United Tractors Tbk PT
OTC:PUTKY
Balance Sheet
Balance Sheet Decomposition
United Tractors Tbk PT
United Tractors Tbk PT
Balance Sheet
United Tractors 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 |
440 232
|
412 145
|
745 577
|
788 687
|
611 360
|
740 173
|
869 495
|
2 328 206
|
1 437 395
|
1 155 545
|
7 135 386
|
2 692 150
|
2 571 183
|
6 418 196
|
9 624 974
|
12 759 443
|
11 635 413
|
11 449 006
|
10 827 636
|
0
|
0
|
497 810
|
18 596 609
|
25 092 519
|
|
| Cash |
0
|
0
|
0
|
0
|
0
|
740 173
|
869 495
|
2 328 206
|
1 437 395
|
1 155 545
|
0
|
0
|
2 571 183
|
6 418 196
|
9 624 974
|
12 759 443
|
11 635 413
|
11 449 006
|
10 827 636
|
0
|
0
|
0
|
15 933 254
|
21 514 789
|
|
| Cash Equivalents |
440 232
|
412 145
|
745 577
|
788 687
|
611 360
|
0
|
0
|
0
|
0
|
0
|
7 135 386
|
2 692 150
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
497 810
|
2 663 355
|
3 577 730
|
|
| Short-Term Investments |
10 187
|
5 175
|
7 875
|
13 725
|
16 200
|
232 202
|
192 110
|
997 052
|
1 338 849
|
202 538
|
0
|
1 403 115
|
5 664 687
|
4 191 607
|
6 488 236
|
7 550 630
|
9 593 801
|
1 989 169
|
1 263 025
|
856 580
|
325 185
|
497 810
|
1 004 784
|
0
|
|
| Total Receivables |
1 410 712
|
1 362 194
|
1 475 801
|
1 452 235
|
2 409 951
|
2 060 836
|
3 007 519
|
3 630 637
|
4 549 566
|
5 349 688
|
9 969 714
|
9 894 656
|
12 140 743
|
13 586 675
|
12 169 624
|
12 114 511
|
18 187 643
|
22 573 886
|
21 956 339
|
12 006 009
|
14 019 454
|
19 648 721
|
22 315 301
|
22 153 135
|
|
| Accounts Receivables |
1 391 997
|
1 184 482
|
1 363 054
|
1 424 212
|
2 364 332
|
2 046 808
|
3 000 397
|
3 470 549
|
4 462 606
|
5 214 881
|
9 832 677
|
9 667 707
|
11 814 937
|
13 112 589
|
11 479 711
|
11 041 513
|
16 555 282
|
20 610 327
|
19 680 703
|
10 024 217
|
12 151 553
|
17 633 387
|
20 274 582
|
19 989 383
|
|
| Other Receivables |
18 715
|
177 712
|
112 747
|
28 023
|
45 619
|
14 028
|
7 122
|
160 088
|
86 960
|
134 807
|
137 037
|
226 949
|
325 806
|
474 086
|
689 913
|
1 072 998
|
1 632 361
|
1 963 559
|
2 275 636
|
1 981 792
|
1 867 901
|
2 015 334
|
2 040 719
|
2 163 752
|
|
| Inventory |
1 107 784
|
978 261
|
814 202
|
1 302 092
|
2 148 103
|
1 603 720
|
2 121 187
|
5 246 343
|
3 966 358
|
6 931 631
|
7 129 459
|
7 173 704
|
6 176 470
|
7 770 086
|
8 640 632
|
7 476 105
|
8 199 676
|
14 547 119
|
11 240 491
|
8 051 050
|
9 513 242
|
15 427 143
|
17 295 467
|
17 152 166
|
|
| Other Current Assets |
408 163
|
574 057
|
246 266
|
210 225
|
456 013
|
765 611
|
846 345
|
681 352
|
676 833
|
1 893 360
|
1 391 019
|
884 490
|
1 261 043
|
1 613 235
|
2 336 242
|
2 296 634
|
3 585 667
|
5 092 628
|
5 539 464
|
3 640 149
|
3 749 631
|
5 572 671
|
4 459 728
|
5 581 464
|
|
| Total Current Assets |
3 377 078
|
3 331 832
|
3 289 721
|
3 766 964
|
5 641 627
|
5 402 542
|
7 036 656
|
12 883 590
|
11 969 001
|
15 532 762
|
25 625 578
|
22 048 115
|
27 814 126
|
33 579 799
|
39 259 708
|
42 197 323
|
51 202 200
|
55 651 808
|
50 826 955
|
44 195 782
|
60 604 068
