Surya Semesta Internusa Tbk PT
IDX:SSIA
Balance Sheet
Balance Sheet Decomposition
Surya Semesta Internusa Tbk PT
Surya Semesta Internusa Tbk PT
Balance Sheet
Surya Semesta Internusa 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 |
65 986
|
54 248
|
57 693
|
55 102
|
71 009
|
126 507
|
135 948
|
218 387
|
209 696
|
244 929
|
584 075
|
1 432 017
|
463 898
|
592 821
|
491 547
|
794 448
|
535 522
|
447 669
|
303 222
|
850 910
|
782 186
|
1 136 027
|
1 219 049
|
2 633 758
|
|
| Cash |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
1 432 017
|
463 898
|
592 821
|
491 547
|
794 448
|
535 522
|
447 669
|
303 222
|
218 984
|
366 872
|
518 517
|
836 062
|
1 182 353
|
|
| Cash Equivalents |
65 986
|
54 248
|
57 693
|
55 102
|
71 009
|
126 507
|
135 948
|
218 387
|
209 696
|
244 929
|
584 075
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
631 926
|
415 314
|
617 510
|
382 987
|
1 451 405
|
|
| Short-Term Investments |
53 708
|
39 511
|
7 707
|
19 945
|
41 720
|
9 029
|
33 143
|
14 562
|
18 930
|
10 293
|
1 256
|
460 350
|
1 230 533
|
580 834
|
432 677
|
727 410
|
644 677
|
1 136 016
|
1 414 323
|
109 707
|
87 969
|
103 598
|
129 446
|
153 461
|
|
| Total Receivables |
63 684
|
97 158
|
146 815
|
194 028
|
274 848
|
208 117
|
248 789
|
441 406
|
358 543
|
453 313
|
645 158
|
663 991
|
1 166 241
|
891 752
|
1 126 151
|
1 168 358
|
3 329 385
|
1 255 070
|
1 535 595
|
1 443 655
|
1 431 739
|
1 570 009
|
1 442 586
|
1 275 155
|
|
| Accounts Receivables |
40 796
|
53 664
|
64 070
|
64 172
|
112 954
|
112 192
|
126 787
|
177 929
|
105 044
|
148 893
|
280 336
|
277 208
|
698 778
|
511 853
|
421 218
|
284 045
|
319 916
|
342 803
|
460 808
|
282 706
|
417 278
|
431 320
|
311 038
|
597 605
|
|
| Other Receivables |
22 888
|
43 494
|
82 745
|
129 856
|
161 894
|
95 925
|
122 002
|
263 477
|
253 499
|
304 420
|
364 822
|
386 783
|
467 463
|
379 899
|
704 932
|
884 313
|
3 009 469
|
912 268
|
1 074 787
|
1 160 949
|
1 014 461
|
1 138 688
|
1 131 548
|
677 550
|
|
| Inventory |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
4 525
|
5 359
|
6 464
|
8 262
|
163 816
|
458 902
|
350 778
|
475 738
|
391 698
|
414 534
|
462 782
|
422 171
|
489 515
|
552 994
|
376 227
|
313 840
|
435 094
|
|
| Other Current Assets |
41 265
|
18 909
|
18 895
|
9 637
|
23 321
|
22 544
|
26 781
|
33 027
|
50 726
|
50 170
|
207 021
|
354 800
|
398 974
|
482 532
|
373 659
|
298 765
|
161 217
|
157 125
|
382 293
|
110 300
|
153 349
|
139 009
|
129 965
|
184 717
|
|
| Total Current Assets |
224 644
|
209 825
|
231 109
|
278 712
|
410 899
|
366 197
|
444 662
|
711 908
|
643 254
|
765 169
|
