Adhi Karya (Persero) Tbk PT
XMUN:KM6
Balance Sheet
Balance Sheet Decomposition
Adhi Karya (Persero) Tbk PT
Adhi Karya (Persero) Tbk PT
Balance Sheet
Adhi Karya (Persero) Tbk PT
| 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 |
90 036
|
182 329
|
204 319
|
174 005
|
784 298
|
364 904
|
306 902
|
242 118
|
552 203
|
326 244
|
737 885
|
465 512
|
702 348
|
658 410
|
2 691 840
|
1 068 075
|
2 030 018
|
2 311 403
|
2 972 782
|
4 335 401
|
4 271 336
|
2 243 831
|
|
| Cash |
0
|
11 645
|
21 476
|
0
|
0
|
0
|
0
|
0
|
0
|
326 244
|
737 885
|
465 512
|
702 348
|
658 410
|
2 691 840
|
1 068 075
|
2 030 018
|
2 311 403
|
2 972 782
|
4 335 401
|
4 271 336
|
2 243 831
|
|
| Cash Equivalents |
90 036
|
170 684
|
182 843
|
174 005
|
784 298
|
364 904
|
306 902
|
242 118
|
552 203
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Short-Term Investments |
4 352
|
14 270
|
15 117
|
212
|
2 290
|
859
|
281
|
2 006
|
2 132
|
622 602
|
1 202 075
|
345 900
|
3 615 000
|
2 706 500
|
1 439 334
|
2 194 962
|
1 224 992
|
52 246
|
179 496
|
1 500
|
488 861
|
360 191
|
|
| Total Receivables |
741 351
|
1 026 848
|
1 449 955
|
1 860 315
|
2 509 048
|
3 072 938
|
3 696 111
|
3 159 391
|
4 001 820
|
4 943 481
|
5 158 168
|
5 512 879
|
6 404 525
|
9 802 085
|
15 079 940
|
15 351 459
|
19 520 103
|
17 078 644
|
15 828 528
|
13 921 182
|
16 269 939
|
11 549 274
|
|
| Accounts Receivables |
201 969
|
206 101
|
489 305
|
619 778
|
776 908
|
1 116 259
|
1 333 081
|
1 092 731
|
1 023 197
|
1 343 156
|
1 503 438
|
1 953 900
|
2 231 748
|
2 906 998
|
2 922 808
|
3 354 528
|
3 904 181
|
2 986 515
|
2 727 306
|
2 983 100
|
6 822 539
|
2 444 803
|
|
| Other Receivables |
539 382
|
820 747
|
960 650
|
1 240 537
|
1 732 140
|
1 956 679
|
2 363 030
|
2 066 660
|
2 978 623
|
3 600 325
|
3 654 730
|
3 558 979
|
4 172 777
|
6 895 087
|
12 157 132
|
11 996 931
|
15 615 922
|
14 092 129
|
13 101 223
|
10 938 082
|
9 447 400
|
9 104 471
|
|
| Inventory |
103 618
|
124 639
|
155 446
|
179 041
|
264 231
|
580 234
|
510 174
|
61 766
|
218 580
|
522 339
|
1 057 844
|
1 221 426
|
1 719 998
|
2 276 458
|
3 683 145
|
4 360 891
|
4 778 582
|
6 321 043
|
7 451 040
|
6 988 293
|
5 684 613
|
5 975 401
|
|
| Other Current Assets |
138 002
|
256 812
|
289 485
|
357 864
|
392 790
|
634 042
|
690 899
|
478 551
|
602 923
|
868 432
|
943 494
|
1 620 178
|
2 249 281
|
1 391 954
|
1 923 413
|
2 411 473
|
2 761 461
|
4 327 167
|
5 169 096
|
4 347 128
|
1 865 801
|
2 389 660
|
|
| Total Current Assets |
1 077 360
|
1 604 897
|
2 114 321
|
2 571 437
|
3 952 657
|
4 652 976
|
5 204 366
|
3 943 833
|
5 377 660
|
7 283 097
|
9 099 467
|
9 165 894
|
14 691 152
|
16 835 408
|
24 817 671
|
25 386 859
|
30 315 155
|
30 090 503
|
31 600 943
|
29 593 504
|
28 580 551
|
22 518 358
|
|
| PP&E Net |
95 072
|
107 291
|
132 084
|
126 437
|
147 233
|
166 810
|
128 128
|
186 401
|
220 861
|
187 437
|
271 257
|
496 096
|
1 099 427
|
1 459 816
|
1 520 931
|
1 573 324
|
1 836 865
|
2 230 450
|
2 166 221
|
2 105 422
|
2 079 375
|
2 214 006
|
|
| PP&E Gross |
95 072
|
107 291
|
132 084
|
126 437
|
147 233
|
166 810
|
128 128
|
186 401
|
220 861
|
187 437
|
271 257
|
496 096
|
1 099 427
|
1 459 816
|
1 520 931
|
1 573 324
|
1 836 865
|
2 230 450
|
2 166 221
|
2 105 422
|
2 079 375
|
