Selamat Sempurna Tbk PT
IDX:SMSM
Balance Sheet
Balance Sheet Decomposition
Selamat Sempurna Tbk PT
Selamat Sempurna Tbk PT
Balance Sheet
Selamat Sempurna 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 |
42 714
|
94 030
|
71 938
|
5 765
|
36 237
|
7 310
|
8 908
|
13 616
|
8 680
|
14 305
|
16 616
|
59 381
|
50 099
|
41 560
|
102 264
|
88 510
|
53 725
|
63 010
|
214 032
|
388 315
|
405 301
|
266 710
|
1 129 830
|
1 113 504
|
|
| Cash |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
50 099
|
41 560
|
102 264
|
88 510
|
53 725
|
63 010
|
214 032
|
388 315
|
405 301
|
266 710
|
332 924
|
526 297
|
|
| Cash Equivalents |
42 714
|
94 030
|
71 938
|
5 765
|
36 237
|
7 310
|
8 908
|
13 616
|
8 680
|
14 305
|
16 616
|
59 381
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
796 906
|
587 207
|
|
| Short-Term Investments |
0
|
6 003
|
7 490
|
7 315
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
43 300
|
34 300
|
20 699
|
8 000
|
17 275
|
3 850
|
30 000
|
304 500
|
256 100
|
714 868
|
32 406
|
56 159
|
|
| Total Receivables |
125 164
|
92 863
|
127 952
|
160 610
|
168 991
|
203 739
|
207 857
|
244 417
|
279 098
|
314 123
|
358 253
|
430 808
|
561 027
|
574 663
|
614 004
|
732 160
|
769 307
|
942 463
|
1 024 031
|
825 905
|
935 242
|
908 482
|
1 085 892
|
1 079 277
|
|
| Accounts Receivables |
123 492
|
90 313
|
126 011
|
158 932
|
167 279
|
201 508
|
207 403
|
243 398
|
278 344
|
313 677
|
357 905
|
429 229
|
558 147
|
574 052
|
599 855
|
728 221
|
767 169
|
936 607
|
1 020 188
|
810 596
|
931 935
|
904 183
|
1 080 403
|
1 075 454
|
|
| Other Receivables |
1 672
|
2 550
|
1 941
|
1 678
|
1 712
|
2 231
|
454
|
1 019
|
754
|
446
|
348
|
1 579
|
2 880
|
611
|
14 149
|
3 939
|
2 138
|
5 856
|
3 843
|
15 309
|
3 307
|
4 299
|
5 489
|
3 823
|
|
| Inventory |
94 574
|
100 336
|
140 892
|
206 492
|
165 310
|
186 127
|
245 088
|
286 370
|
254 929
|
307 044
|
324 506
|
381 657
|
397 738
|
432 027
|
560 755
|
555 341
|
657 257
|
758 315
|
783 584
|
720 543
|
1 099 924
|
1 168 710
|
1 020 525
|
1 244 359
|
|
| Other Current Assets |
7 965
|
9 307
|
17 110
|
15 858
|
15 751
|
15 613
|
13 001
|
10 812
|
32 182
|
26 227
|
19 566
|
27 433
|
44 988
|
51 180
|
70 836
|
70 376
|
72 546
|
86 144
|
86 677
|
55 713
|
98 443
|
63 583
|
51 542
|
106 690
|
|
| Total Current Assets |
270 417
|
302 539
|
365 381
|
396 040
|
386 289
|
412 789
|
474 854
|
555 215
|
574 890
|
661 698
|
718 941
|
899 279
|
1 097 152
|
1 133 730
|
1 368 558
|
1 454 387
|
1 570 110
|
1 853 782
|
2 138 324
|
2 294 976
|
2 795 010
|
3 122 353
|
3 320 685
|
3 599 989
|
|
| PP&E Net |
292 049
|
267 727
|
255 589
|
248 296
|
252 425
|
267 035
|
325 909
|
364 437
|
350 311
|
391 528
|
403 758
|
496 698
|
555 231
|
558 835
|
775 483
|
721 366
|
717 084
|
762 781
|
779 115
|
865 267
|
858 904
|
1 028 558
|
1 046 545
|
1 125 415
|
|
| PP&E Gross |
292 049
|
267 727
|
255 589
|
248 296
|
252 425
|
267 035
|
325 909
|
364 437
|
350 311
|
391 528
|
403 758
|
496 698
|
555 231
|
558 835
|
775 483
|
721 366
|
717 084
|
762 781
|
779 115
|
865 267
|
858 904
|
1 028 558
|
1 046 545
|
1 125 415
|
|