1 445 772
|
3 074 973
|
3 718 548
|
2 900 936
|
2 899 771
|
3 380 679
|
5 085 335
|
3 458 662
|
4 057 604
|
3 004 088
|
3 008 237
|
3 324 869
|
3 234 886
|
4 682 185
|
|
| PP&E Net |
297 878
|
342 700
|
324 462
|
321 338
|
294 724
|
217 799
|
298 849
|
608 748
|
635 607
|
656 512
|
482 930
|
607 715
|
942 495
|
930 256
|
1 129 632
|
1 182 205
|
1 249 899
|
1 252 199
|
1 211 081
|
1 274 263
|
1 176 995
|
1 124 031
|
1 123 276
|
1 363 165
|
|
| PP&E Gross |
297 878
|
342 700
|
324 462
|
321 338
|
294 724
|
217 799
|
298 849
|
608 748
|
635 607
|
656 512
|
482 930
|
607 715
|
942 495
|
930 256
|
1 129 632
|
1 182 205
|
1 249 899
|
1 252 199
|
1 211 081
|
1 274 263
|
1 176 995
|
1 124 031
|
1 123 276
|
1 363 165
|
|
| Accumulated Depreciation |
79 438
|
86 569
|
150 598
|
168 356
|
187 405
|
207 800
|
231 021
|
516 300
|
555 197
|
545 947
|
580 819
|
637 500
|
716 655
|
809 547
|
918 246
|
1 026 779
|
1 155 566
|
1 283 828
|
1 398 527
|
1 518 762
|
1 620 406
|
1 737 555
|
1 846 977
|
1 750 195
|
|
| Goodwill |
39 488
|
33 961
|
28 434
|
22 906
|
17 379
|
11 852
|
7 538
|
3 552
|
532
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Note Receivable |
6 496
|
6 544
|
6 114
|
596
|
774
|
51
|
180
|
36 313
|
31 020
|
14 835
|
15 089
|
0
|
0
|
0
|
17 008
|
27 220
|
6 575
|
6 575
|
35 575
|
35 575
|
0
|
0
|
0
|
0
|
|
| Long-Term Investments |
865 106
|
914 649
|
775 885
|
716 254
|
639 874
|
714 989
|
742 838
|
859 896
|
881 950
|
859 054
|
915 705
|
1 015 519
|
1 066 440
|
2 071 541
|
2 331 813
|
2 488 782
|
2 476 520
|
2 619 294
|
2 709 787
|
3 245 140
|
3 433 610
|
3 606 854
|
3 876 438
|
4 118 352
|
|
| Other Long-Term Assets |
113 820
|
33 454
|
25 583
|
49 875
|
33 772
|
38 343
|
47 004
|
30 952
|
43 079
|
87 072
|
78 441
|
156 427
|
86 953
|
90 559
|
85 699
|
116 563
|
33 108
|
67 437
|
78 400
|
60 911
|
133 328
|
233 892
|
182 173
|
203 702
|
|
| Other Assets |
39 488
|
33 961
|
28 434
|
22 906
|
17 379
|
11 852
|
7 538
|
3 552
|
532
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Total Assets |
1 547 432
N/A
|
1 541 133
0%
|
1 391 587
-10%
|
1 389 681
0%
|
1 397 422
+1%
|
1 349 231
-3%
|
1 541 071
+14%
|
2 251 369
+46%
|
2 235 442
-1%
|
2 382 642
+7%
|
2 937 938
+23%
|
4 854 633
+65%
|
5 814 435
+20%
|
5 993 293
+3%
|
6 463 923
+8%
|
7 195 448
+11%
|
8 851 437
+23%
|
7 404 167
-16%
|
8 092 447
+9%
|
7 619 976
-6%
|
7 752 171
+2%
|
8 289 646
+7%
|
8 416 773
+2%
|
10 367 405
+23%
|
|
| Liabilities | |||||||||||||||||||||||||
| Accounts Payable |
105 995
|
79 913
|
124 045
|
152 125
|
129 412
|
184 287
|
194 520
|
266 494
|
191 957
|
210 045
|
219 660
|
