Hanjaya Mandala Sampoerna Tbk PT
OTC:PHJMF
Balance Sheet
Balance Sheet Decomposition
Hanjaya Mandala Sampoerna Tbk PT
Hanjaya Mandala Sampoerna Tbk PT
Balance Sheet
Hanjaya Mandala Sampoerna 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 |
827 243
|
1 115 599
|
1 887 008
|
2 428 218
|
1 352 844
|
1 005 445
|
557 239
|
499 362
|
527 681
|
3 209 559
|
2 070 123
|
782 039
|
656 577
|
64 813
|
338 223
|
343 364
|
1 704 170
|
2 226 570
|
1 509 309
|
2 104 143
|
17 843 656
|
3 283 118
|
2 695 159
|
2 369 521
|
|
| Cash |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
782 039
|
656 577
|
64 813
|
338 223
|
343 364
|
1 704 170
|
2 226 570
|
1 509 309
|
2 104 143
|
5 022 470
|
3 282 952
|
2 695 159
|
2 302 521
|
|
| Cash Equivalents |
827 243
|
1 115 599
|
1 887 008
|
2 428 218
|
1 352 844
|
1 005 445
|
557 239
|
499 362
|
527 681
|
3 209 559
|
2 070 123
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
12 821 186
|
166
|
0
|
67 000
|
|
| Short-Term Investments |
63 720
|
0
|
10 527
|
20 917
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
1 466
|
699
|
273
|
2 730 216
|
6 347 151
|
8 171 813
|
14 563 707
|
17 712 541
|
14 409 701
|
21 198
|
0
|
0
|
0
|
|
| Total Receivables |
439 752
|
324 638
|
194 758
|
324 374
|
523 441
|
399 011
|
996 999
|
705 362
|
720 102
|
1 000 282
|
1 092 906
|
1 372 754
|
1 449 427
|
1 097 937
|
4 726 827
|
4 996 420
|
3 780 990
|
3 815 335
|
3 786 241
|
4 101 514
|
2 896 599
|
15 889 885
|
14 989 529
|
11 459 822
|
|
| Accounts Receivables |
217 955
|
287 740
|
143 943
|
271 434
|
429 477
|
324 360
|
510 342
|
132 938
|
496 019
|
856 450
|
891 413
|
1 076 545
|
1 393 160
|
1 009 645
|
2 458 742
|
3 322 526
|
3 597 922
|
3 507 601
|
3 254 954
|
3 648 322
|
2 380 793
|
2 945 727
|
3 284 701
|
3 501 090
|
|
| Other Receivables |
221 797
|
36 898
|
50 815
|
52 940
|
93 964
|
74 651
|
486 657
|
572 424
|
224 083
|
143 832
|
201 493
|
296 209
|
56 267
|
88 292
|
2 268 085
|
1 673 894
|
183 068
|
307 734
|
531 287
|
453 192
|
515 806
|
12 944 158
|
11 704 828
|
7 958 732
|
|
| Inventory |
5 294 415
|
5 333 008
|
4 658 728
|
4 887 583
|
6 261 716
|
7 432 208
|
8 929 824
|
9 205 123
|
10 834 860
|
10 898 313
|
10 971 665
|
18 176 683
|
18 289 853
|
18 760 258
|
20 608 201
|
20 819 132
|
19 048 884
|
16 067 133
|
17 328 847
|
18 620 309
|
18 508 353
|
19 804 569
|
20 288 532
|
22 668 136
|
|
| Other Current Assets |
136 857
|
210 531
|
205 133
|
230 375
|
591 172
|
595 668
|
572 395
|
627 440
|
606 000
|
660 404
|
716 766
|
795 371
|
851 274
|
854 233
|
1 403 863
|
1 141 429
|
1 474 496
|
1 158 738
|
1 360 077
|
1 855 971
|
2 053 299
|
2 385 426
|
2 092 824
|
2 020 450
|
|
| Total Current Assets |
6 761 987
|
6 983 776
|
6 956 154
|
7 891 467
|
8 729 173
|
9 432 332
|
11 056 457
|
11 037 287
|