| Accumulated Depreciation |
179 769
|
232 282
|
280 339
|
325 300
|
368 655
|
419 056
|
469 012
|
537 478
|
612 091
|
684 993
|
770 718
|
936 014
|
1 092 769
|
1 195 134
|
1 291 622
|
1 383 956
|
1 496 165
|
1 607 974
|
1 860 805
|
2 009 398
|
2 118 708
|
2 213 937
|
2 324 513
|
2 436 297
|
|
| Intangible Assets |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
13 178
|
10 609
|
3 757
|
|
| Note Receivable |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
6 168
|
0
|
0
|
0
|
0
|
|
| Long-Term Investments |
2 647
|
2 647
|
2 647
|
2 647
|
22 078
|
34 371
|
26 504
|
6 820
|
12 814
|
10 198
|
10 198
|
37 123
|
36 037
|
34 569
|
32 066
|
34 576
|
101 684
|
128 990
|
106 696
|
129 871
|
133 695
|
143 665
|
126 854
|
133 904
|
|
| Other Long-Term Assets |
1 930
|
10 714
|
8 992
|
3 947
|
2 345
|
2 491
|
2 783
|
3 281
|
3 636
|
3 679
|
3 961
|
8 104
|
12 683
|
30 500
|
44 001
|
44 411
|
54 463
|
55 650
|
82 846
|
79 244
|
81 253
|
71 823
|
84 125
|
100 874
|
|
| Total Assets |
567 043
N/A
|
583 627
+3%
|
632 610
+8%
|
650 930
+3%
|
663 138
+2%
|
716 686
+8%
|
830 050
+16%
|
929 753
+12%
|
941 651
+1%
|
1 067 103
+13%
|
1 136 858
+7%
|
1 441 204
+27%
|
1 701 103
+18%
|
1 757 634
+3%
|
2 220 108
+26%
|
2 254 740
+2%
|
2 443 341
+8%
|
2 801 203
+15%
|
3 106 981
+11%
|
3 375 526
+9%
|
3 868 862
+15%
|
4 379 577
+13%
|
4 588 818
+5%
|
4 963 939
+8%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
32 716
|
28 907
|
51 156
|
58 623
|
52 274
|
67 582
|
68 679
|
70 777
|
160 804
|
124 834
|
86 470
|
106 176
|
163 970
|
152 366
|
176 751
|
245 818
|
194 232
|
251 669
|
260 196
|
184 635
|
270 267
|
262 710
|
259 368
|
369 270
|
|
| Accrued Liabilities |
16 229
|
12 533
|
20 416
|
24 069
|
22 966
|
16 316
|
17 512
|
28 099
|
24 215
|
46 357
|
52 432
|
47 067
|
46 127
|
32 724
|
76 885
|
66 722
|
77 572
|
69 566
|
67 691
|
57 511
|
107 036
|
98 341
|
102 465
|
128 429
|
|
| Short-Term Debt |
7 064
|
11 259
|
15 939
|
30 546
|
110 791
|
116 221
|
179 953
|
189 828
|
163 718
|
41 021
|
103 210
|
111 593
|
146 160
|
132 148
|
77 355
|
105 497
|
54 332
|
44 591
|
33 321
|
26 081
|
100 636
|
90 703
|
70 532
|
35 227
|
|
| Current Portion of Long-Term Debt |
196
|
0
|
0
|
99 694
|
0
|
0
|
0
|
0
|
0
|
79 578
|
0
|
142 380
|
66 250
|
127 408
|
141 360
|
9 962
|
11 818
|
12 833
|
19 494
|
27 114
|
40 924
|
40 713
|
49 094
|
46 647
|
|
| Other Current Liabilities |
6 256
|
3 681
|
1 519
|
3 204
|
10 929
|
7 452
|
11 671
|
16 707
|
13 519
|
12 564
|
22 617
|
55 320
|
100 541
|
92 154
|
99 361
|
80 483
|
81 959
|
91 457
|
80 490
|
103 051
|
150 556
|
212 320
|
165 055
|
189 900
|
|
| Total Current Liabilities |
62 461
|
56 381
|
89 029
|
216 137
|
196 960
|
207 571
|
277 815
|
305 411
|
362 255
|
304 354
|
264 728
|
462 535
|
523 047
|
536 800
|
571 712
|
508 482
|
419 913
|
470 116
|
461 192
|
398 392
|
669 419
|
704 787
|
646 514
|
769 473
|
|
| Long-Term Debt |
97 859
|
98 470
|
99 082
|
0
|
0
|
0
|
0
|
0
|
0
|
158 703
|
159 278
|
110 975
|
114 815
|
0
|
94 968
|
41 696
|
39 778
|
32 357
|
28 285
|
155 956
|
140 829
|
219 368
|
176 394
|
141 670
|
|
| Deferred Income Tax |
