Sunson Textile Manufacturer Tbk PT
IDX:SSTM

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Sunson Textile Manufacturer Tbk PT Logo
Sunson Textile Manufacturer Tbk PT
IDX:SSTM
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Price: 500 IDR -14.53% Market Closed
Market Cap: Rp585.5B

Balance Sheet

Balance Sheet Decomposition
Sunson Textile Manufacturer Tbk PT

Balance Sheet
Sunson Textile Manufacturer Tbk PT

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Balance Sheet
Currency: IDR
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
35 618
20 664
27 277
30 653
6 679
2 993
9 315
9 912
6 145
1 811
1 531
1 234
2 738
1 446
1 748
2 421
2 383
3 325
1 831
0
0
0
2 378
2 105
Cash
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
1 831
0
0
0
2 378
2 105
Cash Equivalents
35 618
20 664
27 277
30 653
6 679
2 993
9 315
9 912
6 145
1 811
1 531
1 234
2 738
1 446
1 748
2 421
2 383
3 325
0
0
0
0
0
0
Short-Term Investments
83
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Total Receivables
95 746
99 505
114 282
89 655
113 538
99 889
144 208
202 375
222 637
218 419
76 186
37 327
67 265
47 900
50 718
49 307
15 891
15 494
14 774
13 312
9 721
926
1 519
5 426
Accounts Receivables
95 128
99 456
114 213
89 611
113 508
99 859
144 175
202 335
222 329
218 373
76 132
37 270
67 217
47 879
50 718
49 307
15 891
15 494
14 774
13 312
9 721
926
1 519
5 426
Other Receivables
618
49
69
44
30
30
33
40
308
46
54
57
48
21
0
0
0
0
0
0
0
0
0
0
Inventory
202 762
192 592
207 000
258 914
258 398
279 519
276 228
247 827
236 365
258 819
391 015
389 372
344 738
349 114
323 426
276 952
293 181
275 298
246 904
231 219
243 381
231 289
221 972
199 723
Other Current Assets
77
93
86
79
261
67
48
550
547
543
545
547
312
325
88
1 717
93
56
94
69
1 331
64
93
126
Total Current Assets
334 286
312 854
348 645
379 301
378 875
382 468
429 799
460 664
465 693
479 592
469 277
428 479
415 053
398 785
377 320
330 397
311 548
294 173
263 603
246 380
256 581
234 004
225 962
207 379
PP&E Net
478 887
485 541
558 492
539 372
516 929
494 741
468 050
439 341
410 637
391 966
373 272
380 895
385 912
373 977
343 663
318 356
293 194
267 100
250 261
234 784
213 647
207 201
196 998
189 271
PP&E Gross
478 887
485 541
558 492
539 372
516 929
494 741
468 050
439 341
410 637
391 966
373 272
380 895
385 912
373 977
343 663
0
0
0
250 261
234 784
213 647
207 201
196 998
189 271
Accumulated Depreciation
129 964
158 612
188 835
220 522
252 532
285 135
317 472
350 421
383 466
416 801
450 732
484 957
521 408
0
0
0
0
0
674 398
690 462
698 682
711 874
723 455
733 772
Other Long-Term Assets
4 095
13 125
6 597
5 223
2 235
926
901
901
901
901
901
901
901
901
901
901
901
901
901
901
901
901
901
901
Total Assets
817 268
N/A
811 519
-1%
913 734
+13%
923 895
+1%
898 039
-3%
878 135
-2%
898 750
+2%
900 907
+0%
877 231
-3%
872 459
-1%
843 450
-3%
810 276
-4%
801 866
-1%
773 663
-4%
721 884
-7%
649 654
-10%
605 643
-7%
562 174
-7%
514 766
-8%
482 065
-6%
471 128
-2%
442 107
-6%
423 861
-4%
397 552
-6%
Liabilities
Accounts Payable
31 177
27 667
25 665
35 389
47 268
54 841
54 745
86 311
62 298
50 326
72 761
91 260
111 966
110 758
97 524
93 153
104 304
88 097
102 565
89 740
52 797
66 674
29 674
21 325
Accrued Liabilities
5 947
6 832
15 908
27 289
26 504
58 755
33 221
4 725
3 576
11 177