12 688 643
|
15 768 558
|
14 851 460
|
21 128 313
|
21 247 830
|
20 777 514
|
29 807 330
|
33 647 496
|
34 180 353
|
37 831 483
|
41 697 015
|
41 091 638
|
41 323 105
|
41 362 998
|
40 066 044
|
38 517 929
|
|
| PP&E Net |
1 988 069
|
1 825 278
|
2 148 108
|
2 333 662
|
2 399 467
|
2 390 868
|
3 522 336
|
4 329 506
|
4 310 194
|
4 087 338
|
3 850 665
|
4 259 217
|
4 708 669
|
5 919 600
|
6 281 176
|
6 895 483
|
6 890 750
|
7 288 435
|
7 297 912
|
6 582 808
|
6 038 643
|
7 977 528
|
9 572 988
|
9 568 599
|
|
| PP&E Gross |
1 988 069
|
1 825 278
|
2 148 108
|
2 333 662
|
2 399 467
|
2 390 868
|
3 522 336
|
4 329 506
|
4 310 194
|
4 087 338
|
3 850 665
|
4 259 217
|
4 708 669
|
5 919 600
|
6 281 176
|
6 895 483
|
6 890 750
|
7 288 435
|
7 297 912
|
6 582 808
|
6 038 643
|
7 977 528
|
9 572 988
|
9 568 599
|
|
| Accumulated Depreciation |
777 778
|
784 509
|
907 951
|
1 070 976
|
1 567 623
|
1 319 885
|
1 455 360
|
1 725 765
|
2 099 422
|
2 307 638
|
2 680 952
|
3 006 809
|
3 213 659
|
3 643 464
|
4 062 779
|
4 657 551
|
5 255 987
|
5 821 849
|
6 743 290
|
7 718 587
|
8 331 512
|
9 125 995
|
9 723 395
|
10 327 184
|
|
| Goodwill |
85 825
|
76 350
|
994
|
0
|
99 476
|
88 964
|
350 861
|
313 014
|
275 167
|
237 320
|
60 423
|
60 423
|
60 423
|
60 423
|
60 423
|
60 423
|
60 423
|
60 423
|
60 423
|
60 423
|
60 423
|
60 423
|
60 423
|
60 423
|
|
| Note Receivable |
22 211
|
24 121
|
26 718
|
23 585
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
150 000
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Long-Term Investments |
22 039
|
100 760
|
154 480
|
178 681
|
175 574
|
59 030
|
21 498
|
22 373
|
20 587
|
12 161
|
22 177
|
165 788
|
397 846
|
484 338
|
667 405
|
647 272
|
544 704
|
535 430
|
524 990
|
502 504
|
485 839
|
467 713
|
444 391
|
427 991
|
|
| Other Long-Term Assets |
590 409
|
806 789
|
911 314
|
1 135 900
|
530 910
|
688 610
|
729 390
|
431 639
|
421 856
|
419 746
|
591 618
|
633 786
|
839 826
|
1 138 755
|
1 194 390
|
1 257 603
|
1 464 833
|
886 649
|
1 322 466
|
1 436 657
|
5 182 418
|
4 918 330
|
5 172 418
|
5 715 764
|
|
| Other Assets |
85 825
|
76 350
|
994
|
0
|
99 476
|
88 964
|
350 861
|
313 014
|
275 167
|
237 320
|
60 423
|
60 423
|
60 423
|
60 423
|
60 423
|
60 423
|
60 423
|
60 423
|
60 423
|
60 423
|
60 423
|
60 423
|
60 423
|
60 423
|
|
| Total Assets |
9 470 540
N/A
|
9 817 074
+4%
|
10 197 768
+4%
|
11 563 295
+13%
|
11 934 600
+3%
|
12 659 804
+6%
|
15 680 542
+24%
|
16 133 819
+3%
|
17 716 447
+10%
|
20 525 123
+16%
|
19 376 343
-6%
|
26 247 527
+35%
|
27 404 594
+4%
|
28 380 630
+4%
|
38 010 724
+34%
|
42 508 277
+12%
|
43 141 063
+1%
|
46 602 420
+8%
|
50 902 806
+9%
|
49 674 030
-2%
|
53 090 428
+7%
|
54 786 992
+3%
|
55 316 264
+1%
|
54 290 706
-2%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
