Financial Highlights

Five-year financial performance summary of PT Wijaya Karya Beton Tbk.

Balance Sheet

In million Rupiah, unless otherwise stated.

Description 2020 2021 2022 2023 2024 YoY CAGR
Assets
Current Assets 5.408.852 5.650.194 6.149.561 4.384.893 3.929.811 -10,38% -7,68%
Deferred Tax Assets 27.132 32.306 7.332 9.123 2.802 -69,29% -43,31%
Investment in Joint Ventures 12.065 7.613 6.864 3.483 1.952 -43,97% -36,58%
Investment Property 81.544 125.806 187.622 188.963 191.558 +1,37% +23,80%
Right-of-Use Assets - Net 145.329 57.963 24.899 7.377 7.476 +1,34% -52,38%
Fixed Assets - Net 2.983.489 3.183.937 3.045.751 3.003.465 3.007.716 +0,14% +0,20%
Other Non-Current Assets 11.653 24.692 25.500 34.367 53.374 +55,31% +46,29%
Total Assets 8.670.064 9.082.511 9.447.529 7.631.671 7.194.688 -5,73% -4,56%
Liabilities
Current Liabilities 4.833.351 5.055.794 5.472.903 3.727.678 3.042.007 -18,39% -10,96%
Non-Current Liabilities 411.824 541.906 336.805 277.883 465.915 +67,67% +3,13%
Total Liabilities 5.245.175 5.597.700 5.809.708 4.005.561 3.507.923 -14,42% -9,59%
Equity
Total Equity 3.424.889 3.484.811 3.637.821 3.626.110 3.686.766 +1,76% +1,86%
Equity Attributable to:
Owners of the Parent Entity 3.359.030 3.420.383 3.528.497 3.531.121 3.592.597 +1,74% +1,69%
Non-Controlling Interest 65.859 64.428 109.323 94.989 94.169 -0,87% +9,35%
Net Working Capital 541.588 594.400 676.658 657.216 887.804 +35,09% +13,15%
Numbers in parentheses indicate negative values (accounting convention). YoY = Year-over-Year, CAGR = Compound Annual Growth Rate.