180
|
6 224
|
6 233
|
6 236
|
6 238
|
6 238
|
6 358
|
6 368
|
6 368
|
6 368
|
6 368
|
6 368
|
6 368
|
6 368
|
6 368
|
6 368
|
|