12 574
|
13 085
|
13 537
|
16 084
|
18 156
|
18 237
|
22 573
|
18 194
|
12 743
|
7 463
|
6 251
|
2 615
|
0
|
0
|
7 333
|
0
|
0
|
0
|
0
|
0
|
0
|
13
|
0
|
3 262
|
|
| Minority Interest |
58 239
|
60 625
|
62 685
|
62 814
|
65 349
|
25 976
|
31 289
|
41 323
|
45 574
|
48 303
|
64 749
|
175 084
|
169 240
|
139 306
|
220 456
|
202 292
|
236 351
|
287 078
|
353 156
|
374 185
|
390 848
|
422 626
|
414 476
|
453 477
|
|
| Other Liabilities |
4 786
|
6 948
|
10 950
|
12 737
|
12 152
|
13 841
|
16 169
|
18 604
|
23 257
|
28 906
|
35 988
|
44 751
|
56 442
|
98 714
|
105 847
|
124 507
|
155 466
|
148 453
|
175 201
|
172 668
|
146 981
|
136 377
|
124 370
|
123 519
|
|
| Total Liabilities |
235 919
N/A
|
235 509
0%
|
275 282
+17%
|
307 772
+12%
|
292 617
-5%
|
265 624
-9%
|
347 846
+31%
|
383 531
+10%
|
443 830
+16%
|
547 729
+23%
|
530 994
-3%
|
795 960
+50%
|
863 544
+8%
|
774 820
-10%
|
1 000 316
+29%
|
876 977
-12%
|
851 508
-3%
|
938 004
+10%
|
1 017 834
+9%
|
1 101 201
+8%
|
1 348 077
+22%
|
1 483 171
+10%
|
1 361 754
-8%
|
1 491 401
+10%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
129 867
|
129 867
|
129 867
|
129 867
|
129 867
|
143 967
|
143 967
|
143 967
|
143 967
|
143 967
|
143 967
|
143 967
|
143 967
|
143 967
|
143 967
|
143 967
|
143 967
|
143 967
|
143 967
|
143 967
|
143 967
|
143 967
|
143 967
|
143 967
|
|
| Retained Earnings |
184 634
|
201 480
|
210 418
|
196 362
|
224 031
|
273 880
|
303 817
|
366 495
|
319 387
|
340 237
|
426 726
|
458 871
|
644 386
|
789 155
|
1 033 892
|
1 192 888
|
1 392 022
|
1 666 299
|
1 893 165
|
2 049 164
|
2 297 882
|
2 654 873
|
2 999 779
|
3 250 512
|
|
| Additional Paid In Capital |
0
|
0
|
0
|
0
|
0
|
19 395
|
19 395
|
19 395
|
19 395
|
19 395
|
19 395
|
42 407
|
49 207
|
49 692
|
49 692
|
49 899
|
49 899
|
49 899
|
49 899
|
49 899
|
49 899
|
55 309
|
56 058
|
53 574
|
|
| Other Equity |
16 624
|
16 772
|
17 043
|
16 929
|
16 624
|
13 819
|
15 025
|
16 364
|
15 072
|
15 776
|
15 776
|
0
|
0
|
0
|
7 759
|
8 991
|
5 945
|
3 034
|
2 116
|
31 295
|
29 037
|
42 257
|
27 260
|
24 485
|
|
| Total Equity |
331 125
N/A
|
348 119
+5%
|
357 328
+3%
|
343 158
-4%
|
370 522
+8%
|
451 062
+22%
|
482 204
+7%
|
546 222
+13%
|
497 822
-9%
|
519 375
+4%
|
605 864
+17%
|
645 245
+6%
|
837 559
+30%
|
982 814
+17%
|
1 219 792
+24%
|
1 377 763
+13%
|
1 591 833
+16%
|
1 863 199
+17%
|
2 089 147
+12%
|
2 274 325
+9%
|
2 520 785
+11%
|
2 896 406
+15%
|
3 227 064
+11%
|
3 472 538
+8%
|
|
| Total Liabilities & Equity |
567 043
N/A
|
583 627
+3%
|
632 610
+8%
|
650 930
+3%
|
663 138
+2%
|
716 686
+8%
|
830 050
+16%
|
929 753
+12%
|
941 651
+1%
|
1 067 103
+13%
|
1 136 858
+7%
|
1 441 204
+27%
|
1 701 103
+18%
|
1 757 634
+3%
|
2 220 108
+26%
|
2 254 740
+2%
|
2 443 341
+8%
|
2 801 203
+15%
|
3 106 981
+11%
|
3 375 526
+9%
|
3 868 862
+15%
|
4 379 577
+13%
|
4 588 818
+5%
|
4 963 939
+8%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
5 195
|
5 195
|
5 195
|
5 195
|
5 195
|
5 759
|
5 759
|
5 759
|
5 759
|
5 759
|
5 759
|
5 759
|
5 759
|
5 759
|
5 759
|
5 759
|
5 759
|
5 759
|
5 759
|
5 759
|
5 759
|
5 759
|
5 759
|
5 759
|
|