2 214 006
|
|
| Accumulated Depreciation |
51 713
|
59 072
|
69 594
|
84 618
|
97 788
|
125 480
|
150 117
|
137 592
|
129 770
|
130 893
|
140 783
|
117 054
|
148 088
|
203 861
|
328 062
|
504 490
|
650 250
|
853 093
|
1 107 478
|
1 123 292
|
1 274 997
|
1 384 441
|
|
| Note Receivable |
959
|
43 889
|
9 241
|
2 390
|
2 119
|
16 321
|
9 812
|
253 439
|
158 847
|
6 241
|
6 493
|
36 374
|
6 397
|
20 960
|
5 461
|
20 236
|
16 261
|
0
|
0
|
0
|
0
|
0
|
|
| Long-Term Investments |
14 785
|
13 633
|
56 102
|
96 558
|
197 416
|
229 979
|
260 722
|
508 503
|
311 566
|
351 638
|
278 664
|
732 610
|
777 279
|
1 444 501
|
1 565 631
|
2 739 385
|
4 028 069
|
5 309 794
|
5 674 284
|
7 681 661
|
9 083 550
|
9 428 981
|
|
| Other Long-Term Assets |
160 314
|
79 904
|
102 202
|
73 126
|
33 743
|
59 283
|
26 426
|
35 520
|
44 020
|
43 660
|
65 081
|
27 908
|
186 808
|
334 751
|
423 255
|
371 797
|
319 484
|
463 142
|
458 890
|
605 830
|
748 555
|
881 437
|
|
| Total Assets |
1 348 489
N/A
|
1 849 614
+37%
|
2 413 950
+31%
|
2 869 948
+19%
|
4 333 167
+51%
|
5 125 369
+18%
|
5 629 454
+10%
|
4 927 696
-12%
|
6 112 954
+24%
|
7 872 074
+29%
|
9 720 962
+23%
|
10 458 882
+8%
|
16 761 064
+60%
|
20 095 436
+20%
|
28 332 948
+41%
|
30 091 601
+6%
|
36 515 833
+21%
|
38 093 889
+4%
|
39 900 338
+5%
|
39 986 417
+0%
|
40 492 031
+1%
|
35 042 781
-13%
|
|
| Liabilities | |||||||||||||||||||||||
| Accounts Payable |
360 935
|
560 621
|
739 823
|
973 154
|
1 627 765
|
2 355 605
|
2 849 719
|
2 214 234
|
3 132 496
|
4 276 690
|
4 767 420
|
4 923 213
|
6 489 310
|
8 372 701
|
11 610 970
|
12 547 725
|
16 179 031
|
18 054 923
|
18 217 092
|
14 981 686
|
12 664 428
|
10 471 439
|
|
| Accrued Liabilities |
28 498
|
24 700
|
40 431
|
67 114
|
166 580
|
179 709
|
249 233
|
196 343
|
260 575
|
260 508
|
259 600
|
353 849
|
326 020
|
353 464
|
646 607
|
750 897
|
1 131 343
|
1 640 157
|
2 409 879
|
2 266 121
|
2 363 835
|
1 967 872
|
|
| Short-Term Debt |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
125 000
|
125 000
|
0
|
0
|
200 000
|
200 000
|
0
|
0
|
0
|
|
| Current Portion of Long-Term Debt |
79 516
|
183 088
|
399 029
|
765 980
|
510 685
|
224 355
|
353 741
|
304 033
|
664 297
|
200 920
|
211 800
|
658 000
|
1 115 499
|
2 719 014
|
3 662 093
|
3 913 878
|
5 628 048
|
4 486 807
|
8 231 196
|
4 895 857
|
6 543 403
|
4 498 833
|
|
| Other Current Liabilities |
222 779
|
223 395
|
397 135
|
345 769
|
963 515
|
1 203 382
|
899 576
|
736 094
|
818 120
|
1 114 456
|
1 302 837
|
1 105 557
|
1 483 634
|
1 474 190
|
1 588 619
|
1 722 200
|
1 624 305
|
2 700 762
|
2 069 285
|
2 474 416
|
3 409 510
|
3 111 286
|
|
| Total Current Liabilities |
691 728
|
991 804
|
1 576 419
|
2 152 017
|
3 268 544
|
3 963 051
|
4 352 268
|
3 450 703
|
4 875 488
|
5 852 574
|
6 541 657
|
7 040 619
|
9 414 462
|
13 044 370
|
17 633 289
|
18 934 699
|
24 562 727
|
27 082 650
|
31 127 452
|
24 618 080
|
24 981 176
|
20 049 429
|
|
| Long-Term Debt |
315 750
|
485 884
|
404 384
|
223 904
|
506 734
|
545 588
|
513 538
|
577 215
|
39 044
|
747 739
|
1 496 976
|
1 611 129
|
2 003 036
|
1 428 024
|
4 665 464
|
4 639 577
|
4 893 819
|
5 058 488
|
2 082 215
|
5 567 909
|
5 519 364
|
4 431 708
|
|
| Deferred Income Tax |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
