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Laporan Keuangan/ Financial Statements

PT ATMINDO Tbk
31 Oktober 2025 dan 31 Januari 2025, Serta
Untuk Periode Sembilan Bulan yang Berakhir
31 Oktober 2025 dan 2024

October 31, 2025 and January 31, 2025 And
For the Nine Months Period Ended
October 31, 2025 and 2024


TIDAK DIAUDIT / UNAUDITED
(Mata Uang Rupiah)
(Rupiah Currency)
Page 2
             DAFTAR ISI                        TABLE CONTENTS
                                    Halaman/

                                     Page

Surat Pernyataan Direksi                                Directors’ Statement

Laporan Keuangan                                       Financial Statements

Laporan Posisi Keuangan               1-2      Statement of Financial Position

Laporan Laba Rugi dan Penghasilan              Statement of Profit or Loss and
                                       3
Komprehensif Lain                              Others Comprehensive Income
Laporan Perubahan Ekuitas              4       Statement of Changes In Equity

Laporan Arus Kas                       5             Statement of Cash Flows

Catatan atas Laporan Keuangan        6 – 20     Notes to Financial Statements
Page 3

          
Page 4
Laporan Posisi Keuangan                                                                      Statement of Financial Position

PT ATMINDO Tbk                                                                                            PT ATMINDO Tbk

Per 31 Oktober 2025 dan 31 Januari 2025                                    As at October 31,2025 and January 31,2025

(Disajikan dalam Rupiah, kecuali dinyatakan lain)                       (Expressed in Rupiah, unless otherwise stated)

                                   Catatan          31 Oktober 2025    31 Januari 2025

ASET                                                                                                                   ASSETS
Aset Lancar                                                                                                     Current Assets
Kas dan setara kas                   1                23.741.969.027     4.422.008.637               Cash and cash equivalents
Piutang usaha- bersih                2                53.722.623.817    79.318.885.177                    Trade receivables- net
Pendapatan akan diterima             3                15.064.410.000                     -                      Accrued income
Piutang retensi jangka pendek        8                 3.246.626.854     1.273.224.750           Short term retention receivables
Piutang lain-lain                                          2.825.045         1.953.468                         Other receivables
Pajak dibayar di muka               13a                2.059.794.348     4.416.300.038                             Prepaid taxes
Persediaan                           4                68.104.314.141   109.531.101.517                                 Inventory
Uang muka                            5                11.177.007.301     2.969.178.756                                 Advances
Beban dibayar di muka                6                   200.310.122        95.257.485                        Prepaid expenses
Jumlah Aset Lancar                                   177.319.880.655   202.027.909.828                    Total Current Assets


Aset Tidak Lancar                                                                                          Non Current Assets
Aset tetap                                                                                                  Fixed assets- (net of
  (setelah dikurangi akumulasi                                                             accumulated depreciation as at
 penyusutan per 31 Oktober 2025                                                        October 31,2025 Rp53,475,112,050
 Rp53.475.112.050 dan 31 Januari                                                                    and January 31,2025
 2025 Rp50.619.222.575)              7                96.909.387.867    97.036.844.361                Rp50,619,222,575)
Uang jaminan                                             859.394.758     1.235.250.624                       Deposit guarantees
Aset pajak tangguhan                                   2.207.736.700     2.207.736.700                        Deferred tax asset
Jumlah Aset Tidak Lancar                              99.976.519.325   100.479.831.685               Total Non Current Assets

JUMLAH ASET                                          277.296.399.980   302.507.741.513                         TOTAL ASSETS




                                                               1
Page 5
Laporan Posisi Keuangan                                                                  Statement of Financial Position

PT ATMINDO Tbk                                                                                       PT ATMINDO Tbk

Per 31 Oktober 2025 dan 31 Januari 2025                                  As at October 31,2025 and January 31,2025

(Disajikan dalam Rupiah, kecuali dinyatakan lain)                      (Expressed in Rupiah, unless otherwise stated)

