PT Murni Sadar Tbk (IDX:MTMH)
Indonesia flag Indonesia · Delayed Price · Currency is IDR
915.00
+10.00 (1.10%)
Aug 15, 2025, 9:32 AM WIB

PT Murni Sadar 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
2,64710,6904,94633,04776,143956.46
Short-Term Investments
-----82.05
Cash & Short-Term Investments
2,64710,6904,94633,04776,1431,039
Cash Growth
-12.23%116.13%-85.03%-56.60%7231.92%-
Accounts Receivable
200,514146,528148,097121,711117,89364,970
Other Receivables
1,048948.21864.511,6231,3733,495
Receivables
201,562147,476148,961123,334119,26668,465
Inventory
35,83339,45132,12832,88137,51717,646
Prepaid Expenses
397.922,2231,6301,6361,1651,576
Other Current Assets
25,56526,52528,94436,90410,4362,461
Total Current Assets
266,004226,364216,609227,801244,52791,186
Property, Plant & Equipment
2,181,5092,092,9811,591,3951,188,7401,068,034694,397
Goodwill
12,54812,54812,54810,9357,1065,207
Other Intangible Assets
1,0951,5532,5351,4591,355234.13
Long-Term Deferred Tax Assets
49,38043,13833,98324,90412,98314,606
Other Long-Term Assets
---198,905579.99-
Total Assets
2,510,5352,376,5841,857,0701,652,7431,334,585805,630
Accounts Payable
267,098244,843173,79699,968116,49175,862
Accrued Expenses
9,0716,7514,8564,3454,8574,309
Short-Term Debt
136,47692,18664,6522,00518,57144,460
Current Portion of Long-Term Debt
114,75999,81862,16267,05944,51834,209
Current Portion of Leases
1,6615,2811,5242,029885.13-
Current Income Taxes Payable
14,9494,2756,16211,46755,72111,250
Current Unearned Revenue
7,3913,6742,8192,066241.152,025
Other Current Liabilities
11,2338,7362,5613,9623,6764,190
Total Current Liabilities
562,638465,564318,532192,901244,960176,305
Long-Term Debt
415,274417,872335,535260,241307,813560,684
Long-Term Leases
45,05042,95431,15531,3595,375-
Total Liabilities
1,056,402956,532708,746502,258577,551755,143
Common Stock
206,853206,853206,853206,853181,4505,000
Additional Paid-In Capital
332,420332,420332,420332,42037,137-
Retained Earnings
176,116141,066134,978145,30474,312-22,906
Comprehensive Income & Other
701,063701,063449,762449,108448,21860,237
Total Common Equity
1,416,4521,381,4011,124,0121,133,684741,11842,331
Minority Interest
37,68238,65124,31216,80115,9168,156
Shareholders' Equity
1,454,1331,420,0521,148,3241,150,485757,03450,487
Total Liabilities & Equity
2,510,5352,376,5841,857,0701,652,7431,334,585805,630
Total Debt
713,221658,112495,028362,693377,163639,352
Net Cash (Debt)
-710,574-647,422-490,082-329,646-301,020-638,314
Net Cash Per Share
-343.52-312.99-236.92-165.49-837.58-1276.63
Filing Date Shares Outstanding
2,0692,0692,0692,0691,815500
Total Common Shares Outstanding
2,0692,0692,0692,0691,815500
Working Capital
-296,634-239,199-101,92334,900-432.87-85,118
Book Value Per Share
684.76667.82543.39548.06408.4484.66
Tangible Book Value
1,402,8091,367,3011,108,9301,121,290732,65636,890
Tangible Book Value Per Share
678.17661.00536.10542.07403.7873.78
Land
750,012750,012590,751417,693372,449163,317
Buildings
559,826559,826466,950363,615311,272390,095
Machinery
626,525578,385542,071427,534356,812561,427
Construction In Progress
267,152155,508152,15442,59830,8109,798
Source: S&P Global Market Intelligence. Standard template. Financial Sources.