PT Surya Citra Media Tbk (IDX:SCMA)
Indonesia flag Indonesia · Delayed Price · Currency is IDR
182.00
-10.00 (-5.21%)
May 9, 2025, 4:15 PM WIB

PT Surya Citra Media Tbk Balance Sheet

Millions IDR. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2024 FY 2023 FY 2022 FY 2021 FY 2020 2015 - 2019
Period Ending
Mar '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20 2015 - 2019
Cash & Equivalents
2,911,4662,527,538634,4882,330,5383,232,181677,880
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Short-Term Investments
193,581287,1451,934,419247,68687,88872,999
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Trading Asset Securities
215,308151,486300,219---
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Cash & Short-Term Investments
3,320,3552,966,1692,869,1262,578,2243,320,069750,879
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Cash Growth
16.10%3.38%11.28%-22.34%342.16%19.41%
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Accounts Receivable
1,903,2841,967,3312,275,9232,292,1501,952,5421,853,245
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Other Receivables
368,327372,823374,237356,76092,23649,734
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Receivables
2,271,6112,340,1542,650,1592,648,9102,044,7781,902,979
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Inventory
1,258,1621,172,8891,205,5871,096,641783,593670,618
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Prepaid Expenses
492,214442,106309,098250,168123,95399,836
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Other Current Assets
302,926331,013393,1361,055,190387,964184,729
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Total Current Assets
7,645,2687,252,3327,427,1067,629,1336,660,3563,609,041
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Property, Plant & Equipment
1,959,6271,981,3481,946,9951,786,2171,677,1981,616,234
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Long-Term Investments
165,449147,322115,248156,295121,189120,061
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Goodwill
614,446619,098619,098619,098619,098614,609
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Other Intangible Assets
491,832493,974548,450588,550593,520632,480
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Long-Term Deferred Tax Assets
119,064121,251129,519116,03424,50139,190
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Other Long-Term Assets
212,786199,927266,089179,805217,579135,288
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Total Assets
11,208,47110,815,25111,052,50611,075,1329,913,4416,766,903
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Accounts Payable
430,935479,296579,712576,919491,938351,952
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Accrued Expenses
1,466,3151,129,3141,163,999791,908572,333525,755
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Current Portion of Long-Term Debt
7,3317,6134,373295,2021,460197,760
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Current Portion of Leases
4,9695,9496,2536,5475,6033,536
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Current Income Taxes Payable
91,83841,75374,73055,910162,759160,469
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Other Current Liabilities
464,665533,600449,146356,489463,604303,002
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Total Current Liabilities
2,466,0532,197,5252,278,2142,082,9751,697,6971,542,475
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Long-Term Debt
----600,0001,114,588
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Long-Term Leases
6,6346,5729,1742,7455,7488,181
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Long-Term Deferred Tax Liabilities
99,69999,665110,937129,469--
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Total Liabilities
2,736,1292,459,0052,569,9342,365,8362,452,2642,870,317
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Common Stock
739,706739,706739,706739,706739,706738,955
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Additional Paid-In Capital
407,498407,498423,804450,145449,446424,746
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Retained Earnings
7,024,5686,870,9166,909,7566,985,9956,297,6534,950,188
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Treasury Stock
-2,833,490-2,833,490-2,862,929-2,912,545-2,912,545-2,865,407
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Comprehensive Income & Other
2,300,6772,298,7002,278,4242,279,9641,813,94023,722
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Total Common Equity
7,638,9597,483,3307,488,7607,543,2636,388,1993,272,204
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Minority Interest
833,384872,917993,8121,166,0321,072,978624,383
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Shareholders' Equity
8,472,3428,356,2478,482,5728,709,2967,461,1773,896,587
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Total Liabilities & Equity
11,208,47110,815,25111,052,50611,075,1329,913,4416,766,903
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Total Debt
18,93420,13319,800304,494612,8111,324,065
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Net Cash (Debt)
3,301,4212,946,0362,849,3262,273,7302,707,258-573,186
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Net Cash Growth
16.22%3.39%25.31%-16.01%--
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Net Cash Per Share
52.0746.4945.0835.9742.83-8.08
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Filing Date Shares Outstanding
63,46763,46763,36963,20763,20763,253
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Total Common Shares Outstanding
63,46763,46763,36963,20763,20763,253
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Working Capital
5,179,2155,054,8075,148,8935,546,1584,962,6602,066,566
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Book Value Per Share
120.36117.91118.18119.34101.0751.73
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Tangible Book Value
6,532,6816,370,2586,321,2126,335,6165,175,5802,025,115
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Tangible Book Value Per Share
102.93100.3799.75100.2481.8832.02
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Land
1,000,994995,141923,110907,225903,546903,278
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Buildings
682,810674,988616,564575,469543,628527,796
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Machinery
2,775,2842,763,6922,641,4402,457,7352,206,1162,000,690
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Construction In Progress
34,84133,67840,06923,3688,21736
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Updated Mar 17, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.