155 721
|
346 350
|
356 251
|
416 667
|
538 366
|
455 524
|
462 661
|
626 052
|
532 560
|
546 951
|
533 844
|
531 186
|
543 022
|
|
| Accrued Liabilities |
222 981
|
138 893
|
97 279
|
117 717
|
29 781
|
22 526
|
29 584
|
16 471
|
26 102
|
25 911
|
25 191
|
65 712
|
41 713
|
72 775
|
52 371
|
36 863
|
58 575
|
50 885
|
44 863
|
31 939
|
34 757
|
36 969
|
46 871
|
69 966
|
|
| Short-Term Debt |
242 389
|
43 896
|
40 240
|
50 226
|
127 201
|
29 064
|
14 637
|
46 967
|
40 630
|
19 543
|
0
|
21 430
|
0
|
0
|
200 000
|
0
|
550 000
|
8 705
|
109 150
|
246 147
|
68 783
|
247 823
|
149 796
|
201 627
|
|
| Current Portion of Long-Term Debt |
19 700
|
40 195
|
57 611
|
43 110
|
25 071
|
27 228
|
114 929
|
158 529
|
146 422
|
161 806
|
77 934
|
94 198
|
118 974
|
247 918
|
130 163
|
752 500
|
226 462
|
746 577
|
136 480
|
599 084
|
302 306
|
414 081
|
242 924
|
95 807
|
|
| Other Current Liabilities |
139 740
|
117 547
|
115 558
|
140 496
|
159 861
|
145 921
|
181 813
|
280 321
|
189 125
|
333 514
|
544 382
|
1 445 460
|
1 346 706
|
1 050 150
|
1 057 595
|
568 624
|
1 349 467
|
764 303
|
796 628
|
452 957
|
499 043
|
598 691
|
550 284
|
641 700
|
|
| Total Current Liabilities |
730 805
|
420 444
|
434 733
|
503 675
|
471 326
|
409 026
|
535 483
|
768 782
|
594 236
|
750 819
|
867 167
|
1 782 521
|
1 853 744
|
1 727 094
|
1 856 796
|
1 896 353
|
2 640 028
|
2 033 130
|
1 713 173
|
1 862 688
|
1 451 840
|
1 831 408
|
1 521 061
|
1 552 123
|
|
| Long-Term Debt |
463 367
|
453 789
|
314 189
|
232 665
|
144 865
|
166 517
|
179 703
|
500 023
|
544 261
|
443 995
|
422 888
|
1 237 766
|
1 198 772
|
1 031 256
|
1 047 106
|
1 704 625
|
1 494 404
|
751 535
|
1 610 581
|
1 241 422
|
2 044 310
|
1 988 457
|
2 217 324
|
577 514
|
|
| Deferred Income Tax |
126
|
0
|
0
|
0
|
0
|
93
|
348
|
41 011
|
40 377
|
35 642
|
34 528
|
38 818
|
42 221
|
39 618
|
38 017
|
35 348
|
29 324
|
24 539
|
17 330
|
0
|
0
|
0
|
1 008
|
0
|
|
| Minority Interest |
9 681
|
9 244
|
9 655
|
10 296
|
12 903
|
15 589
|
15 850
|
23 852
|
59 998
|
84 650
|
101 178
|
70 739
|
291 371
|
384 657
|
429 560
|
440 907
|
468 251
|
441 034
|
513 738
|
479 833
|
465 915
|
419 253
|
436 448
|
2 388 648
|
|
| Other Liabilities |
52 855
|
302 900
|
288 699
|
366 570
|
195 755
|
163 894
|
203 215
|
181 077
|
238 476
|
198 456
|
412 206
|
125 899
|
107 924
|
186 605
|
184 004
|
206 295
|
210 847
|
209 957
|
273 184
|
284 792
|
205 468
|
210 313
|
233 925
|
244 094
|
|
| Total Liabilities |
1 256 835
N/A
|
1 186 376
-6%
|
1 047 275
-12%
|
1 113 206
+6%
|
824 849
-26%
|
755 119
-8%
|
934 600
+24%
|
1 514 744
+62%
|
1 477 348
-2%
|