459 338
|
322 445
|
299 905
|
466 287
|
897 712
|
409 508
|
566 495
|
474 660
|
488 140
|
1 074 517
|
1 938 105
|
2 428 111
|
2 193 703
|
2 761 472
|
3 191 113
|
3 870 617
|
3 666 441
|
3 450 070
|
3 802 004
|
3 467 567
|
4 244 097
|
5 538 570
|
6 843 924
|
6 678 785
|
|
| Accrued Liabilities |
258 214
|
257 434
|
215 181
|
243 803
|
409 988
|
603 848
|
669 238
|
906 111
|
3 666 389
|
3 600 315
|
5 049 882
|
5 769 779
|
5 966 503
|
6 792 195
|
867 118
|
868 481
|
863 030
|
3 560 030
|
6 304 287
|
10 567 933
|
16 799 410
|
17 599 007
|
15 495 574
|
15 924 451
|
|
| Short-Term Debt |
794 547
|
0
|
0
|
0
|
600 000
|
337
|
1 127 527
|
986 773
|
747 166
|
0
|
0
|
2 306 203
|
2 442 000
|
2 835 478
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
76 771
|
94 942
|
|
| Current Portion of Long-Term Debt |
129 114
|
37 767
|
11 303
|
1 054 425
|
694 923
|
600 609
|
47 746
|
1 066 458
|
58 838
|
42 234
|
30 161
|
25 588
|
19 862
|
19 630
|
20 248
|
20 768
|
28 937
|
34 411
|
160 562
|
117 373
|
159 167
|
147 512
|
155 786
|
146 659
|
|
| Other Current Liabilities |
1 031 821
|
1 505 087
|
1 183 661
|
1 999 222
|
2 514 111
|
3 998 375
|
3 801 679
|
4 208 205
|
1 786 497
|
5 061 876
|
1 471 749
|
1 368 296
|
1 501 722
|
1 191 455
|
460 195
|
1 668 612
|
1 924 561
|
1 749 488
|
2 460 823
|
2 590 961
|
761 585
|
1 260 505
|
730 629
|
825 050
|
|
| Total Current Liabilities |
2 673 034
|
2 122 733
|
1 710 050
|
3 763 737
|
5 116 734
|
5 612 677
|
6 212 685
|
7 642 207
|
6 747 030
|
9 778 942
|
8 489 897
|
11 897 977
|
12 123 790
|
13 600 230
|
4 538 674
|
6 428 478
|
6 482 969
|
8 793 999
|
12 727 676
|
16 743 834
|
21 964 259
|
24 545 594
|
23 302 684
|
23 669 887
|
|
| Long-Term Debt |
2 314 936
|
2 204 257
|
2 313 586
|
2 387 950
|
1 721 891
|
998 726
|
1 113 462
|
112 699
|
76 340
|
44 928
|
50 043
|
56 037
|
34 213
|
33 455
|
40 878
|
65 744
|
80 530
|
80 649
|
256 648
|
194 117
|
187 787
|
337 115
|
289 503
|
231 801
|
|
| Deferred Income Tax |
88 807
|
95 011
|
92 698
|
78 021
|
61 711
|
7 246
|
13 753
|
27 506
|
19 161
|
11 352
|
5 549
|
5 091
|
636
|
0
|
0
|
0
|
0
|
0
|
0
|
537
|
1 108
|
4 842
|
6 496
|
6 663
|
|
| Minority Interest |
229 159
|
194 180
|
231 524
|
317 427
|
246 206
|
92 765
|
2 612
|
2 339
|
4 309
|
988
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Other Liabilities |
3 037
|
0
|
81 503
|
156 730
|
212 503
|
254 450
|
274 488
|
301 172
|
407 991
|
474 449
|
629 065
|
980 002
|
1 090 920
|
1 248 101
|
1 415 112
|
1 839 041
|
2 464 579
|
2 369 519
|
2 238 752
|
2 494 116
|
1 745 868
|
1 729 273
|
1 847 728
|
2 025 928
|
|
| Total Liabilities |
5 308 973
N/A
|
4 616 181
-13%
|
4 429 361
-4%
|
6 703 865
+51%
|
7 359 045
+10%
|
6 965 864
-5%
|
7 617 000
+9%
|
8 085 923
+6%
|
7 254 831
-10%
|
10 310 659
