PT Lippo Karawaci Tbk (MUN:LK4B)
Germany flag Germany · Delayed Price · Currency is EUR
0.0080
0.00 (0.00%)
At close: Jan 21, 2026

PT Lippo Karawaci Tbk 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
2,177,6385,328,0282,649,8452,625,9204,888,4942,993,464
Short-Term Investments
261,508280,601143,705218,794245,948334,773
Cash & Short-Term Investments
2,439,1465,608,6292,793,5502,844,7145,134,4423,328,237
Cash Growth
-66.16%100.77%-1.80%-44.59%54.27%-33.85%
Accounts Receivable
568,170516,8921,934,0651,741,5711,633,4661,882,320
Other Receivables
11,82425,65124,07447,47034,75599,839
Receivables
579,994542,5431,958,1391,789,0411,668,2211,982,159
Inventory
26,082,43727,505,39224,067,18623,386,56123,409,58426,607,446
Prepaid Expenses
305,781318,220338,027344,973210,747240,331
Other Current Assets
584,701545,988659,787778,812951,908920,057
Total Current Assets
29,992,05934,520,77229,816,68929,144,10131,374,90233,078,230
Property, Plant & Equipment
3,712,6763,873,58911,697,58711,490,95511,109,4118,787,101
Long-Term Investments
11,111,98511,007,8212,808,6713,469,7814,469,3624,162,665
Goodwill
146,264146,264550,240550,240550,240550,240
Other Intangible Assets
13,16212,19095,806127,747130,893117,468
Long-Term Deferred Tax Assets
89,18381,37488,22097,50391,783140,185
Other Long-Term Assets
4,287,7474,141,8494,513,6114,990,5704,354,3455,029,591
Total Assets
49,353,07653,783,85949,570,82449,870,89752,080,93651,865,480
Accounts Payable
554,491655,173606,056505,767676,766939,437
Accrued Expenses
528,685622,9741,747,0351,654,1721,522,1211,525,579
Short-Term Debt
780,300900,0002,295,0001,882,4021,236,0511,540,000
Current Portion of Long-Term Debt
425,8321,599,234491,875163,490186,633182,884
Current Portion of Leases
308,398295,796575,112600,435622,563771,259
Current Income Taxes Payable
58,18091,401255,731246,465344,391199,728
Current Unearned Revenue
2,859,8755,662,1562,625,6912,817,6463,243,1543,751,188
Other Current Liabilities
1,244,8001,281,2481,327,4811,455,5831,774,2881,663,783
Total Current Liabilities
6,760,56111,107,9829,923,9819,325,9609,605,96710,573,858
Long-Term Debt
3,723,2193,932,76211,593,15113,142,25912,122,26012,002,555
Long-Term Leases
3,388,8153,477,7225,315,1415,402,2585,699,7463,423,900
Long-Term Unearned Revenue
3,988,2513,923,2532,496,2482,224,0121,402,4411,563,689
Pension & Post-Retirement Benefits
208,477166,278325,995297,990338,600355,287
Long-Term Deferred Tax Liabilities
17,89619,41270,53770,83359,55864,279
Other Long-Term Liabilities
256,975209,381239,340267,694366,355308,257
Total Liabilities
18,344,19422,836,79029,964,39330,731,00629,594,92728,291,825
Common Stock
7,089,8027,089,8027,089,8027,089,8027,089,8027,089,802
Additional Paid-In Capital
11,454,78311,454,78311,454,78311,454,78311,467,16210,509,171
Retained Earnings
8,201,7077,851,982-10,911,544-10,961,724-8,271,890-6,617,294
Treasury Stock
-11,384-11,384-11,384-11,051-67,850-124,949
Comprehensive Income & Other
3,358,9833,483,3497,692,9467,750,7498,534,7558,620,749
Total Common Equity
30,093,89129,868,53215,314,60315,322,55918,751,97919,477,479
Minority Interest
914,9911,078,5374,291,8283,817,3323,734,0304,096,176
Shareholders' Equity
31,008,88230,947,06919,606,43119,139,89122,486,00923,573,655
Total Liabilities & Equity
49,353,07653,783,85949,570,82449,870,89752,080,93651,865,480
Total Debt
8,626,56410,205,51420,270,27921,190,84419,867,25317,920,598
Net Cash (Debt)
-6,187,418-4,596,885-17,476,729-18,346,130-14,732,811-14,592,361
Net Cash Per Share
-87.30-64.86-246.58-258.99-208.15-206.57
Filing Date Shares Outstanding
70,87770,87770,87770,87970,79570,713
Total Common Shares Outstanding
70,87770,87770,87770,87970,79570,713
Working Capital
23,231,49823,412,79019,892,70819,818,14121,768,93522,504,372
Book Value Per Share
424.59421.41216.07216.18264.88275.44
Tangible Book Value
29,934,46529,710,07814,668,55714,644,57218,070,84618,809,771
Tangible Book Value Per Share
422.34419.18206.96206.61255.26266.00
Land
143,402153,8221,470,7771,147,651654,103775,358
Buildings
1,235,6291,201,0043,968,5823,785,9533,495,4273,330,512
Machinery
1,084,5911,008,7755,422,3065,164,2595,122,4844,834,292
Construction In Progress
421,685398,9062,065,1311,684,7301,080,0201,180,450
Source: S&P Global Market Intelligence. Standard template. Financial Sources.