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PPERF BANK MANDIRI (PERSERO) TBK

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0.369850 0.0000000.00% Trading 09/27 09:30 ET
0.000000High0.000000Low0Volume

BANK MANDIRI (PERSERO) TBK Key Stats

Quarterly+Annual
YOY
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(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
(Q1)2022/03/31
(FY)2021/12/31
(Q4)2021/12/31
(Q3)2021/09/30
Assets
Cash cash equivalents and federal funds sold
34.81%212.63T
17.30%193.51T
29.49%289.55T
29.49%289.55T
7.24%191.8T
-16.95%157.73T
-29.67%164.97T
-7.74%223.62T
-7.74%223.62T
-27.45%178.86T
-Cash and cash equivalents
28.05%195.68T
18.91%188.26T
41.54%277.85T
41.54%277.85T
7.51%179.98T
-11.29%152.81T
-18.93%158.32T
4.82%196.3T
4.82%196.3T
-11.98%167.41T
-Money market investments
244.71%16.95T
-21.05%5.25T
-57.15%11.71T
-57.15%11.71T
3.28%11.82T
-72.15%4.92T
-83.06%6.65T
-50.42%27.32T
-50.42%27.32T
-79.67%11.45T
Receivables
-0.40%45.41T
22.15%54.39T
19.15%51.56T
19.15%51.56T
2.93%50.07T
8.49%45.59T
3.56%44.53T
-0.80%43.28T
-0.80%43.28T
6.20%48.64T
Prepaid assets
34.82%4.27T
15.37%3.97T
-13.64%3.06T
-13.64%3.06T
-11.14%3.81T
-24.19%3.17T
-19.64%3.45T
-6.86%3.54T
-6.86%3.54T
29.86%4.29T
Net loan
13.20%1,203.81T
13.85%1,135.81T
15.86%1,131.13T
15.86%1,131.13T
15.19%1,092.35T
12.90%1,063.42T
9.20%997.68T
9.00%976.27T
9.00%976.27T
16.91%948.34T
-Allowance for loans and lease losses
-9.40%62.75T
-8.56%63.99T
-5.56%65.22T
-5.56%65.22T
0.61%69.44T
1.09%69.26T
3.32%69.99T
5.53%69.06T
5.53%69.06T
16.45%69.02T
-Unearned income
-36.16%-24.76T
-45.61%-23.88T
-50.70%-22.06T
-50.70%-22.06T
-54.93%-20.23T
-46.05%-18.18T
-36.69%-16.4T
-26.69%-14.64T
-26.69%-14.64T
-19.35%-13.06T
-Available for sale securities
-8.71%297.25T
0.36%320.4T
5.95%321.61T
5.95%321.61T
8.23%306.23T
45.51%325.62T
48.41%319.26T
53.17%303.54T
53.17%303.54T
59.09%282.95T
Long term equity investment
12.07%2.75T
13.92%2.75T
10.55%2.69T
10.55%2.69T
7.55%2.49T
7.56%2.46T
7.50%2.41T
8.11%2.43T
8.11%2.43T
175.95%2.32T
Derivative assets
27.00%1.93T
102.34%2.84T
34.87%2.25T
34.87%2.25T
2,829.01%2.14T
3,046.24%1.52T
2,280.75%1.41T
-35.25%1.67T
-35.25%1.67T
-3.42%73.22B
Net PPE
13.79%56.47T
14.30%56.69T
15.05%56.54T
15.05%56.54T
5.20%50.52T
3.39%49.62T
3.21%49.6T
1.73%49.14T
1.73%49.14T
3.32%48.02T
-Gross PPE
14.61%79.41T
15.00%78.82T
15.51%77.97T
15.51%77.97T
8.10%71.01T
6.55%69.28T
6.35%68.54T
4.95%67.5T
4.95%67.5T
6.64%65.68T
-Accumulated depreciation
-16.68%-22.94T
-16.84%-22.13T
-16.73%-21.43T
-16.73%-21.43T
-15.98%-20.49T
-15.47%-19.66T
-15.55%-18.94T
-14.63%-18.36T
-14.63%-18.36T
-16.86%-17.67T
Goodwill and other intangible assets
4.62%5.06T
2.10%5.02T
-0.36%5.09T
-0.36%5.09T
7.94%4.77T
11.57%4.84T
12.30%4.92T
12.46%5.11T
12.46%5.11T
29.19%4.42T
-Goodwill
0.00%787.47B
0.00%787.47B
0.00%787.47B
0.00%787.47B
--787.47B
--787.47B
--787.47B
--787.47B
--787.47B
----
-Other intangible assets
5.52%4.27T
