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Arthavest Tbk Annual Report 2020

Dec 31, 2020

68985_rns_2020-12-31_2dd8f316-6090-493a-aa52-36e10452948c.pdf

Annual Report

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Nomor Surat 004/AV/V/2021-CSC
Nama Emiten Arthavest Tbk
Kode Emiten ARTA
Perihal Penyampaian Laporan Keuangan Tahunan

Perseroan dengan ini menyampaikan laporan keuangan untuk Tahun Bulan yang berakhir pada 31/12/2020 dengan ikhtisar sebagai berikut :

Informasi mengenai anak perusahaan Perseroan sebagai berikut :

No Nama Kegiatan
Usaha
Lokasi Tahun
Komersil
Status
Operasi
Jumlah Aset Satuan Mata
Uang
Persentase
(%)
1 PT.Sanggraha
Dhika
Perhotelan Jl.Pecenonga
n 72 Jak-Pus
1995 Berjalan 327.701.231.070 PENUH IDR 51.0
2 PT.Sentral
Pembayaran
Indonesia
Jasa Jl.Jend.Sudir
man No.86
Jak-Pus
2017 Berjalan 43.878.711.885 PENUH IDR 52.0

Dokumen ini merupakan dokumen resmi Arthavest Tbk yang tidak memerlukan tanda tangan karena dihasilkan secara elektronik. Arthavest Tbk bertanggung jawab penuh atas informasi tertera di dalam dokumen ini.

[1000000] General information

Informasi umum

General information

31 December 2020

Nama entitas Arthavest Tbk Entity name Penjelasan perubahan nama dari akhir Explanation of change in name from the periode laporan sebelumnya end of the preceding reporting period Kode entitas ARTA Entity code Nomor identifikasi entitas AA401 Entity identification number Industri utama entitas Umum / General Entity main industry Sektor 9. Trade, Services & Investment Sector Subsektor 94. Tourism, Restaurant And Subsector Hotel Informasi pemegang saham pengendali Individual WNI Controlling shareholder information Jenis entitas Local Company - Indonesia Type of entity Jurisdiction Jenis efek yang dicatatkan Saham / Stock Type of listed securities Jenis papan perdagangan tempat Type of board on which the entity is entitas tercatat listed Apakah merupakan laporan keuangan Entitas grup / Group entity Whether the financial statements are of satu entitas atau suatu kelompok entitas an individual entity or a group of entities Periode penyampaian laporan Tahunan / Annual Period of financial statements keuangan submissions Tanggal awal periode berjalan January 01, 2020 Current period start date Tanggal akhir periode berjalan December 31, 2020 Current period end date Tanggal akhir tahun sebelumnya December 31, 2019 Prior year end date Tanggal awal periode sebelumnya January 01, 2019 Prior period start date Tanggal akhir periode sebelumnya December 31, 2019 Prior period end date Mata uang pelaporan Rupiah / IDR Description of presentation currency Kurs konversi pada tanggal pelaporan 14,105 Conversion rate at reporting date if jika mata uang penyajian selain rupiah presentation currency is other than rupiah Pembulatan yang digunakan dalam Satuan Penuh / Full Amount Level of rounding used in financial penyajian jumlah dalam laporan statements keuangan Jenis laporan atas laporan keuangan Diaudit / Audited Type of report on financial statements Jenis opini auditor Wajar Tanpa Pengecualian / Type of auditor's opinion Unqualified Hal yang diungkapkan dalam paragraf Matters disclosed in emphasis-of-matter pendapat untuk penekanan atas suatu or other-matter paragraph, if any masalah atau paragraf penjelasan lainnya, jika ada Hasil penugasan review Result of review engagement Tanggal laporan audit atau hasil laporan May 17, 2021 Date of auditor's opinion or result of review review report Auditor tahun berjalan Teramihardja, Pradhono & Current year auditor Chandra Nama partner audit tahun berjalan Drs Nursal,Ak.,CA.,CPA Name of current year audit signing partner Lama tahun penugasan partner yang 3 Number of years served as audit menandatangani signing partner Auditor tahun sebelumnya Teramihardja, Pradhono & Prior year auditor Chandra Nama partner audit tahun sebelumnya Drs Nursal,Ak.,CA.,CPA Name of prior year audit signing partner Kepatuhan terhadap pemenuhan Ya / Yes Whether in compliance with BAPEPAM peraturan BAPEPAM LK VIII G 11 LK VIII G 11 rules concerning tentang tanggung jawab direksi atas responsibilities of board of directors on financial statements

