PT Pratama Widya Tbk (IDX:PTPW)
Indonesia flag Indonesia · Delayed Price · Currency is IDR
995.00
+5.00 (0.51%)
Apr 17, 2026, 8:58 AM WIB

PT Pratama Widya Tbk 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
105,02970,58561,93779,55222,855
Cash & Short-Term Investments
105,02970,58561,93779,55222,855
Cash Growth
48.80%13.96%-22.14%248.08%466.66%
Accounts Receivable
261,489282,240280,411174,390193,844
Other Receivables
1,1212,4281,5841,5211,430
Receivables
262,610284,668281,996175,911195,274
Inventory
67,81569,09975,1621,275870.38
Other Current Assets
713.12842.9887.7683,18472,493
Total Current Assets
436,167425,195419,983339,922291,493
Property, Plant & Equipment
291,175290,341274,506232,631240,794
Long-Term Investments
-7,351---
Other Long-Term Assets
9,1258,2375,7086,1517,549
Total Assets
736,468731,125700,196584,468540,853
Accounts Payable
29,95252,26946,08732,82838,951
Accrued Expenses
12,75514,13914,84610,80938,603
Short-Term Debt
2,1934,7922,6061,751188.39
Current Portion of Long-Term Debt
15,57714,6409,4865,38612,540
Current Portion of Leases
1,3953,4145,1714,689363.84
Current Income Taxes Payable
1,0191,300308.93205.65266.69
Other Current Liabilities
3,8135,6654,1972,4576,374
Total Current Liabilities
66,70496,21982,70158,12697,286
Long-Term Debt
8,39813,26211,7971,8847,296
Long-Term Leases
739.53117.823,1908,079122.26
Pension & Post-Retirement Benefits
1,1431,7431,7102,1972,259
Total Liabilities
76,983111,34199,39870,285106,963
Common Stock
87,81987,81987,81987,81987,819
Additional Paid-In Capital
94,00194,00194,00194,00194,001
Retained Earnings
463,038436,253417,525331,698251,466
Comprehensive Income & Other
2,5531,6381,414624.93603.55
Total Common Equity
647,411619,711600,759514,143433,890
Minority Interest
12,07472.2239.2839.99-
Shareholders' Equity
659,485619,783600,799514,183433,890
Total Liabilities & Equity
736,468731,125700,196584,468540,853
Total Debt
28,30136,22532,24921,78820,510
Net Cash (Debt)
76,72834,36029,68857,7642,344
Net Cash Growth
123.30%15.74%-48.60%2364.04%-
Net Cash Per Share
87.3739.1333.8165.782.67
Filing Date Shares Outstanding
878.19878.19878.19878.19878.19
Total Common Shares Outstanding
878.19878.19878.19878.19878.19
Working Capital
369,464328,977337,282281,796194,206
Book Value Per Share
737.21705.67684.09585.46494.07
Tangible Book Value
647,411619,711600,759514,143433,890
Tangible Book Value Per Share
737.21705.67684.09585.46494.07
Land
72,75372,75372,75372,75372,753
Buildings
38,05530,08429,65025,69625,696
Machinery
408,311383,993325,081252,179234,026
Construction In Progress
12,780----
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.