2.50%4.24T
-0.42%4.31T
-0.42%4.31T
-9.89%3.98T
-6.60%4.05T
-5.67%4.13T
-4.87%4.32T
-4.87%4.32T
47.44%4.42T
Other assets
26.66%26.8T
-6.59%18.49T
12.12%17.4T
12.12%17.4T
7.67%16.25T
24.59%21.16T
15.78%19.8T
-3.78%15.52T
-3.78%15.52T
-2.28%15.09T
Total assets
9.98%1,963.99T
10.04%1,908.17T
15.47%1,992.54T
15.47%1,992.54T
12.30%1,839.34T
12.98%1,785.71T
9.47%1,734.07T
11.91%1,725.61T
11.91%1,725.61T
16.44%1,637.95T
Liabilities
Total deposits
8.02%1,449.35T
9.66%1,407.07T
15.46%1,507.59T
15.46%1,507.59T
12.10%1,377.51T
13.35%1,341.76T
7.67%1,283.1T
13.17%1,305.68T
13.17%1,305.68T
18.11%1,228.86T
Payables
57.37%14.88T
52.03%39.34T
58.31%11.62T
58.31%11.62T
-27.30%9.26T
4.82%9.45T
174.85%25.88T
20.28%7.34T
20.28%7.34T
114.25%12.74T
-Accounts payable
269.60%9.62T
173.01%7.81T
98.04%5.37T
98.04%5.37T
26.23%2.78T
34.78%2.6T
76.47%2.86T
40.37%2.71T
40.37%2.71T
60.06%2.21T
-Total tax payable
11.71%2.31T
3.71%3.25T
25.91%3.74T
25.91%3.74T
-19.96%2.46T
-17.55%2.07T
34.81%3.13T
44.08%2.97T
44.08%2.97T
501.24%3.07T
-Dividends payable
--693.51B
46.89%24.7T
----
----
----
----
--16.82T
----
----
----
-Other payable
-52.81%2.26T
16.68%3.58T
51.28%2.51T
51.28%2.51T
-46.17%4.01T
4.46%4.78T
-43.92%3.07T
-21.34%1.66T
-21.34%1.66T
83.90%7.46T
Long term debt and capital lease obligation
39.41%136.35T
16.31%108.28T
13.46%107.15T
13.46%107.15T
10.94%101.48T
1.70%97.8T
4.02%93.09T
5.47%94.43T
5.47%94.43T
-5.42%91.47T
Derivative product liabilities
-8.63%1.64T
73.14%1.82T
108.76%2.13T
108.76%2.13T
134.36%2.4T
19.22%1.8T
-48.13%1.05T
-35.13%1.02T
-35.13%1.02T
-38.65%1.02T
Other liabilities
-15.69%51.49T
-11.53%55.3T
42.72%53.06T
42.72%53.06T
59.84%62.84T
68.34%61.08T
38.26%62.51T
1.94%37.18T
1.94%37.18T
18.22%39.31T
Total liabilities
9.19%1,708.74T
9.59%1,666.53T
15.75%1,740.3T
15.75%1,740.3T
12.83%1,607.95T
13.78%1,564.89T
9.68%1,520.71T
12.43%1,503.5T
12.43%1,503.5T
17.07%1,425.13T
Shareholders'equity
Share capital
0.00%11.67T
0.00%11.67T
0.00%11.67T
0.00%11.67T
0.00%11.67T
0.00%11.67T
0.00%11.67T
0.00%11.67T
0.00%11.67T
0.00%11.67T
-common stock
0.00%11.67T
0.00%11.67T
0.00%11.67T
0.00%11.67T
0.00%11.67T
0.00%11.67T
0.00%11.67T
0.00%11.67T
0.00%11.67T
0.00%11.67T
Paid-in capital
0.00%17.64T
0.00%17.64T
0.00%17.64T
0.00%17.64T
0.39%17.64T
0.47%17.64T
0.61%17.64T
1.89%17.64T
1.89%17.64T
1.49%17.57T
Retained earnings
15.33%162.15T
14.61%149.48T
17.79%161.61T
17.79%161.61T
17.79%151.04T
15.72%140.6T
13.49%130.42T
20.17%137.21T
20.17%137.21T
10.37%128.23T
Less: Treasury stock
----
----
--0
--0
--0
--0
0.00%150.9B
0.00%150.9B
0.00%150.9B
0.00%150.9B
Other equity interest
0.00%-106B
0.00%-106B
0.00%-106B
0.00%-106B
0.00%-106B
0.00%-106B
0.00%-106B
0.00%-106B
0.00%-106B
0.00%-106B
Total stockholders'equity
14.05%231.01T
11.61%217.76T
12.21%229.68T
12.21%229.68T
8.13%212.1T
7.13%202.55T
7.43%195.12T
8.08%204.69T
8.08%204.69T
5.98%196.15T
Non controlling interests
32.70%24.24T
30.92%23.89T
29.51%22.57T
29.51%22.57T