Nama partner audit tahun sebelumnya Kepatuhan terhadap pemenuhan peraturan BAPEPAM LK VIII G 11 tentang tanggung jawab direksi atas laporan keuangan

Kepatuhan terhadap pemenuhan
peraturan BAPEPAM LK VIII A dua
tentang independensi akuntan yang
memberikan jasa audit di pasar modal
Ya / Yes Whether in compliance with BAPEPAM
LK VIII A two rules concerning
independence of accountant providing
audit services in capital market

[1210000] Statement of financial position presented using current and non-current - General Industry

Laporan posisi keuangan

Statement of financial position

Laporan posisi
keuangan
Statement of financial
position
Aset 31 December 2020 31 December 2019 Assets
Aset lancar Current assets
Kas dan setara kas 77,841,604,715 64,844,741,788 Cash and cash equivalents
Investasi jangka pendek 10,268,820,000 6,521,470,000 Short-term investments
Piutang usaha Trade receivables
Piutang usaha pihak
ketiga
2,727,858,515 8,191,977,115 Trade receivables third
parties
Piutang lainnya Other receivables
Piutang lainnya pihak
ketiga
508,411,730 1,076,100,634 Other receivables third
parties
Persediaan lancar Current inventories
Persediaan lancar
lainnya
660,434,325 988,344,636 Current inventories
Biaya dibayar dimuka
lancar
1,024,989,685 2,759,628,533 Current prepaid expenses
Uang muka lancar Current advances
Uang muka lancar
lainnya
476,503,960 413,855,520 Other current advances
Pajak dibayar dimuka
lancar
223,434,233 392,211,776 Current prepaid taxes
Jumlah aset lancar 93,732,057,163 85,188,330,002 Total current assets
Aset tidak lancar Non-current assets
Piutang dari pihak berelasi 24,000,000,000 39,000,000,000 Receivables from related
parties
Investasi pada entitas
anak, ventura bersama,
dan entitas asosiasi
Investments in
subsidiaries, joint
ventures and associates
Investasi pada entitas
anak
25,000,000,000 25,000,000,000 Investments in
subsidiaries
Uang muka tidak lancar Non-current advances
Uang muka tidak lancar
atas pembelian aset
tetap
6,234,388,402 1,882,686,012 Non-current advances
on purchase of property,
plant and equipment
Aset keuangan tidak
lancar
Non-current financial
assets
Aset keuangan tidak
lancar dimiliki hingga
jatuh tempo
27,802,000,000 Non-current financial
assets held-to-maturity
Aset keuangan tidak
lancar lainnya
528,809,398 563,605,934 Other non-current
financial assets
Aset tetap 241,844,455,384 259,633,756,608 Property, plant and
equipment
Klaim atas pengembalian
pajak tidak lancar
2,469,932,528 Non-current claims for tax
refund
Aset tidak lancar
non-keuangan lainnya
470,697,322 Other non-current