7 821
5 470
8 051
8 877
1 726
2 749
4 732
4 719
4 973
3 956
3 316
1 868
2 370
1 925
Short-Term Debt
154 066
173 483
203 137
230 088
239 246
204 130
329 874
250 062
232 553
89 770
79 066
69 992
26 115
29 687
56 989
37 296
31 482
0
0
0
0
0
0
0
Current Portion of Long-Term Debt
38 093
37 885
78 405
133 674
178 183
196 232
10 961
29 550
27 653
34 538
38 354
47 229
136 381
140 804
139 810
136 652
29 721
26 443
53 167
33 206
18 170
0
0
0
Other Current Liabilities
9 936
14 398
6 542
14 063
32 543
41 247
39 774
50 063
51 233
52 650
58 792
35 060
33 296
42 384
35 611
11 443
12 182
12 660
5 514
38 058
37 643
95 634
120 831
121 305
Total Current Liabilities
239 219
260 265
329 657
440 503
523 745
555 205
468 574
420 710
377 313
238 461
256 794
249 011
315 809
332 510
331 661
281 294
182 422
131 918
166 220
164 960
111 927
164 176
152 876
144 555
Long-Term Debt
273 791
209 879
153 540
119 922
77 359
38 106
137 117
140 135
116 240
235 116
215 883
207 458
157 147
131 894
92 620
78 088
164 746
167 489
106 943
92 282
74 596
0
0
0
Deferred Income Tax
30 197
47 660
77 917
59 976
42 931
45 984
51 616
41 557
52 959
57 123
51 543
47 346
43 779
39 923
36 225
31 850
24 511
25 219
20 163
16 118
16 635
15 594
13 833
11 941
Other Liabilities
13 302
12 790
13 246
12 674
14 601
14 946
15 483
16 385
17 465
18 585
20 154
21 522
13 421
10 467
17 288
20 482
21 499
22 298
21 091
22 375
23 646
23 689
21 290
21 245
Total Liabilities
556 508
N/A
530 594
-5%
574 359
+8%
633 075
+10%
658 635
+4%
654 241
-1%
672 790
+3%
618 787
-8%
563 976
-9%
549 285
-3%
544 375
-1%
525 337
-3%
530 156
+1%
514 794
-3%
477 793
-7%
411 714
-14%
393 178
-5%
346 924
-12%
314 417
-9%
295 734
-6%
226 804
-23%
203 459
-10%
187 999
-8%
177 742
-5%
Equity
Common Stock
209 177
209 177
209 177
209 177
209 177
209 177
209 177
292 727
292 727
292 727
292 727
292 727
292 727
292 727
292 727
292 727
292 727
292 727
292 727
292 727
292 727
292 727
292 727
292 727
Retained Earnings
22 335
42 499
100 950
52 395
978
14 531
12 466
81 230
50 095
40 177
64 275
78 412
91 640
104 480
116 871
123 402
147 111
145 999
162 266
177 621
120 871
126 916
133 151
151 136
Additional Paid In Capital
29 248
29 248
29 248
29 248
29 248
29 248
29 248
70 623
70 623
70 623
70 623
70 623
70 623
70 623
70 623
70 623
70 623
70 623
71 628
71 628
71 628
71 628
71 628
71 628
Other Equity
0
0
0
0
0
0
0
0
0
0
0
0
0
0
2 388
2 008
3 773
2 100
1 740
403
840
1 208
4 657
6 591
Total Equity
260 760
N/A
280 925
+8%
339 375
+21%
290 820
-14%
239 404
-18%
223 894
-6%
225 959
+1%
282 120
+25%
313 255
+11%
323 173
+3%
299 075
-7%
284 938
-5%
271 710
-5%
258 870
-5%
244 091
-6%
237 940
-3%
212 466
-11%
215 250
+1%
200 349
-7%
186 331
-7%
244 325
+31%
238 648
-2%
235 862
-1%
219 810
-7%
Total Liabilities & Equity
817 268
N/A
811 519
-1%
913 734
+13%
923 895
+1%
898 039
-3%
878 135
-2%
898 750
+2%
900 907
+0%
877 231
-3%
872 459
-1%
843 450
-3%
810 276
-4%
801 866
-1%
773 663
-4%
721 884
-7%
649 654
-10%
605 643
-7%
562 174
-7%
514 766
-8%
482 065
-6%
471 128
-2%
442 107
-6%
423 861
-4%
397 552
-6%
Shares Outstanding
Common Shares Outstanding
837
837
837
837
837
837
837
1 171
1 171
1 171
1 171
1 171
1 171
1 171
1 171
1 171
1 171
1 171
1 171
1 171
1 171
1 171
1 171
1 171
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