PT Impack Pratama Industri Tbk (IDX:IMPC)
Indonesia flag Indonesia · Delayed Price · Currency is IDR
2,240.00
-40.00 (-1.75%)
Apr 2, 2026, 4:09 PM WIB

IDX:IMPC Balance Sheet

Millions IDR. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
711,327289,188287,532204,230128,799
Trading Asset Securities
---47,300-
Cash & Short-Term Investments
711,327289,188287,532251,530128,799
Cash Growth
145.97%0.58%14.31%95.29%-45.76%
Accounts Receivable
730,650691,848618,374481,684374,551
Other Receivables
-3,8588,4572,591481.67
Receivables
730,650695,705626,831484,275375,033
Inventory
1,279,0191,148,9071,136,460948,763822,728
Prepaid Expenses
72,90314,02113,7247,2256,589
Other Current Assets
56,45458,31489,48263,10250,284
Total Current Assets
2,850,3542,206,1352,154,0301,754,8951,383,432
Property, Plant & Equipment
1,938,7701,748,8351,413,7181,178,044991,145
Goodwill
20,76020,76020,76020,76020,760
Other Intangible Assets
225,315212,424217,355191,674180,410
Long-Term Deferred Tax Assets
41,86540,39057,44042,48535,798
Other Long-Term Assets
232,608238,917242,058247,618246,622
Total Assets
5,309,6724,467,4614,105,3623,435,4762,858,166
Accounts Payable
382,772256,745296,005265,501244,941
Accrued Expenses
309,017225,695248,948172,318115,930
Short-Term Debt
114,012361,399151,68929,55668,607
Current Portion of Long-Term Debt
109,210207,375131,619125,843109,157
Current Portion of Leases
73,12943,22142,32718,46218,865
Current Income Taxes Payable
-53,24556,54151,95828,689
Current Unearned Revenue
-20,69523,41418,09321,982
Other Current Liabilities
71,27350,36738,80435,00631,596
Total Current Liabilities
1,059,4131,218,742989,348716,738639,768
Long-Term Debt
435,458766,561208,277335,055380,244
Long-Term Leases
317,729215,648159,04747,50737,403
Pension & Post-Retirement Benefits
92,930103,658116,652109,463112,388
Long-Term Deferred Tax Liabilities
6,12817,9436,3431,984-
Total Liabilities
1,911,6572,322,5511,479,6681,210,7461,169,804
Common Stock
549,070542,685542,68549,33548,335
Additional Paid-In Capital
585,5036,3236,323499,673168,919
Retained Earnings
2,565,6271,933,8141,633,9921,369,7731,166,195
Comprehensive Income & Other
-558,446-588,103228,25989,17493,275
Total Common Equity
3,141,7541,894,7202,411,2602,007,9551,476,724
Minority Interest
256,261250,191214,435216,775211,638
Shareholders' Equity
3,398,0162,144,9102,625,6952,224,7301,688,362
Total Liabilities & Equity
5,309,6724,467,4614,105,3623,435,4762,858,166
Total Debt
1,049,5371,594,203692,960556,423614,277
Net Cash (Debt)
-338,210-1,305,014-405,427-304,893-485,478
Net Cash Per Share
-6.21-24.05-13.98-5.72-9.13
Filing Date Shares Outstanding
54,84654,26954,26954,26953,169
Total Common Shares Outstanding
54,84654,26954,26954,26953,169
Working Capital
1,790,941987,3931,164,6831,038,157743,663
Book Value Per Share
57.2834.9144.4337.0027.77
Tangible Book Value
2,895,6791,661,5352,173,1441,795,5201,275,554
Tangible Book Value Per Share
52.8030.6240.0433.0923.99
Land
-497,168498,415405,676291,899
Buildings
-705,011510,203481,013412,172
Machinery
-1,034,261933,864787,277732,415
Construction In Progress
-34,21711,516--
Source: S&P Global Market Intelligence. Standard template. Financial Sources.