+42%
|
9 174 554
-11%
|
12 939 107
+41%
|
13 249 559
+2%
|
14 882 516
+12%
|
5 994 664
-60%
|
8 333 263
+39%
|
9 028 078
+8%
|
11 244 167
+25%
|
15 223 076
+35%
|
19 432 604
+28%
|
23 899 022
+23%
|
26 616 824
+11%
|
25 446 411
-4%
|
25 934 279
+2%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
450 000
|
450 000
|
450 000
|
438 300
|
438 300
|
438 300
|
438 300
|
438 300
|
438 300
|
438 300
|
438 300
|
438 300
|
438 300
|
438 300
|
465 272
|
465 272
|
465 272
|
465 272
|
465 272
|
465 272
|
465 272
|
465 272
|
465 272
|
465 272
|
|
| Retained Earnings |
3 020 050
|
4 228 240
|
4 800 587
|
3 817 709
|
3 504 305
|
4 627 796
|
6 958 829
|
6 909 425
|
9 366 964
|
9 104 318
|
9 105 012
|
12 085 866
|
12 949 904
|
12 314 148
|
10 418 422
|
12 595 904
|
12 552 255
|
13 700 948
|
14 000 243
|
8 543 896
|
7 439 615
|
6 435 698
|
8 137 207
|
6 608 366
|
|
| Additional Paid In Capital |
43 200
|
42 162
|
42 162
|
42 077
|
42 077
|
42 077
|
42 077
|
42 077
|
42 077
|
42 077
|
42 077
|
136 937
|
120 622
|
99 396
|
20 485 848
|
20 466 910
|
20 449 204
|
20 546 151
|
20 568 076
|
20 586 373
|
20 640 641
|
20 623 215
|
20 621 380
|
20 636 781
|
|
| Unrealized Security Profit/Loss |
0
|
0
|
3 453
|
7 104
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Treasury Stock |
0
|
10 813
|
10 813
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Other Equity |
648 317
|
491 304
|
483 018
|
554 240
|
590 873
|
585 767
|
624 336
|
658 094
|
614 275
|
629 769
|
616 400
|
647 317
|
646 209
|
646 270
|
646 518
|
646 928
|
646 254
|
645 882
|
646 139
|
645 885
|
645 878
|
645 983
|
645 994
|
646 008
|
|
| Total Equity |
4 161 567
N/A
|
5 200 893
+25%
|
5 768 407
+11%
|
4 859 430
-16%
|
4 575 555
-6%
|
5 693 940
+24%
|
8 063 542
+42%
|
8 047 896
0%
|
10 461 616
+30%
|
10 214 464
-2%
|
10 201 789
0%
|
13 308 420
+30%
|
14 155 035
+6%
|
13 498 114
-5%
|
32 016 060
+137%
|
34 175 014
+7%
|
34 112 985
0%
|
35 358 253
+4%
|
35 679 730
+1%
|
30 241 426
-15%
|
29 191 406
-3%
|
28 170 168
-3%
|
29 869 853
+6%
|
28 356 427
-5%
|
|
| Total Liabilities & Equity |
9 470 540
N/A
|
9 817 074
+4%
|
10 197 768
+4%
|
11 563 295
+13%
|
11 934 600
+3%
|
12 659 804
+6%
|
15 680 542
+24%
|
16 133 819
+3%
|
17 716 447
+10%
|
20 525 123
+16%
|
19 376 343
-6%
|
26 247 527
+35%
|
27 404 594
+4%
|
28 380 630
+4%
|
38 010 724
+34%
|
42 508 277
+12%
|
43 141 063
+1%
|
46 602 420
+8%
|
50 902 806
+9%
|
49 674 030
-2%
|
53 090 428
+7%
|
54 786 992
+3%
|
55 316 264
+1%
|
54 290 706
-2%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
113 321
|
110 598
|
110 598
|
110 375
|
110 375
|
110 375
|
110 375
|
110 375
|
110 375
|
110 375
|
110 375
|
110 375
|
110 375
|
110 375
|
116 318
|
116 318
|
116 318
|
116 318
|
116 318
|
116 318
|
116 318
|
116 318
|
116 318
|
116 318
|
|