PT Sinar Eka Selaras Tbk (IDX:ERAL)
Indonesia flag Indonesia · Delayed Price · Currency is IDR
326.00
+2.00 (0.62%)
At close: Sep 26, 2025

PT Sinar Eka Selaras Tbk Balance Sheet

Millions IDR. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2024 FY 2023 FY 2022 FY 2021 FY 2020
Period Ending
Jun '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20
Cash & Equivalents
417,498540,338493,232186,715105.77370,599
Cash & Short-Term Investments
417,498540,338493,232186,715105.77370,599
Cash Growth
-2.74%9.55%164.16%176427.61%-99.97%-
Accounts Receivable
187,354384,829291,156141,295107,031191,675
Other Receivables
71,96972,59134,40134,620203,157222,872
Receivables
259,323457,420325,557175,915310,188414,546
Inventory
971,678842,867661,979680,771375,528194,717
Prepaid Expenses
11,01910,093889.5441.25310.91456.27
Other Current Assets
82,71752,91143,12040,96721,70011,811
Total Current Assets
1,742,2361,903,6291,524,7771,084,409707,833992,129
Property, Plant & Equipment
525,521414,992204,437134,70352,63335,119
Long-Term Investments
99,97779,199172,53993,99945,70517,274
Other Intangible Assets
52,52451,65138,92238,18137,838508.7
Long-Term Deferred Tax Assets
31,32228,36214,83811,1179,9648,903
Long-Term Deferred Charges
----948.4152.29
Other Long-Term Assets
140,64786,74944,28920,06838,64369,713
Total Assets
2,592,2272,564,5821,999,8021,382,478893,5631,123,800
Accounts Payable
392,756548,300316,127223,29569,429143,895
Accrued Expenses
41,35418,2693,0583,34419,77821,728
Short-Term Debt
----3,297365,458
Current Portion of Long-Term Debt
---3,544491.07-
Current Portion of Leases
93,51183,34737,11627,45113,4726,336
Current Income Taxes Payable
11,75718,3219,72921,796653.31433.01
Current Unearned Revenue
65.3740.33731.52451.74562.86502.14
Other Current Liabilities
217,800109,54681,096113,62822,18431,772
Total Current Liabilities
757,244777,823447,858393,510129,867570,124
Long-Term Debt
---5,710859.37-
Long-Term Leases
128,455127,74570,75555,93321,6235,907
Total Liabilities
921,299931,438533,962466,715163,137580,557
Common Stock
518,750518,750518,750415,000415,000100,000
Additional Paid-In Capital
265,221265,221265,221---
Retained Earnings
867,462828,774679,199518,174333,744152,493
Comprehensive Income & Other
1,8162,5611,881-17,994-18,320290,748
Total Common Equity
1,653,2481,615,3061,465,051915,181730,423543,241
Minority Interest
17,68017,839788.68582.542.30.92
Shareholders' Equity
1,670,9281,633,1451,465,839915,763730,426543,242
Total Liabilities & Equity
2,592,2272,564,5821,999,8021,382,478893,5631,123,800
Total Debt
221,967211,092107,87192,63839,742377,700
Net Cash (Debt)
195,532329,246385,36194,077-39,636-7,101
Net Cash Growth
-37.63%-14.56%309.62%---
Net Cash Per Share
37.6963.4784.4722.67-14.05-7.10
Filing Date Shares Outstanding
5,1885,1885,1884,1502,8211,000
Total Common Shares Outstanding
5,1885,1885,1884,1502,8211,000
Working Capital
984,9921,125,8061,076,919690,900577,966422,005
Book Value Per Share
318.70311.38282.42220.53258.93543.24
Tangible Book Value
1,600,7251,563,6551,426,129876,999692,585542,733
Tangible Book Value Per Share
308.57301.43274.92211.33245.51542.73
Buildings
131,283106,72543,90917,3165,37333,224
Machinery
169,023116,25429,40015,5061,086242.65
Construction In Progress
42,59911,0025,0242,786--
Source: S&P Global Market Intelligence. Standard template. Financial Sources.