                                    Catatan     31 Oktober 2025        31 Januari 2025
LIABILITAS DAN                                                                                         LIABILITIES AND
EKUITAS                                                                                                           EQUITY
Liabilitas Jangka Pendek                                                                           Short Term Liabilities
Utang bank                            9               5.889.954.406      28.721.426.972                         Bank loan
Utang usaha                           10             21.511.685.155      29.124.913.635                 Account payables
Uang muka penjualan                   11             36.033.536.334      44.710.264.475                   Sales advances
Biaya masih harus dibayar             12              1.713.361.302       3.099.692.785                Accrued expenses
Utang pajak                          13b              4.258.946.253       1.099.884.440                       Tax payable
Jumlah Liabilitas Jangka                                                                                Total Short Term
  Pendek                                             69.407.483.450     106.756.182.307                       Liabilities


Liabilitas Jangka Panjang                                                                          Long Term Liabilities
Liabilitas imbalan Kerja                             13.989.410.008      13.856.556.925       Employee benefits liabilities
Jumlah Liabilitas Jangka                                                                              Total Long Term
  Panjang                                            13.989.410.008      13.856.556.925                     Liabilites
JUMLAH LIABILITAS                                    83.396.893.458     120.612.739.232              TOTAL LIABILITIES


EKUITAS                                                                                                           EQUITY
Modal saham dengan nilai nominal-                                                                 Share capital-with share
 Rp100 per saham                                                                                  values Rp100 per share
Modal dasar –                                                                                                  Authorized-
   Rp336.000.000.000 pada                                                                         Rp336,000,000,000
   tanggal 31 Oktober 2025                                                                      As at October 31,2025
   dan 31 Januari 2025                                                                          and January 31, 2025
Modal ditempatkan dan                                                                                     Issued and
   disetor penuh –                                                                                           fully paid-
  1.080.000.000 saham pada                                                                      1.080.000.000 shares
   31 Oktober 2025 dan                                                                         As at October 31, 2025
   31 Januari 2025                    14            108.000.000.000     108.000.000.000         and January 31, 2025
Agio saham -                                                                                      Paid in capital in excess
bersih                                15              7.166.500.000       7.166.500.000                          of par-net
Saldo laba                                           80.618.691.230      68.614.186.989                Retained earnings
Komponen ekuitas lainnya                             (1.885.684.708)      (1.885.684.708)      Other component of equity
Jumlah Ekuitas                                      193.899.506.522     181.895.002.281                      Total Equity
JUMLAH LIABILITAS DAN                                                                                TOTAL LIABILITIES
  EKUITAS                                           277.296.399.980     302.507.741.513                AND EQUITY




                                                              2
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Laporan Laba Rugi dan                                                                      Statement of Profit or Loss and
Penghasilan Komprehensif Lain                                                               Other Comprehensive Income

PT ATMINDO Tbk                                                                                            PT ATMINDO Tbk

Untuk Periode Sembilan Bulan yang Berakhir Pada                                       For the Nine Months Period Ended
Tanggal 31 Oktober 2025 dan 2024                                                              October 31,2025 and 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                        (Expressed in Rupiah, unless otherwise stated)


                                    Catatan   31 Oktober 2025     31 Oktober 2024

PENDAPATAN                            16       271.590.330.901     262.179.055.058                          REVENUES
Beban pokok pendapatan                17      (222.733.008.563)   (226.483.524.702)                      Cost of revenue
LABA BRUTO                                      48.857.322.338      35.695.530.356                      GROSS PROFIT

Beban penjualan                       18        (4.054.823.889)     (2.561.901.426)                        Selling expenses
Beban umum                                                                                     General and administrative
 dan administrasi                     19       (14.806.581.047)    (11.520.636.915)                              expenses
Laba (Rugi) selisih kurs - bersih                 (418.817.221)        288.563.616    Profit (loss) foreign exchange - net
Pendapatan lain-lain                  20         1.539.916.371         998.208.700                             Other income
Beban lain-lain                       21        (4.102.770.349)     (1.917.758.026)                         Other expenses
Beban keuangan                                  (1.423.321.362)     (3.606.163.496)                      Finance expenses
                                                                                      PROFIT BEFORE CORPORATE
LABA SEBELUM PAJAK                             25.590.924.841      17.375.842.809                         INCOME TAX