non-financial assets
Jumlah aset tidak lancar 300,548,283,034 353,882,048,554 Total non-current assets
Jumlah aset 394,280,340,197 439,070,378,556 Total assets
Liabilitas dan ekuitas Liabilities and equity
Liabilitas Liabilities
Liabilitas jangka pendek Current liabilities
Utang usaha Trade payables
Utang usaha pihak
ketiga
2,248,081,855 779,259,248 Trade payables third
parties
Utang lainnya Other payables
Utang lainnya pihak
ketiga
533,182,627 956,165,137 Other payables third
parties
Liabilitas keuangan
jangka pendek lainnya
239,780,544 100,811,884 Other current financial
liabilities
Beban akrual jangka
pendek
1,167,279,550 1,897,981,624 Current accrued
expenses
Utang pajak 1,138,937,644 1,516,320,171 Taxes payable
Pendapatan diterima
dimuka jangka pendek
4,747,352,754 6,793,810,534 Current unearned
revenue
Liabilitas non-keuangan
jangka pendek lainnya
229,966,188 Other current
non-financial liabilities
Jumlah liabilitas jangka
pendek
10,304,581,162 12,044,348,598 Total current liabilities
Liabilitas jangka panjang Non-current liabilities
Liabilitas pajak
tangguhan
38,966,452,031 37,229,131,477 Deferred tax liabilities
Utang pihak berelasi
jangka panjang
0 Non-current due to
related parties
Kewajiban imbalan
pasca kerja jangka
panjang
2,077,380,645 17,034,781,198 Long-term
post-employment
benefit obligations
Liabilitas non-keuangan
jangka panjang
240,731,135 Other non-current
non-financial liabilities
Jumlah liabilitas jangka
panjang
41,284,563,811 54,263,912,675 Total non-current
liabilities
Jumlah liabilitas 51,589,144,973 66,308,261,273 Total liabilities
Ekuitas Equity
Ekuitas yang
diatribusikan kepada
pemilik entitas induk
Equity attributable to
equity owners of parent
entity
Saham biasa 89,334,835,000 89,334,835,000 Common stocks
Tambahan modal
disetor
1,116,892,763 1,116,892,763 Additional paid-in capital
Komponen ekuitas
lainnya
(
)
2,488,480,000
(
)
21,460,793
Other components of
equity
Saldo laba (akumulasi
kerugian)
Retained earnings
(deficit)
Saldo laba yang
telah ditentukan
penggunaannya
750,000,000 700,000,000 Appropriated
retained earnings
Saldo laba yang
belum ditentukan
penggunaannya
97,451,463,139 106,645,893,405 Unappropriated
retained earnings
Jumlah ekuitas yang
diatribusikan kepada
pemilik entitas induk
186,164,710,902 197,776,160,375 Total equity attributable
to equity owners of
parent entity
Kepentingan
non-pengendali
156,526,484,322 174,985,956,908 Non-controlling interests
Jumlah ekuitas 342,691,195,224 372,762,117,283 Total equity
Jumlah liabilitas dan ekuitas 394,280,340,197 439,070,378,556 Total liabilities and equity