|
78 930 048
|
62 667 105
|
69 979 284
|
|
| PP&E Net |
1 684 140
|
1 831 035
|
1 954 840
|
2 367 251
|
4 307 775
|
5 191 454
|
5 527 058
|
9 505 248
|
11 835 726
|
13 261 374
|
19 395 857
|
25 819 716
|
27 006 462
|
23 166 193
|
17 816 611
|
16 942 638
|
22 595 005
|
45 766 447
|
46 000 051
|
41 992 485
|
36 838 270
|
40 418 849
|
57 012 624
|
60 880 116
|
|
| PP&E Gross |
1 684 140
|
1 831 035
|
1 954 840
|
2 367 251
|
4 307 775
|
5 191 454
|
5 527 058
|
9 505 248
|
11 835 726
|
13 261 374
|
19 395 857
|
25 819 716
|
27 006 462
|
23 166 193
|
17 816 611
|
16 942 638
|
22 595 005
|
45 766 447
|
46 000 051
|
41 992 485
|
36 838 270
|
40 418 849
|
57 012 624
|
60 880 116
|
|
| Accumulated Depreciation |
1 108 412
|
1 171 194
|
1 532 666
|
1 685 985
|
2 345 018
|
3 095 875
|
4 149 876
|
5 499 590
|
7 356 977
|
9 991 722
|
12 290 310
|
16 325 001
|
20 030 109
|
25 726 690
|
34 418 410
|
36 849 667
|
39 933 689
|
46 491 676
|
52 403 395
|
59 801 655
|
65 365 747
|
72 330 399
|
78 378 821
|
83 643 389
|
|
| Intangible Assets |
369 181
|
320 367
|
302 906
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Goodwill |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
439 767
|
439 767
|
439 767
|
2 895 667
|
2 822 475
|
2 504 650
|
2 427 501
|
2 676 223
|
3 336 456
|
3 448 283
|
|
| Note Receivable |
8 043
|
30 955
|
31 640
|
399 443
|
360 172
|
269 253
|
45 460
|
51 176
|
75 986
|
59 421
|
78 164
|
100 502
|
81 191
|
101 533
|
89 250
|
917 798
|
1 054 791
|
1 897 373
|
2 257 077
|
2 245 032
|
2 546 571
|
3 277 531
|
3 303 493
|
4 081 573
|
|
| Long-Term Investments |
83 398
|
84 926
|
122 607
|
83 140
|
127 308
|
162 589
|
241 975
|
207 002
|
328 583
|
473 359
|
655 772
|
871 344
|
1 139 745
|
1 605 838
|
1 989 675
|
1 426 459
|
1 261 550
|
2 372 508
|
2 266 723
|
2 216 574
|
3 503 204
|
6 481 868
|
16 324 359
|
19 414 578
|
|
| Other Long-Term Assets |
942 346
|
497 319
|
354 725
|
152 569
|
196 957
|
222 008
|
151 470
|
200 705
|
195 532
|
373 998
|
684 691
|
1 460 956
|
1 320 720
|
1 853 414
|
2 120 388
|
2 067 244
|
5 708 780
|
7 697 214
|
7 540 094
|
6 646 440
|
6 641 742
|
8 693 701
|
11 109 866
|
11 676 784
|
|
| Other Assets |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
439 767
|
439 767
|
439 767
|
2 895 667
|
2 822 475
|
2 504 650
|
2 427 501
|
2 676 223
|
3 336 456
|
3 448 283
|
|
| Total Assets |
6 464 186
N/A
|
6 096 434
-6%
|
6 056 439
-1%
|
6 769 367
+12%
|
10 633 839
+57%
|
11 247 846
+6%
|
13 002 619
+16%
|
22 847 721
+76%
|
24 404 828
+7%
|
29 700 914
+22%
|
46 440 062
+56%
|
50 300 633
+8%
|
57 362 244
+14%
|
60 306 777
+5%
|
61 715 399
+2%
|
63 991 229
+4%
|
82 262 093
+29%
|
116 281 017
+41%
|
111 713 375
-4%
|
99 800 963
-11%
|
112 561 356
+13%
|
140 478 220
+25%
|
153 753 903
+9%
|
169 480 618
+10%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
1 161 943
|
1 222 061
|
855 523
|
1 413 358
|
2 061 115
|
1 814 932
|
2 172 727
|
4 366 722
|
4 164 316
|
5 531 387
|
10 303 461
|
6 666 457