1 513 561
+2%
|
1 837 967
+21%
|
3 255 743
+77%
|
3 494 032
+7%
|
3 369 230
-4%
|
3 555 484
+6%
|
4 283 528
+20%
|
4 842 854
+13%
|
3 460 195
-29%
|
4 128 005
+19%
|
3 868 735
-6%
|
4 167 532
+8%
|
4 449 431
+7%
|
4 409 766
-1%
|
4 762 379
+8%
|
|
| Equity | |||||||||||||||||||||||||
| Common Stock |
369 806
|
369 806
|
369 806
|
369 806
|
474 320
|
474 320
|
474 320
|
588 156
|
588 156
|
588 156
|
588 156
|
588 156
|
588 156
|
588 156
|
588 156
|
588 156
|
588 156
|
588 156
|
588 156
|
588 156
|
588 156
|
588 156
|
588 156
|
588 156
|
|
| Retained Earnings |
166 787
|
102 445
|
113 275
|
181 112
|
156 464
|
134 925
|
123 199
|
134 904
|
117 305
|
1 717
|
234 591
|
911 259
|
1 461 242
|
1 711 721
|
1 919 822
|
1 918 007
|
3 023 495
|
2 955 594
|
2 997 068
|
2 853 733
|
2 653 536
|
2 826 080
|
2 986 506
|
3 207 804
|
|
| Additional Paid In Capital |
83 532
|
83 532
|
83 532
|
83 532
|
250 754
|
250 754
|
250 754
|
286 977
|
286 977
|
286 977
|
286 977
|
286 977
|
286 977
|
286 977
|
286 977
|
290 375
|
290 375
|
290 375
|
290 375
|
290 375
|
290 375
|
290 375
|
290 375
|
291 744
|
|
| Treasury Stock |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
26 125
|
26 125
|
26 125
|
26 125
|
35 368
|
36 119
|
36 119
|
71 080
|
71 080
|
71 080
|
68 013
|
37 000
|
|
| Other Equity |
4 046
|
3 864
|
4 248
|
4 248
|
3 963
|
3 963
|
4 597
|
3 604
|
265
|
4 336
|
9 752
|
187 501
|
10 154
|
63 334
|
139 610
|
141 507
|
141 925
|
145 966
|
124 963
|
90 058
|
123 651
|
206 684
|
209 983
|
1 554 322
|
|
| Total Equity |
290 597
N/A
|
354 757
+22%
|
344 312
-3%
|
276 475
-20%
|
572 573
+107%
|
594 112
+4%
|
606 471
+2%
|
736 625
+21%
|
758 093
+3%
|
869 080
+15%
|
1 099 971
+27%
|
1 598 890
+45%
|
2 320 404
+45%
|
2 624 063
+13%
|
2 908 440
+11%
|
2 911 920
+0%
|
4 008 583
+38%
|
3 943 972
-2%
|
3 964 442
+1%
|
3 751 241
-5%
|
3 584 638
-4%
|
3 840 215
+7%
|
4 007 007
+4%
|
5 605 026
+40%
|
|
| Total Liabilities & Equity |
1 547 432
N/A
|
1 541 133
0%
|
1 391 587
-10%
|
1 389 681
0%
|
1 397 422
+1%
|
1 349 231
-3%
|
1 541 071
+14%
|
2 251 369
+46%
|
2 235 442
-1%
|
2 382 642
+7%
|
2 937 938
+23%
|
4 854 633
+65%
|
5 814 435
+20%
|
5 993 293
+3%
|
6 463 923
+8%
|
7 195 448
+11%
|
8 851 437
+23%
|
7 404 167
-16%
|
8 092 447
+9%
|
7 619 976
-6%
|
7 752 171
+2%
|
8 289 646
+7%
|
8 416 773
+2%
|
10 367 405
+23%
|
|
| Shares Outstanding | |||||||||||||||||||||||||
| Common Shares Outstanding |
2 958
|
2 958
|
2 958
|
2 958
|
3 795
|
3 795
|
3 795
|
4 705
|
4 705
|
4 705
|
4 705
|
4 705
|
4 670
|
4 670
|
4 670
|
4 670
|
4 651
|
4 649
|
4 649
|
4 549
|
4 549
|
4 549
|
4 555
|
4 624
|
|