2 112
|
19 073
|
17 827
|
19 053
|
20 606
|
27 447
|
27 247
|
27 248
|
27 131
|
36 458
|
|
| Minority Interest |
1 519
|
4 040
|
4 069
|
3 737
|
14 121
|
15 620
|
9 673
|
6 641
|
6 791
|
6 773
|
9 234
|
6 959
|
8 305
|
9 524
|
10 672
|
10 787
|
24 279
|
26 544
|
57 888
|
430 852
|
603 213
|
633 756
|
|
| Other Liabilities |
119 203
|
37 408
|
58 227
|
49 628
|
12 534
|
16 830
|
22 775
|
32 023
|
208 054
|
90 842
|
133 865
|
166 353
|
179 322
|
161 189
|
146 450
|
212 999
|
204 384
|
350 494
|
1 005 716
|
949 389
|
745 567
|
849 995
|
|
| Total Liabilities |
1 128 201
N/A
|
1 519 136
+35%
|
2 043 100
+34%
|
2 429 287
+19%
|
3 801 933
+57%
|
4 541 089
+19%
|
4 898 255
+8%
|
4 066 583
-17%
|
5 129 377
+26%
|
6 697 928
+31%
|
8 181 733
+22%
|
8 825 060
+8%
|
11 607 236
+32%
|
14 662 180
+26%
|
22 473 702
+53%
|
23 817 116
+6%
|
29 705 815
+25%
|
32 545 622
+10%
|
34 300 519
+5%
|
31 593 478
-8%
|
31 876 452
+1%
|
26 001 347
-18%
|
|
| Equity | |||||||||||||||||||||||
| Common Stock |
136 000
|
180 132
|
180 132
|
180 132
|
180 132
|
180 132
|
180 132
|
180 132
|
180 132
|
180 132
|
180 132
|
180 132
|
356 085
|
356 085
|
356 085
|
356 085
|
356 085
|
356 085
|
356 085
|
840 761
|
840 761
|
840 761
|
|
| Retained Earnings |
83 384
|
130 298
|
170 670
|
240 481
|
331 055
|
384 320
|
528 868
|
668 355
|
790 784
|
943 642
|
1 307 301
|
1 527 493
|
1 793 003
|
2 000 255
|
2 448 944
|
2 865 015
|
3 400 548
|
1 992 943
|
2 044 495
|
2 186 117
|
2 408 757
|
2 622 863
|
|
| Additional Paid In Capital |
0
|
19 144
|
19 144
|
19 144
|
19 144
|
19 144
|
19 144
|
19 144
|
19 144
|
50 004
|
50 004
|
50 004
|
2 587 944
|
2 588 834
|
2 588 834
|
2 588 834
|
2 588 834
|
2 588 834
|
2 588 834
|
4 755 656
|
4 755 656
|
4 755 656
|
|
| Unrealized Security Profit/Loss |
904
|
904
|
904
|
904
|
904
|
904
|
904
|
0
|
0
|
0
|
0
|
0
|
414 248
|
465 073
|
464 551
|
464 551
|
464 551
|
610 405
|
610 405
|
610 405
|
610 405
|
822 154
|
|
| Treasury Stock |
0
|
0
|
0
|
0
|
0
|
6 144
|
9 750
|
9 750
|
9 750
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Other Equity |
0
|
0
|
0
|
0
|
0
|
5 923
|
11 901
|
3 232
|
3 267
|
368
|
1 792
|
123 807
|
2 547
|
23 009
|
831
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Total Equity |
220 288
N/A
|
330 478
+50%
|
370 850
+12%
|
440 661
+19%
|
531 235
+21%
|
584 279
+10%
|
731 200
+25%
|
861 113
+18%
|
983 577
+14%
|
1 174 146
+19%
|
1 539 229
+31%
|
1 633 822
+6%
|
5 153 827
+215%
|
5 433 256
+5%
|
5 859 246
+8%
|
6 274 485
+7%
|
6 810 019
+9%
|
5 548 267
-19%
|
5 599 819
+1%
|
8 392 940
+50%
|
8 615 579
+3%
|
9 041 434
+5%
|
|
| Total Liabilities & Equity |
1 348 489
N/A
|
1 849 614
+37%
|
2 413 950
+31%
|
2 869 948
+19%
|
4 333 167
+51%
|
5 125 369
+18%
|
5 629 454
+10%
|
4 927 696
-12%
|
6 112 954
+24%
|
7 872 074
+29%
|
9 720 962
+23%
|
10 458 882
+8%
|
16 761 064
+60%
|
20 095 436
+20%
|
28 332 948
+41%
|
30 091 601
+6%
|
36 515 833
+21%
|
38 093 889
+4%
|
39 900 338
+5%
|
39 986 417
+0%
|
40 492 031
+1%
|
35 042 781
-13%
|
|
| Shares Outstanding | |||||||||||||||||||||||
| Common Shares Outstanding |
1 603
|
2 123
|
2 123
|
2 123
|
2 123
|
2 086
|
2 071
|
2 071
|
2 071
|
2 123
|
2 123
|
2 123
|
3 561
|
3 889
|
3 889
|
3 889
|
3 889
|
3 889
|
3 889
|
8 408
|
8 408
|
8 408
|
|