15.70%19.29T
13.78%18.27T
14.78%18.24T
13.73%17.42T
13.73%17.42T
292.16%16.67T
Total equity
15.59%255.25T
13.26%241.65T
13.57%252.25T
13.57%252.25T
8.72%231.39T
7.65%220.82T
8.02%213.36T
8.51%222.11T
8.51%222.11T
12.41%212.82T
Currency Unit
IDR
IDR
IDR
IDR
IDR
IDR
IDR
IDR
IDR
IDR
(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30(Q1)2022/03/31(FY)2021/12/31(Q4)2021/12/31(Q3)2021/09/30
Assets
Cash cash equivalents and federal funds sold 34.81%212.63T17.30%193.51T29.49%289.55T29.49%289.55T7.24%191.8T-16.95%157.73T-29.67%164.97T-7.74%223.62T-7.74%223.62T-27.45%178.86T
-Cash and cash equivalents 28.05%195.68T18.91%188.26T41.54%277.85T41.54%277.85T7.51%179.98T-11.29%152.81T-18.93%158.32T4.82%196.3T4.82%196.3T-11.98%167.41T
-Money market investments 244.71%16.95T-21.05%5.25T-57.15%11.71T-57.15%11.71T3.28%11.82T-72.15%4.92T-83.06%6.65T-50.42%27.32T-50.42%27.32T-79.67%11.45T
Receivables -0.40%45.41T22.15%54.39T19.15%51.56T19.15%51.56T2.93%50.07T8.49%45.59T3.56%44.53T-0.80%43.28T-0.80%43.28T6.20%48.64T
Prepaid assets 34.82%4.27T15.37%3.97T-13.64%3.06T-13.64%3.06T-11.14%3.81T-24.19%3.17T-19.64%3.45T-6.86%3.54T-6.86%3.54T29.86%4.29T
Net loan 13.20%1,203.81T13.85%1,135.81T15.86%1,131.13T15.86%1,131.13T15.19%1,092.35T12.90%1,063.42T9.20%997.68T9.00%976.27T9.00%976.27T16.91%948.34T
-Allowance for loans and lease losses -9.40%62.75T-8.56%63.99T-5.56%65.22T-5.56%65.22T0.61%69.44T1.09%69.26T3.32%69.99T5.53%69.06T5.53%69.06T16.45%69.02T
-Unearned income -36.16%-24.76T-45.61%-23.88T-50.70%-22.06T-50.70%-22.06T-54.93%-20.23T-46.05%-18.18T-36.69%-16.4T-26.69%-14.64T-26.69%-14.64T-19.35%-13.06T
-Available for sale securities -8.71%297.25T0.36%320.4T5.95%321.61T5.95%321.61T8.23%306.23T45.51%325.62T48.41%319.26T53.17%303.54T53.17%303.54T59.09%282.95T
Long term equity investment 12.07%2.75T13.92%2.75T10.55%2.69T10.55%2.69T7.55%2.49T7.56%2.46T7.50%2.41T8.11%2.43T8.11%2.43T175.95%2.32T
Derivative assets 27.00%1.93T102.34%2.84T34.87%2.25T34.87%2.25T2,829.01%2.14T3,046.24%1.52T2,280.75%1.41T-35.25%1.67T-35.25%1.67T-3.42%73.22B
Net PPE 13.79%56.47T14.30%56.69T15.05%56.54T15.05%56.54T5.20%50.52T3.39%49.62T3.21%49.6T1.73%49.14T1.73%49.14T3.32%48.02T
-Gross PPE 14.61%79.41T15.00%78.82T15.51%77.97T15.51%77.97T8.10%71.01T6.55%69.28T6.35%68.54T4.95%67.5T4.95%67.5T6.64%65.68T
-Accumulated depreciation -16.68%-22.94T-16.84%-22.13T-16.73%-21.43T-16.73%-21.43T-15.98%-20.49T-15.47%-19.66T-15.55%-18.94T-14.63%-18.36T-14.63%-18.36T-16.86%-17.67T
Goodwill and other intangible assets 4.62%5.06T2.10%5.02T-0.36%5.09T-0.36%5.09T7.94%4.77T11.57%4.84T12.30%4.92T12.46%5.11T12.46%5.11T29.19%4.42T
-Goodwill 0.00%787.47B0.00%787.47B0.00%787.47B0.00%787.47B--787.47B--787.47B--787.47B--787.47B--787.47B----
-Other intangible assets 5.52%4.27T2.50%4.24T-0.42%4.31T-0.42%4.31T-9.89%3.98T-6.60%4.05T-5.67%4.13T-4.87%4.32T-4.87%4.32T47.44%4.42T
Other assets 26.66%26.8T-6.59%18.49T12.12%17.4T12.12%17.4T7.67%16.25T24.59%21.16T15.78%19.8T-3.78%15.52T-3.78%15.52T-2.28%15.09T