BEBAN PAJAK PENGHASILAN              13c        (4.946.420.600)                  -             INCOME TAX EXPENSE
                                                                                               CURRENT PROFIT FOR
LABA PERIODE BERJALAN                          20.644.504.241      17.375.842.809                     THE PERIOD

Penghasilan komprehensif lain:                                                           Other comprehensive income:
pos-pos yang tidak akan                                                                           Items that will not be
direklasifikasi ke laba rugi:                                                              reclassified to profit or loss:
Keuntungan (kerugian) aktuarial                               -                  -                  Actuarial gain (loss)
JUMLAH LABA DAN                                                                         TOTAL PROFIT AND OTHER
  PENGHASILAN KOMPREHENSIF                                                             COMPREHENSIVE INCOME
  PERIODE BERJALAN                             20.644.504.241      17.375.842.809                FOR THE PERIOD
Laba per saham                                           19,12               16,09                   Earnings per share




                                                          3
Page 7
Laporan Perubahan Ekuitas                                                                                                                                     Statement of Changes in Equity

PT ATMINDO Tbk                                                                                                                                                               PT ATMINDO Tbk

Untuk Periode Sembilan Bulan yang Berakhir Pada                                                                                                           For the Nine Months Period Ended
Tanggal 31 oktober 2025 dan 2024                                                                                                                                 October 31, 2025 and 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                                                                            (Expressed in Rupiah, unless otherwise stated)


                                     Modal saham
                                                                                         Pendapatan
                                ditempatkan dan disetor   Agio Saham/ Additional                               Saldo laba/ Retained
                                                                                   komprehensif lain/ Other                               Jumlah Ekuitas/ Total
                                penuh/ Issued and fully       Paid in capital                                        earning
                                                                                    comprehensive income                                        Equity
                                         paid



Saldo 31 Januari 2024                  108.000.000.000             7.166.500.000             (1.849.528.636)          55.768.919.646            169.085.891.010    Balance as at January 31, 2024


Tambahan modal disetor                                -                        -                          -                           -                       -            Additional paid in capital
Pembagian dividen                                     -                        -                          -           (5.400.000.000)            (5.400.000.000)         Distribution of dividends
Jumlah laba                                                                                                                                                                             Total profit
  periode berjalan                                    -                        -                          -           17.375.842.809             17.375.842.809                    for the period
Pengukuran kembali liabilitas                                                                                                                                 -      Remeasurement of employee
   imbalan kerja                                      -                        -                          -                           -                       -                benefits liabilities

Saldo 31 Oktober 2024                  108.000.000.000             7.166.500.000             (1.849.528.636)          67.744.762.455            181.061.733.819    Balance as at October 31, 2024




Saldo 31 Januari 2025                  108.000.000.000             7.166.500.000             (1.885.684.708)          68.614.186.989            181.895.002.281    Balance as at January 31, 2025


Tambahan modal disetor                                -                        -                          -                           -                       -            Additional paid in capital
Pembagian dividen                                     -                        -                          -           (8.640.000.000)            (8.640.000.000)         Distribution of dividends
Jumlah laba                                                                                                                                                                             Total profit
  periode berjalan                                    -                        -                          -           20.644.504.241             20.644.504.241                    for the period
Pengukuran kembali liabilitas                                                                                                                                        Remeasurement of employee
   imbalan kerja                                      -                        -                          -                           -                       -                benefits liabilities

Saldo 31 oktober 2025                  108.000.000.000             7.166.500.000             (1.885.684.708)          80.618.691.230            193.899.506.522    Balance as at october 31, 2025




                                                                                               4
Page 8
Laporan Arus Kas                                                                              Statement of Cash Flows

