PT Dua Putra Utama Makmur Tbk (IDX:DPUM)
Indonesia flag Indonesia · Delayed Price · Currency is IDR
276.00
+54.00 (24.32%)
At close: Dec 22, 2025

IDX:DPUM Balance Sheet

Millions IDR. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 2020
Period Ending
Sep '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20
Cash & Equivalents
29,9834,6146,2682,7334,681847.57
Cash & Short-Term Investments
29,9834,6146,2682,7334,681847.57
Cash Growth
1180.81%-26.40%129.38%-41.62%452.29%-18.19%
Accounts Receivable
287,569284,475263,256233,280152,244139,005
Other Receivables
4,9862,29110,19920,43057,65628,890
Receivables
292,555286,766273,456253,710209,901167,895
Inventory
135,136137,02985,826101,952156,201228,635
Prepaid Expenses
297.4---23.8489.87
Other Current Assets
703.234,1892,1821,467506.368,960
Total Current Assets
458,675432,597367,732359,861371,313406,428
Property, Plant & Equipment
589,813598,883629,880751,214787,358855,359
Long-Term Investments
5,2405,2405,2405,2405,2405,251
Long-Term Deferred Tax Assets
99,052140,378185,350238,065224,256201,509
Other Long-Term Assets
10,48711,21512,015398.77--
Total Assets
1,163,2661,188,3131,200,2171,354,7781,388,1671,468,547
Accounts Payable
9,70511,63019,77624,71728,66821,067
Accrued Expenses
127,705126,017113,552113,6466,8779,732
Short-Term Debt
-----259.79
Current Portion of Long-Term Debt
30,35234,78134,65537,21916,46210,745
Current Portion of Leases
-----142.82
Current Income Taxes Payable
8,2488,4779,70510,12110,70920,423
Other Current Liabilities
-02,662----
Total Current Liabilities
176,010183,567177,689185,70462,71662,369
Long-Term Debt
594,760587,457589,617591,203701,355698,966
Long-Term Leases
-4.8663.22116.71116.7190.3
Pension & Post-Retirement Benefits
2,1292,1292,3441,5122,5114,276
Other Long-Term Liabilities
24,42621,001--1,0134,368
Total Liabilities
797,324794,159769,712778,536767,712770,069
Common Stock
417,500417,500417,500417,500417,500417,500
Additional Paid-In Capital
708,931708,931708,931711,880711,754711,754
Retained Earnings
-758,005-729,794-692,741-550,442-504,715-425,124
Treasury Stock
-8,368-8,368-8,368-8,368-8,368-8,368
Comprehensive Income & Other
5,8845,8845,1825,6724,2852,716
Shareholders' Equity
365,942394,154430,504576,242620,455698,478
Total Liabilities & Equity
1,163,2661,188,3131,200,2171,354,7781,388,1671,468,547
Total Debt
625,112622,243624,335628,539717,934710,204
Net Cash (Debt)
-595,129-617,629-618,067-625,807-713,253-709,356
Net Cash Per Share
-142.90-148.31-148.41-150.27-171.27-
Filing Date Shares Outstanding
4,1654,1654,1654,1654,165-
Total Common Shares Outstanding
4,1654,1654,1654,1654,165-
Working Capital
282,665249,030190,043174,157308,597344,059
Book Value Per Share
87.8794.65103.37138.37148.99-
Tangible Book Value
365,942394,154430,504576,242620,455698,478
Tangible Book Value Per Share
87.8794.65103.37138.37148.99-
Land
313,331313,331313,331388,688388,688388,688
Buildings
198,923198,923198,658217,487217,473217,473
Machinery
366,741365,232370,391369,993369,406371,326
Construction In Progress
5,426----30,323
Updated Sep 30, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.