Batavia Prosperindo Internasional Tbk PT
IDX:BPII

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Batavia Prosperindo Internasional Tbk PT Logo
Batavia Prosperindo Internasional Tbk PT
IDX:BPII
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Price: 580 IDR 1.75% Market Closed
Market Cap: 6T IDR
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Balance Sheet

Balance Sheet Decomposition
Batavia Prosperindo Internasional Tbk PT

Current Assets 1.1T
Cash & Short-Term Investments 241.4B
Receivables 619.7B
Other Current Assets 275B
Non-Current Assets 3.5T
Long-Term Investments 927.4B
PP&E 1.8T
Other Non-Current Assets 675.7B
Current Liabilities 914B
Accounts Payable 66.4B
Accrued Liabilities 38.3B
Other Current Liabilities 809.2B
Non-Current Liabilities 2.3T
Long-Term Debt 1T
Other Non-Current Liabilities 1.3T

Balance Sheet
Batavia Prosperindo Internasional Tbk PT

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Balance Sheet
Currency: IDR
Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023
Assets
Cash & Cash Equivalents
97 831
26 167
19 976
28 574
62 927
57 184
150 296
134 526
728 653
361 428
Cash
26 167
26 167
19 976
28 574
62 927
57 184
31 296
67 426
29 614
91 374
Cash Equivalents
71 664
0
0
0
0
0
119 000
67 100
699 039
270 054
Total Receivables
129 009
119 462
75 903
129 009
316 484
422 894
344 507
317 215
278 451
503 078
Inventory
0
0
0
0
20
67
235
308
614
0
Other Current Assets
2 481
1 814
1 214
2 481
42 855
36 146
31 392
48 402
60 586
102 135
Total Current Assets
160 064
147 443
97 093
160 064
422 286
516 291
526 430
500 451
1 068 304
966 642
PP&E Net
2 895
2 471
1 571
2 895
645 852
656 031
668 478
947 086
1 164 087
1 493 090
PP&E Gross
2 895
2 471
1 571
2 895
645 852
656 031
668 478
947 086
1 164 087
1 493 090
Accumulated Depreciation
16 771
16 771
14 831
11 755
65 537
66 961
80 488
90 836
35 576
41 488
Note Receivable
256
1 109
1 115
256
1 385 010
1 437 361
1 119 318
919 621
48 798
31 398
Long-Term Investments
497 077
396 076
409 448
497 077
373 164
323 513
249 913
385 094
553 120
946 461
Other Long-Term Assets
4 186
3 024
3 714
4 186
69 516
87 147
116 190
97 808
264 665
335 039
Other Assets
764
777
763
764
18 328
50 014
118 577
114 009
179 770
389 663
Total Assets
665 242
N/A
550 901
-17%
513 704
-7%
665 242
+29%
2 914 157
+338%
3 070 356
+5%
2 798 907
-9%
2 964 069
+6%
3 278 744
+11%
4 162 292
+27%
Liabilities
Accounts Payable
105 423
104 967
56 519
105 423
60 901
113 123
61 863
52 123
50 117
90 285
Accrued Liabilities
10 352
6 235
8 024
10 352
22 748
37 212
34 008
36 775
20 061
20 832
Short-Term Debt
0
0
0
0
0
0
0
0
0
0
Current Portion of Long-Term Debt
0
0
0
0
0
0
0
401 379
206 205
242 079
Other Current Liabilities
11 057
62 392
7 856
11 057
80 026
95 726
103 835
112 540
220 667
426 652
Total Current Liabilities
126 831
173 594
72 399
126 831
163 675
246 062
199 706
602 818
497 049
779 847
Long-Term Debt
0
0
0
0
1 308 100
1 257 349
845 880
591 062
688 574
754 989
Deferred Income Tax
0
0
0
0
4 774
6 089
5 974
7 678
9 659
11 102
Minority Interest
16 744
15 130
17 382
16 744
363 555
311 562
322 582
326 587
105 154
304 804
Other Liabilities
17 585
11 350
13 834
17 585
167 466
246 467
359 262
343 225
611 776
965 885
Total Liabilities
161 160
N/A
200 074
+24%
103 615
-48%
161 160
+56%
2 007 570
+1 146%
2 067 528
+3%
1 733 404
-16%
1 871 369
+8%
1 912 212
+2%
2 816 628
+47%
Equity
Common Stock
51 401
51 401
51 401
51 401
51 401
56 222
56 222
56 222
51 550
51 550
Retained Earnings
414 773
276 576
335 652
414 773
817 963
605 650
665 619
812 389
1 367 400
1 421 511
Additional Paid In Capital
23 046
22 849
23 036
23 046
22 383
331 614
331 665
332 960
39 894
39 024
Treasury Stock
0
0
0
0
0
0
0
128 432
213 744
229 831
Other Equity
14 862
0
0
14 862
14 840
9 342
11 998
19 560
121 434
63 409
Total Equity
504 082
N/A
350 827
-30%
410 090
+17%
504 082
+23%
906 587
+80%
1 002 828
+11%
1 065 503
+6%
1 092 700
+3%
1 366 533
+25%
1 345 664
-2%
Total Liabilities & Equity
665 242
N/A
550 901
-17%
513 704
-7%
665 242
+29%
2 914 157
+338%
3 070 356
+5%
2 798 907
-9%
2 964 069
+6%
3 278 744
+11%
4 162 292
+27%
Shares Outstanding
Common Shares Outstanding
514
514
514
514
514
562
11 244
10 760
9 914
9 884

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