PT ATMINDO Tbk                                                                                       PT ATMINDO Tbk

Untuk Periode Sembilan Bulan yang Berakhir Pada                                    For the Nine Months Period Ended
Tanggal 31 Oktober 2025 dan 2024                                                           October,31 2025 and 2024
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                       (Expressed in Rupiah, unless otherwise stated)



                                         31 Oktober 2025       31 Oktober 2024
ARUS KAS DARI AKTIVITAS                                                                           CASH FLOWS FROM
  OPERASI                                                                                     OPERATING ACTIVITES
Penerimaan kas dari pelanggan              271.472.052.015      254.259.164.492               Cash receipt from customers
Pengeluaran kas kepada Pemasok            (176.517.295.411)    (200.023.577.950)                    Cash paid to Suppliers
Pengeluaran kas kepada karyawan            (23.221.190.719)     (30.908.103.284)                   Cash paid to Employees
Pembayaran aktivitas administrasi                                                          Cash paid to administration and
 dan operasi                               (18.762.432.215)      (4.200.884.855)                  operational activities
Penerimaan pajak Penghasilan                   569.146.904        2.604.824.758                     Proceeds of income tax
Pembayaran beban Bunga                      (1.348.878.616)      (3.565.004.094)              Payment of interest expense
Kas bersih diperoleh dari                                                                        Net cash provided from
 aktivitas operasi                          52.191.401.958       18.166.419.067                   operating Activities


ARUS KAS DARI AKTIVITAS                                                                             CASH FLOWS FROM
  INVESTASI                                                                                   INVESTING ACTIVITIES
Perolehan aset tetap                          (981.151.781)      (1.186.605.408)                Acquisition of fixed assets
Pelepasan aset tetap                                     -                    -                   Disposal of fixed assets
Kas bersih digunakan untuk                                                                              Net cash used for
 aktivitas investasi                          (981.151.781)      (1.186.605.408)                   investing activities


ARUS KAS DARI AKTIVITAS                                                                             CASH FLOWS FROM
 PENDANAAN                                                                                   OPERATING ACTIVITIES
Penerimaan utang bank jangka pendek         58.553.037.169      102.580.669.119         Proceeds of short-term bank facility
Pembayaran utang bank jangka pendek        (81.384.509.735)    (110.421.408.815)       Payments of short-term bank facility
Pembayaran utang bank jangka panjang                       -       (396.331.505)        Payments of long-term bank facility
Pembayaran deviden tunai                    (8.640.000.000)      (5.400.000.000)                 Payments of cash deviden
Kas bersih digunakan untuk                                                                   Net cash used for financing
 aktivitas pendanaan                       (31.471.472.566)     (13.637.071.201)                           activities


Kenaikan bersih kas dan bank                19.738.777.611        3.342.742.458           Net increase in cash and bank
Dampak perubahan selisih kurs                                                              Impact of foreign exchange in
 terhadap kas dan bank                        (418.817.221)         288.563.616           cash on hands and in bank
KAS DAN BANK                                                                                        CASH AND BANK AT
 AWAL PERIODE                                4.422.008.637        8.751.493.116         BEGINNING OF THE PERIOD


KAS DAN BANK                                                                                          CASH AND BANK
                                            23.741.969.027       12.382.799.190
 AKHIR PERIODE                                                                                 AT END OF THE PERIODS




                                                       5
Page 9
Catatan atas Laporan Keuangan                                                       Notes to the Financial Statements

PT ATMINDO Tbk                                                                                     PT ATMINDO Tbk

Tanggal 31 Oktober 2025 dan 31 Januari 2025                                  October 31, 2025 and January 31, 2025
Serta Untuk Periode Sembilan Bulan yang Berakhir                             And For the Nine Months Period Ended
Pada Tanggal 31 Oktober 2025 dan 2024                                                    October 31, 2025 and 2024

(Disajikan dalam Rupiah, kecuali dinyatakan lain)                      (Expressed in Rupiah, unless otherwise stated)