[1321000] Statement of profit or loss and other comprehensive income, OCI components presented before tax, by function - General Industry

Laporan laba rugi dan penghasilan komprehensif lain

Statement of profit or loss and other comprehensive income

Laporan laba rugi dan
penghasilan
komprehensif lain
Statement of profit or
loss and other
comprehensive
income
Penjualan dan pendapatan usaha 31 December 2020 31 December 2019 Sales and revenue
32,934,176,030 85,726,802,073
Beban pokok penjualan dan
pendapatan
(
)
12,471,168,816
(
)
26,800,834,114
Cost of sales and revenue
Jumlah laba bruto 20,463,007,214 58,925,967,959 Total gross profit
Beban penjualan (
)
155,316,084
(
)
725,227,933
Selling expenses
Beban umum dan administrasi (
)
41,201,710,759
(
)
62,053,056,208
General and administrative
expenses
Pendapatan keuangan (
)
210,515,640
3,424,093,265 Finance income
Beban keuangan (
)
28,793,392
(
)
665,184,221
Finance costs
Pendapatan lainnya 13,616,836,651 4,388,598,779 Other income
Jumlah laba (rugi) sebelum pajak
penghasilan
(
)
7,516,492,010
3,295,191,641 Total profit (loss) before tax
Pendapatan (beban) pajak (
)
3,692,776,807
(
)
2,666,428,759
Tax benefit (expenses)
Jumlah laba (rugi) dari operasi
yang dilanjutkan
(
)
11,209,268,817
628,762,882 Total profit (loss) from continuing
operations
Jumlah laba (rugi) (
)
11,209,268,817
628,762,882 Total profit (loss)
Pendapatan komprehensif
lainnya, sebelum pajak
Other comprehensive income,
before tax
Pendapatan komprehensif
lainnya yang tidak akan
direklasifikasi ke laba rugi,
sebelum pajak
Other comprehensive
income that will not be
reclassified to profit or loss,
before tax
Pendapatan komprehensif
lainnya atas pengukuran
kembali kewajiban manfaat
pasti, sebelum pajak
(
)
6,679,590,243
2,337,738,753 Other comprehensive
income for remeasurement
of defined benefit
obligation, before tax
Jumlah pendapatan
komprehensif lainnya yang
tidak akan direklasifikasi ke
laba rugi, sebelum pajak
(
)
6,679,590,243
2,337,738,753 Total other comprehensive
income that will not be
reclassified to profit or loss,
before tax
Pendapatan komprehensif
lainnya yang akan
direklasifikasi ke laba rugi,
sebelum pajak
Other comprehensive
income that may be
reclassified to profit or loss,
before tax
Keuntungan (kerugian)
yang belum direalisasi atas
perubahan nilai wajar aset
keuangan yang tersedia
untuk dijual, sebelum pajak
(
)
2,252,050,000
219,525,000 Unrealised gains (losses)
on changes in fair value of
available-for-sale financial
assets, before tax
Jumlah pendapatan
komprehensif lainnya yang
akan direklasifikasi ke laba
rugi, sebelum pajak
(
)
2,252,050,000
219,525,000 Total other comprehensive
income that may be
reclassified to profit or loss,
before tax
Jumlah pendapatan
komprehensif lainnya, sebelum
pajak
(
)
8,931,640,243
2,557,263,753 Total other comprehensive
income, before tax
Pajak atas pendapatan
komprehensif lainnya
1,469,509,853 (
)
584,434,688
Tax on other comprehensive
income
Jumlah pendapatan komprehensif
lainnya, setelah pajak
(
)
7,462,130,390
1,972,829,065 Total other comprehensive
income, after tax
Jumlah laba rugi komprehensif (
)
18,671,399,207
2,601,591,947 Total comprehensive income
Laba (rugi) yang dapat
diatribusikan
Profit (loss) attributable to
Laba (rugi) yang dapat
diatribusikan ke entitas induk
(
)
4,955,977,085
2,479,808,674 Profit (loss) attributable to
parent entity
Laba (rugi) yang dapat
diatribusikan ke kepentingan
non-pengendali
(
)
6,253,291,732
(
)
1,851,045,792
Profit (loss) attributable to
non-controlling interests
Laba rugi komprehensif yang
dapat diatribusikan
Comprehensive income
attributable to
Laba rugi komprehensif yang
dapat diatribusikan ke entitas
induk
(
)
9,865,168,084
3,593,518,747 Comprehensive income
attributable to parent entity
Laba rugi komprehensif yang
dapat diatribusikan ke
kepentingan non-pengendali
(
)
8,806,231,123
(
)
991,926,800
Comprehensive income
attributable to non-controlling
interests
Laba (rugi) per saham Earnings (loss) per share
Laba per saham dasar
diatribusikan kepada pemilik
entitas induk
Basic earnings per share
attributable to equity owners
of the parent entity
Laba (rugi) per saham
dasar dari operasi yang
dilanjutkan
(
)
11
6 Basic earnings (loss) per
share from continuing
operations

