PT Impack Pratama Industri Tbk (IDX:IMPC)
Indonesia flag Indonesia · Delayed Price · Currency is IDR
2,140.00
+40.00 (1.90%)
Apr 27, 2026, 4:14 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
5,8063,8588,4572,591481.67
Receivables
736,456695,705626,831484,275375,033
Inventory
1,302,0691,148,9071,136,460948,763822,728
Prepaid Expenses
15,48914,02113,7247,2256,589
Other Current Assets
85,01258,31489,48263,10250,284
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
247,316225,695248,948172,318115,930
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
61,70153,24556,54151,95828,689
Current Unearned Revenue
24,85120,69523,41418,09321,982
Other Current Liabilities
46,42250,36738,80435,00631,596
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
54,90754,26954,26954,26953,169
Total Common Shares Outstanding
54,90754,26954,26954,26953,169
Working Capital
1,790,941987,3931,164,6831,038,157743,663
Book Value Per Share
57.2234.9144.4337.0027.77
Tangible Book Value
2,895,6791,661,5352,173,1441,795,5201,275,554
Tangible Book Value Per Share
52.7430.6240.0433.0923.99
Land
500,779497,168498,415405,676291,899
Buildings
748,350705,011510,203481,013412,172
Machinery
1,155,7591,034,261933,864787,277732,415
Construction In Progress
22,12334,21711,516--
Source: S&P Global Market Intelligence. Standard template. Financial Sources.