1.   KAS DAN BANK                                             1.   CASH AND CASH BANK



                                            31 Oktober 2025           31 Januari 2025

      Kas                                                                                                             Cash
       Rupiah                                        29.847.585             3.434.680                             Rupiah
       Dolar AS                                                                                                 Dollar US
         (31 Okt 2025 AS$2.992 ; 31 Jan                                                    (Oct 31,2025 US$2,992; Jan
        2025 AS$16.586)                              49.791.872           269.670.311               31,2025 US$16,586)
       Ringgit Malaysia                                                                                Malaysian Ringgit
         (31 Okt 2025 RM653 ; 31 Jan                                                          (Oct 31,2025 RM653 ; Jan
        2025 RM4.714)                                 2.588.196            17.448.883                 31,2025 RM4,714)
       Euro                                                                                               European Euro
         (31 Okt 2025 €11.255 ; 31 Jan                                                       (Oct 31,2025 €11,255 ; Jan
        2025 €11.430)                               217.617.939           193.701.160                  31,2025 €11,430)
       Dolar Singapura                                                                                  Dollar Singapore
         (31 Okt 2025 SGD$64 ; 31 Jan                                                       (Oct 31,2025 SGD$64 ; Jan
        2025 SGD$2.764)                                820.097             33.295.145              31,2025 SGD$2,764)
       Yuan Tiongkok                                                                                       Chinese Yuan
         (31 Okt 2025 ¥24 ; 31 Jan 2025                                                 (Oct 31,2025 ¥24 ; Jan 31,2025
        ¥200)                                            56.886            11.658.400                             ¥200)
      Jumlah Kas                                    300.722.575           529.208.579                           Total Cash

      Bank                                                                                                          Bank
      Pihak ketiga:                                                                                          Third parties
        Rupiah                                                                                                  Rupiah
        PT Bank Permata Tbk                   14.687.466.416            2.333.658.791            PT Bank Permata Tbk
        PT Bank Mandiri (Persero) Tbk            248.977.731              875.099.400     PT Bank Mandiri (Persero) Tbk
        PT Bank CIMB Niaga                                 -               61.432.954             PT Bank CIMB Niaga
        PT Bank Central Asia Tbk                  20.772.032                        -         PT Bank Central Asia Tbk

        Euro                                                                                             European Euro
        PT Bank Permata Tbk                                                                        PT Bank Permata Tbk
          (31 Okt 2025 €30 ; 31 Jan 2025                                                (Oct 31,2025 €30 ; Jan 31, 2025
         €30)                                          575.721                504.616                              €30)

       Dolar AS                                                                                               Dollar US
       PT Bank Permata Tbk                                                                          PT Bank Permata Tbk
         (31 Okt 2025 AS$509.823 ; 31                                                   (Oct 31, 2025 US$509,823 ; Jan
        Jan 2025 AS$38.262)                    8.483.454.552              622.104.297              31, 2025 US$38,262)
      Jumlah Bank                             23.441.246.452            3.892.800.058                          Total Bank

      Jumlah kas dan bank                     23.741.969.027            4.422.008.637                Total cash and bank




                                                          6
Page 10
Catatan atas Laporan Keuangan                                                         Notes to the Financial Statements

PT ATMINDO Tbk                                                                                        PT ATMINDO Tbk

Tanggal 31 Oktober 2025 dan 31 Januari 2025                                    October 31, 2025 and January 31, 2025
Serta Untuk Periode Sembilan Bulan yang Berakhir                               And For the Nine Months Period Ended
Pada Tanggal 31 Oktober 2025 dan 2024                                                      October 31, 2025 and 2024

(Disajikan dalam Rupiah, kecuali dinyatakan lain)                       (Expressed in Rupiah, unless otherwise stated)

2.   PIUTANG USAHA                                                2. TRADE RECEIVABLE

     Rincian piutang usaha berdasarkan pelanggan adalah              Details of trade receivables based on the customers
     sebagai berikut:                                                as follow :