[1410000] Statement of changes in equity - General Industry - Current Year

31 December 2020

Laporan perubahan
ekuitas
Posisi ekuitas
Laporan perubahan
ekuitas
Posisi ekuitas
Statement of changes in
equity
Equity position
Saham biasa Tambahan modal disetor Selisih transaksi ekuitas
dengan pihak non-pengendali
Komponen transaksi ekuitas
lainnya
Saldo laba yang telah
ditentukan penggunaannya
Saldo laba yang belum
ditentukan penggunaannya
Ekuitas yang dapat
diatribusikan kepada entitas
induk
Kepentingan non-pengendali Ekuitas
Common stocks Additional paid-in capital Difference in value of equity
transactions with
non-controlling interests
Other components of equity
transactions
Appropriated retained earnings Unappropriated retained
earnings
Equity attributable to parent
entity
Non-controlling interests Equity
Saldo awal periode sebelum
penyajian kembali
89,334,835,000 1,116,892,763 1,234,969,207 (
)
1,256,430,000
700,000,000 106,645,893,405 197,776,160,375 174,985,956,908 372,762,117,283 Balance before restatement at
beginning of period
Posisi ekuitas, awal periode 89,334,835,000 1,116,892,763 1,234,969,207 (
)
1,256,430,000
700,000,000 106,645,893,405 197,776,160,375 174,985,956,908 372,762,117,283 Equity position, beginning of the
period
Laba (rugi) (
)
4,955,977,085
(
)
4,955,977,085
(
)
6,253,291,732
(
)
11,209,268,817
Profit (loss)
Pendapatan komprehensif lainnya (
)
2,252,050,000
(
)
2,657,140,999
(
)
4,909,190,999
(
)
2,552,939,391
(
)
7,462,130,390
Other comprehensive income
Pembentukan cadangan umum 50,000,000 (
)
50,000,000
Allocation for general reserves
Transaksi ekuitas lainnya (
)
214,969,207
(
)
1,531,312,182
(
)
1,746,281,389
(
)
9,653,241,463
(
)
11,399,522,852
Other equity transactions
Posisi ekuitas, akhir periode 89,334,835,000 1,116,892,763 1,020,000,000 (
)
3,508,480,000
750,000,000 97,451,463,139 186,164,710,902 156,526,484,322 342,691,195,224 Equity position, end of the period

[1410000] Statement of changes in equity - General Industry - Prior Year

31 December 2019

Laporan perubahan
ekuitas
Laporan perubahan
ekuitas
Statement of changes in
equity
Posisi ekuitas Saham biasa Tambahan modal disetor Selisih transaksi ekuitas
dengan pihak non-pengendali
Komponen transaksi ekuitas
lainnya
Saldo laba yang telah
ditentukan penggunaannya
Saldo laba yang belum
ditentukan penggunaannya
Ekuitas yang dapat
diatribusikan kepada entitas
induk
Kepentingan non-pengendali Ekuitas Equity position
Common stocks Additional paid-in capital Difference in value of equity
transactions with
non-controlling interests
Other components of equity
transactions
Appropriated retained earnings Unappropriated retained
earnings
Equity attributable to parent
entity
Non-controlling interests Equity
Saldo awal periode sebelum
penyajian kembali
89,334,835,000 1,116,892,763 1,020,000,000 (
)
1,475,955,000
650,000,000 103,321,899,658 193,967,672,421 173,792,852,915 367,760,525,336 Balance before restatement at
beginning of period
Posisi ekuitas, awal periode 89,334,835,000 1,116,892,763 1,020,000,000 (
)
1,475,955,000
650,000,000 103,321,899,658 193,967,672,421 173,792,852,915 367,760,525,336 Equity position, beginning of the
period
Laba (rugi) 2,479,808,674 2,479,808,674 (
)
1,851,045,792
628,762,882 Profit (loss)
Pendapatan komprehensif lainnya 219,525,000 894,185,073 1,113,710,073 859,118,992 1,972,829,065 Other comprehensive income
Pembentukan cadangan umum 50,000,000 (
)
50,000,000
Allocation for general reserves
Perubahan kepentingan
non-pengendali atas transaksi
lainnya dengan kepentingan
non-pengendali
2,400,000,000 2,400,000,000 Changes in non-controlling interests
due to other transactions with
non-controlling interests
Transaksi ekuitas lainnya 214,969,207 214,969,207 (
)
214,969,207
Other equity transactions
Posisi ekuitas, akhir periode 89,334,835,000 1,116,892,763 1,234,969,207 (
)
1,256,430,000
700,000,000 106,645,893,405 197,776,160,375 174,985,956,908 372,762,117,283 Equity position, end of the period