|
10 581 567
|
11 965 405
|
13 407 092
|
14 119 472
|
20 239 249
|
32 691 412
|
20 909 134
|
10 272 648
|
14 517 987
|
24 848 751
|
29 110 573
|
28 985 000
|
|
| Accrued Liabilities |
171 312
|
157 287
|
146 489
|
89 629
|
183 112
|
92 669
|
307 915
|
426 579
|
716 862
|
703 609
|
1 288 293
|
971 214
|
1 472 494
|
1 474 199
|
1 909 155
|
1 674 616
|
2 957 583
|
5 218 387
|
5 475 948
|
4 739 279
|
6 199 483
|
10 155 180
|
8 138 448
|
8 116 781
|
|
| Short-Term Debt |
40 572
|
145 426
|
157 221
|
148 492
|
232 899
|
83 354
|
60 202
|
465 378
|
31 200
|
190 819
|
3 782
|
14 748
|
32 749
|
23 209
|
23 750
|
304 397
|
1 192 573
|
6 856 689
|
817 923
|
696 447
|
174 672
|
1 028 860
|
294 160
|
402 430
|
|
| Current Portion of Long-Term Debt |
1 412 656
|
2 614 032
|
2 515 774
|
148 833
|
739 773
|
1 770 282
|
1 981 021
|
1 427 623
|
1 337 516
|
2 790 693
|
2 583 600
|
2 703 945
|
1 608 230
|
1 255 484
|
1 112 145
|
723 673
|
723 436
|
163 984
|
2 660 673
|
3 348 821
|
6 030 743
|
958 472
|
1 000 283
|
3 801 043
|
|
| Other Current Liabilities |
171 222
|
177 955
|
136 672
|
246 078
|
389 068
|
267 179
|
731 868
|
1 187 833
|
976 072
|
702 717
|
750 933
|
970 800
|
865 624
|
1 579 519
|
1 828 143
|
1 533 790
|
3 263 721
|
3 855 244
|
2 721 851
|
1 886 629
|
3 566 333
|
5 046 139
|
4 494 835
|
3 997 301
|
|
| Total Current Liabilities |
2 957 705
|
4 316 761
|
3 811 679
|
2 046 390
|
3 605 967
|
4 028 416
|
5 253 733
|
7 874 135
|
7 225 966
|
9 919 225
|
14 930 069
|
11 327 164
|
14 560 664
|
16 297 816
|
18 280 285
|
18 355 948
|
28 376 562
|
48 785 716
|
32 585 529
|
20 943 824
|
30 489 218
|
42 037 402
|
43 038 299
|
45 302 555
|
|
| Long-Term Debt |
2 453 737
|
481 191
|
579 298
|
1 534 247
|
2 759 800
|
2 434 948
|
1 842 476
|
2 967 353
|
2 367 322
|
2 698 843
|
2 116 023
|
3 194 016
|
3 288 821
|
1 318 612
|
1 147 463
|
85 218
|
2 763 118
|
3 285 747
|
10 611 852
|
8 436 053
|
2 981 541
|
1 014 835
|
17 580 333
|
15 962 847
|
|
| Deferred Income Tax |
1 988
|
863
|
19 414
|
3 854
|
502
|
1 126
|
12 080
|
514 180
|
497 932
|
456 477
|
1 289 142
|
2 334 064
|
2 618 797
|
1 945 110
|
1 028 533
|
980 288
|
1 442 159
|
4 549 674
|
4 071 332
|
3 256 671
|
3 164 840
|
3 241 216
|
4 181 630
|
4 021 866
|
|
| Minority Interest |
83 042
|
88 538
|
86 042
|
36 494
|
42 208
|
46 758
|
52 852
|
71 198
|
107 370
|
29 068
|
1 183 499
|
2 664 701
|
2 428 943
|
1 916 456
|
1 330 603
|
1 761 888
|
2 175 465
|
3 271 349
|
2 898 018
|
2 860 757
|
3 262 834
|
4 815 704
|
4 791 090
|
5 227 779
|
|
| Other Liabilities |
152 740
|
111 272
|
70 803
|
44 787
|
119 649
|
142 161
|
108 143
|
289 248
|
362 528
|
460 963
|
600 880
|
1 144 832
|
1 245 064
|
2 215 594
|
2 008 793
|
1 947 832
|
2 142 329
|
2 609 201
|
3 334 588
|
4 017 275
|
4 103 000
|
4 670 942
|
4 911 999
|
6 018 177
|
|
| Total Liabilities |
5 649 212
N/A
|
4 998 625
-12%
|
4 567 236
-9%
|
3 665 772
-20%
|
6 528 126
+78%
|
6 653 409
+2%
|
7 269 284
+9%
|
11 716 114
+61%
|
10 561 118