                                           31 Oktober 2025         31 Januari 2025
     Pihak ketiga :                                                                                          Third parties :
     PT Venturindo Engineering                 6.931.706.166         8.626.857.038               PT Venturindo Engineering
     PT Sri Inti Agrindo                       6.851.601.210                     -                        PT Sri Inti Agrindo
     PT Agrindo Tani Sejahtera                 4.203.165.960                     -                PT Agrindo Tani Sejahtera
     PT Perkebunan Nusantara IV                3.508.800.000         6.793.200.000             PT Perkebunan Nusantara IV
     PT Bumi Mentari Karya                     3.259.235.840                     -                   PT Bumi Mentari Karya
     PT Bhumi Palmindo Kencana                 3.042.720.000                     -             PT Bhumi Palmindo Kencana
     PT Rambah Sawit Mandiri                   2.691.045.126         2.713.245.126                PT Rambah Sawit Mandiri
     PT Era Sawita                             2.456.682.524         3.630.057.972                            PT Era Sawita
     PT Eastern Sumatra Indonesia              2.090.685.000                     -            PT Eastern Sumatra Indonesia
     PT Bakrie Sumatera Plantations Tbk        1.598.731.000         1.598.731.000      PT Bakrie Sumatera Plantations Tbk
     PT Pesona Sawit Makmur                    1.346.593.332         2.388.680.412                PT Pesona Sawit Makmur
     PT Inti Daya Baru Agro                    1.276.272.450         6.084.759.150                   PT Inti Daya Baru Agro
     PT Mekar Sari Alam Lestari                1.250.692.500                     -               PT Mekar Sari Alam Lestari
     PT Agro Muko                              1.226.841.930                     -                            PT Agro Muko
     PT Bukit Palma Prima                      1.120.759.904         4.171.461.978                    PT Bukit Palma Prima
     PT Sinar Sawit Lestari                    1.106.246.890                     -                    PT Sinar Sawit Lestari
     PT Ichiko Agro Lestari                                   -      6.353.917.500                    PT Ichiko Agro Lestari
     PT Berkat Bumi Sawit                                     -      3.509.569.860                    PT Berkat Bumi Sawit
     PT Duta Marga Lestarindo                                 -      3.130.200.000                PT Duta Marga Lestarindo
     PT Perkebunan Nusantara XIII                             -      2.733.627.272            PT Perkebunan Nusantara XIII
     PT Langgak Inti Lestari                                  -      2.441.450.000                   PT Langgak Inti Lestari
     PT Putra Utama Sawit Sungai Angit                        -      1.746.664.920       PT Putra Utama Sawit Sungai Angit
     PT Torus Ganda                                           -      1.668.579.082                         PT Torus Ganda
     PT Mitra Sawit Jambi                                     -      1.592.327.856                     PT Mitra Sawit Jambi
     PT Gunung Sejahtera Ibu Pertiwi                          -      1.512.599.750          PT Gunung Sejahtera Ibu Pertiwi
     PT Galung Effendo Sehati                                 -      1.400.133.470                PT Galung Effendo Sehati
     Deddy Pandapotan Tampubolon                              -      1.384.414.200          Deddy Pandapotan Tampubolon
     PT Sinar Agro Tenera Unggul                              -      1.343.837.040             PT Sinar Agro Tenera Unggul
     PT Jhonlin Agro Raya Tbk                                 -      1.272.055.005                PT Jhonlin Agro Raya Tbk
     PT Jaya Gemilang Sukses                                  -      1.049.206.410                PT Jaya Gemilang Sukses
     Lain-lain (masing-masing                                                                           Others (each below
                                             17.078.714.355         18.491.180.506
      dibawah Rp1 milyar)                                                                                     Rp1 billion)
     Jumlah                                  61.040.494.187         85.636.755.547                                    Total
     Dikurangi: penyisihan atas                                                              Less : allowance for Impairment
       penurunan nilai piutang usaha         (7.317.870.370)        (6.317.870.370)                     loss on receivable
     Jumlah piutang usaha bersih             53.722.623.817         79.318.885.177                   Trade receivable- net