[1510000] Statement of cash flows, direct method - General Industry

Laporan arus kas

Statement of cash flows

Laporan arus kas Statement of cash
flows
Arus kas dari aktivitas operasi 31 December 2020 31 December 2019 Cash flows from operating
activities
Penerimaan kas dari
aktivitas operasi
Cash receipts from
operating activities
Penerimaan dari pelanggan 31,328,621,711 85,800,285,812 Receipts from customers
Penerimaan kas lainnya
dari aktivitas operasi
426,675,743 4,536,871,382 Other cash receipts from
operating activities
Pembayaran kas dari
aktivitas operasi
Cash payments from
operating activities
Pembayaran kepada
pemasok atas barang dan
jasa
(
)
21,478,990,087
(
)
39,593,229,295
Payments to suppliers for
goods and services
Pembayaran gaji dan
tunjangan
(
)
24,124,689,840
(
)
31,786,251,794
Payments for salaries and
allowances
Kas diperoleh dari (digunakan
untuk) operasi
(
)
13,848,382,473
18,957,676,105 Cash generated from (used in)
operations
Penerimaan bunga dari
aktivitas operasi
3,919,344,262 4,388,598,779 Interests received from
operating activities
Pembayaran bunga dari
aktivitas operasi
(
)
28,793,392
(
)
665,184,221
Interests paid from operating
activities
Penerimaan pengembalian
(pembayaran) pajak
penghasilan dari aktivitas
operasi
(
)
2,601,086,409
(
)
3,621,808,516
Income taxes refunded (paid)
from operating activities
Jumlah arus kas bersih yang
diperoleh dari (digunakan
untuk) aktivitas operasi
(
)
12,558,918,012
19,059,282,147 Total net cash flows received
from (used in) operating
activities
Arus kas dari aktivitas investasi Cash flows from investing
activities
Pembayaran uang muka
pembelian aset tetap
(
)
4,396,415,300
(
)
1,882,686,012
Payments for advances for
purchase of property, plant
and equipment
Penerimaan dari penjualan
aset tetap
73,000,000 46,000,000 Proceeds from disposal of
property, plant and equipment
Pembayaran untuk perolehan
aset tetap
(
)
2,261,740,536
(
)
9,203,188,839
Payments for acquisition of
property, plant and equipment
Pembayaran untuk perolehan
aset non-keuangan lainnya
(
)
23,358,334
Payments for acquisition of
other non-financial assets
Pencairan (penempatan)
investasi jangka pendek
(
)
5,999,400,000
6,435,000,000 Withdrawal (placement) of
short-term investments
Penerimaan dari pelepasan
entitas anak
16,500,000,000 Proceeds from disposal of
subsidiaries
Pembayaran untuk perolehan
entitas anak
(
)
5,363,373,778
Payments for acquisition of
subsidiaries
Penerimaan (pengeluaran) kas
lainnya dari aktivitas investasi
27,550,000,000 3,000,000,000 Other cash inflows (outflows)
from investing activities
Jumlah arus kas bersih yang
diperoleh dari (digunakan
untuk) aktivitas investasi
26,102,070,386 (
)
1,628,233,185
Total net cash flows received
from (used in) investing
activities
Jumlah kenaikan (penurunan)
bersih kas dan setara kas
13,543,152,374 17,431,048,962 Total net increase (decrease) in
cash and cash equivalents
Kas dan setara kas arus kas, awal
periode
64,844,741,788 47,412,470,946 Cash and cash equivalents cash
flows, beginning of the period
Efek perubahan nilai kurs pada
kas dan setara kas
(
)
175,687,717
1,221,880 Effect of exchange rate changes
on cash and cash equivalents
Kenaikan (penurunan) kas dan
setara kas lainnya
(
)
370,601,730
Other increase (decrease) in cash
and cash equivalents
Kas dan setara kas arus kas,
akhir periode
77,841,604,715 64,844,741,788 Cash and cash equivalents cash
flows, end of the period