-10%
|
13 564 576
+28%
|
20 119 613
+48%
|
20 664 777
+3%
|
24 142 289
+17%
|
23 693 588
-2%
|
23 795 677
+0%
|
23 131 174
-3%
|
36 899 633
+60%
|
62 501 687
+69%
|
53 501 319
-14%
|
39 514 580
-26%
|
44 001 433
+11%
|
55 780 099
+27%
|
74 503 351
+34%
|
76 533 224
+3%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
386 400
|
386 400
|
393 288
|
712 145
|
712 902
|
712 902
|
712 902
|
831 720
|
831 720
|
831 720
|
932 534
|
932 534
|
932 534
|
932 534
|
932 534
|
932 534
|
932 534
|
932 534
|
932 534
|
932 534
|
932 534
|
932 534
|
932 534
|
932 534
|
|
| Retained Earnings |
129 017
|
429 633
|
774 943
|
1 813 480
|
2 766 912
|
3 270 810
|
4 424 763
|
6 264 912
|
9 029 232
|
11 336 674
|
15 342 706
|
18 382 728
|
20 714 036
|
24 025 125
|
24 899 310
|
27 853 559
|
32 625 444
|
40 173 497
|
46 711 575
|
49 103 846
|
56 008 958
|
70 659 455
|
66 047 354
|
77 338 893
|
|
| Additional Paid In Capital |
30 521
|
30 521
|
34 929
|
373 769
|
374 254
|
374 254
|
374 254
|
3 781 563
|
3 781 563
|
3 781 563
|
9 703 937
|
9 703 937
|
9 703 937
|
9 703 937
|
9 703 937
|
9 703 937
|
9 703 937
|
9 703 937
|
9 703 937
|
9 703 937
|
9 703 937
|
9 703 937
|
9 703 937
|
9 703 937
|
|
| Unrealized Security Profit/Loss |
8 144
|
13 431
|
27 104
|
41 148
|
82 114
|
82 114
|
57 480
|
65 691
|
65 691
|
65 691
|
216 666
|
196 416
|
152 316
|
173 016
|
101 241
|
181 631
|
179 831
|
268 123
|
197 146
|
18 957
|
20 003
|
20 254
|
20 254
|
19 386
|
|
| Treasury Stock |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
3 191 273
|
3 191 273
|
3 191 273
|
|
| Other Equity |
277 180
|
264 686
|
258 939
|
163 053
|
169 531
|
154 357
|
163 936
|
187 721
|
135 504
|
120 690
|
124 606
|
420 241
|
1 717 132
|
1 778 577
|
2 282 700
|
2 188 394
|
1 920 714
|
2 701 239
|
666 864
|
527 109
|
1 894 491
|
6 573 214
|
5 737 746
|
8 143 917
|
|
| Total Equity |
814 974
N/A
|
1 097 809
+35%
|
1 489 203
+36%
|
3 103 595
+108%
|
4 105 713
+32%
|
4 594 437
+12%
|
5 733 335
+25%
|
11 131 607
+94%
|
13 843 710
+24%
|
16 136 338
+17%
|
26 320 449
+63%
|
29 635 856
+13%
|
33 219 955
+12%
|
36 613 189
+10%
|
37 919 722
+4%
|
40 860 055
+8%
|
45 362 460
+11%
|
53 779 330
+19%
|
58 212 056
+8%
|
60 286 383
+4%
|
68 559 923
+14%
|
84 698 121
+24%
|
79 250 552
-6%
|
92 947 394
+17%
|
|
| Total Liabilities & Equity |
6 464 186
N/A
|
6 096 434
-6%
|
6 056 439
-1%
|
6 769 367
+12%
|
10 633 839
+57%
|
11 247 846
+6%
|
13 002 619
+16%
|
22 847 721
+76%
|
24 404 828
+7%
|
29 700 914
+22%
|
46 440 062
+56%
|
50 300 633
+8%
|
57 362 244
+14%
|
60 306 777
+5%
|
61 715 399
+2%
|
63 991 229
+4%
|
82 262 093
+29%
|
116 281 017
+41%
|
111 713 375
-4%
|
99 800 963
-11%
|
112 561 356
+13%
|
140 478 220
+25%
|
153 753 903
+9%
|
169 480 618
+10%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
2 286
|
2 286
|
2 327
|
3 097
|
3 100
|
3 100
|
3 100
|
3 460
|
3 460
|
3 460
|
3 730
|
3 730
|
3 730
|
3 730
|
3 730
|
3 730
|
3 730
|
3 730
|
3 730
|
3 730
|
3 730
|
3 632
|
3 632
|
3 632
|
|