Total assets 9.98%1,963.99T10.04%1,908.17T15.47%1,992.54T15.47%1,992.54T12.30%1,839.34T12.98%1,785.71T9.47%1,734.07T11.91%1,725.61T11.91%1,725.61T16.44%1,637.95T
Liabilities
Total deposits 8.02%1,449.35T9.66%1,407.07T15.46%1,507.59T15.46%1,507.59T12.10%1,377.51T13.35%1,341.76T7.67%1,283.1T13.17%1,305.68T13.17%1,305.68T18.11%1,228.86T
Payables 57.37%14.88T52.03%39.34T58.31%11.62T58.31%11.62T-27.30%9.26T4.82%9.45T174.85%25.88T20.28%7.34T20.28%7.34T114.25%12.74T
-Accounts payable 269.60%9.62T173.01%7.81T98.04%5.37T98.04%5.37T26.23%2.78T34.78%2.6T76.47%2.86T40.37%2.71T40.37%2.71T60.06%2.21T
-Total tax payable 11.71%2.31T3.71%3.25T25.91%3.74T25.91%3.74T-19.96%2.46T-17.55%2.07T34.81%3.13T44.08%2.97T44.08%2.97T501.24%3.07T
-Dividends payable --693.51B46.89%24.7T------------------16.82T------------
-Other payable -52.81%2.26T16.68%3.58T51.28%2.51T51.28%2.51T-46.17%4.01T4.46%4.78T-43.92%3.07T-21.34%1.66T-21.34%1.66T83.90%7.46T
Long term debt and capital lease obligation 39.41%136.35T16.31%108.28T13.46%107.15T13.46%107.15T10.94%101.48T1.70%97.8T4.02%93.09T5.47%94.43T5.47%94.43T-5.42%91.47T
Derivative product liabilities -8.63%1.64T73.14%1.82T108.76%2.13T108.76%2.13T134.36%2.4T19.22%1.8T-48.13%1.05T-35.13%1.02T-35.13%1.02T-38.65%1.02T
Other liabilities -15.69%51.49T-11.53%55.3T42.72%53.06T42.72%53.06T59.84%62.84T68.34%61.08T38.26%62.51T1.94%37.18T1.94%37.18T18.22%39.31T
Total liabilities 9.19%1,708.74T9.59%1,666.53T15.75%1,740.3T15.75%1,740.3T12.83%1,607.95T13.78%1,564.89T9.68%1,520.71T12.43%1,503.5T12.43%1,503.5T17.07%1,425.13T
Shareholders'equity
Share capital 0.00%11.67T0.00%11.67T0.00%11.67T0.00%11.67T0.00%11.67T0.00%11.67T0.00%11.67T0.00%11.67T0.00%11.67T0.00%11.67T
-common stock 0.00%11.67T0.00%11.67T0.00%11.67T0.00%11.67T0.00%11.67T0.00%11.67T0.00%11.67T0.00%11.67T0.00%11.67T0.00%11.67T
Paid-in capital 0.00%17.64T0.00%17.64T0.00%17.64T0.00%17.64T0.39%17.64T0.47%17.64T0.61%17.64T1.89%17.64T1.89%17.64T1.49%17.57T
Retained earnings 15.33%162.15T14.61%149.48T17.79%161.61T17.79%161.61T17.79%151.04T15.72%140.6T13.49%130.42T20.17%137.21T20.17%137.21T10.37%128.23T
Less: Treasury stock ----------0--0--0--00.00%150.9B0.00%150.9B0.00%150.9B0.00%150.9B
Other equity interest 0.00%-106B0.00%-106B0.00%-106B0.00%-106B0.00%-106B0.00%-106B0.00%-106B0.00%-106B0.00%-106B0.00%-106B
Total stockholders'equity 14.05%231.01T11.61%217.76T12.21%229.68T12.21%229.68T8.13%212.1T7.13%202.55T7.43%195.12T8.08%204.69T8.08%204.69T5.98%196.15T
Non controlling interests 32.70%24.24T30.92%23.89T29.51%22.57T29.51%22.57T15.70%19.29T13.78%18.27T14.78%18.24T13.73%17.42T13.73%17.42T292.16%16.67T
Total equity 15.59%255.25T13.26%241.65T13.57%252.25T13.57%252.25T8.72%231.39T7.65%220.82T8.02%213.36T8.51%222.11T8.51%222.11T12.41%212.82T
Currency Unit IDRIDRIDRIDRIDRIDRIDRIDRIDRIDR
Paper Trade Start
Symbol
Direction
Buy
Sell
Types
LMT Order
Price
QTY
Amount
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