                                                          7
Page 11
Catatan atas Laporan Keuangan                                                        Notes to the Financial Statements

PT ATMINDO Tbk                                                                                      PT ATMINDO Tbk

Tanggal 31 Oktober 2025 dan 31 Januari 2025                                  October 31, 2025 and January 31, 2025
Serta Untuk Periode Sembilan Bulan yang Berakhir                             And For the Nine Months Period Ended
Pada Tanggal 31 Oktober 2025 dan 2024                                                    October 31, 2025 and 2024

(Disajikan dalam Rupiah, kecuali dinyatakan lain)                     (Expressed in Rupiah, unless otherwise stated)

2.    PIUTANG USAHA (lanjutan)                                  2. TRADE RECEIVABLE (continued)

     Rincian piutang usaha berdasarkan jenis mata uang             Details of trade receivables based on the type of
     adalah sebagai berikut:                                       currency as follow :

                                           31 Oktober 2025       31 Januari 2025

     Rupiah                                  59.249.194.995       84.061.551.109                                   Rupiah
     Dollar AS                                                                                                 Dollar US
      (31 Okt 2025 AS$107.650 ; 31 Jan                                                (Oct 31, 2025 US$107,650 ; Jan 31
                                              1.791.299.192        1.575.204.438
      2025 AS$96.882)                                                                                 2025 US$96,882)
     Jumlah                                  61.040.494.187       85.636.755.547                                     Total
     Dikurangi: penyisihan atas                                                        Less : allowance for Impairment loss
       penurunan nilai piutang usaha         (7.317.870.370)      (6.317.870.370)                          on receivable
     Jumlah piutang usaha bersih             53.722.623.817       79.318.885.177                     Trade receivable- net


     Rincian piutang usaha berdasarkan analisa umur                Details of trade receivables based on the aging
     piutang adalah sebagai berikut:                               schedule of receivable as follow :

                                            31 Oktober 2025       31 Januari 2025

      Kurang dari 30 hari                    20.657.168.953       20.723.842.133                            Under 30 days
      31 - 90 hari                           22.665.736.069       46.749.254.108                              31 - 90 days
      91 - 180 hari                            1.883.227.077        3.603.446.974                            91 - 180 days
      181 - 360 hari                           7.917.489.716        7.371.048.116                          181 – 360 days
      Lebih dari 360 hari                      7.916.872.372        7.189.164.216                      More than 360 days
      Jumlah                                 61.040.494.187       85.636.755.547                                     Total
      Dikurangi: penyisihan atas                                                       Less : allowance for Impairment loss
         penurunan nilai piutang usaha        (7.317.870.370)      (6.317.870.370)                          on receivable
      Jumlah piutang usaha bersih            53.722.623.817       79.318.885.177                    Trade receivable- net


3.   PENDAPATAN AKAN DITERIMA                                   3. ACCRUED INCOME

                                         31 Oktober 2025         31 Januari 2025

      Sodimex FR S.A                       10.736.880.000                       -                      Sodimex FR S.A
      PT Riau Agrotama Plantation           2.080.350.000                       -           PT Riau Agrotama Plantation
      PT Samora Usaha Jaya                  1.692.180.000                       -               PT Samora Usaha Jaya
      PT Socfin Indonesia                     555.000.000                       -                   PT Socfin Indonesia

      Jumlah                               15.064.410.000                       -                                   Total


4.   PERSEDIAAN                                                 4. INVENTORIES

                                           31 Oktober 2025        31 Januari 2025

     Bahan baku dan pelengkap               60.650.155.021         67.301.446.661         Raw materials and Consumables
     Barang dalam proses                     7.454.159.120         42.229.654.856                         Work in process
     Jumlah                                 68.104.314.141        109.531.101.517                                   Total




                                                         8
Page 12
Catatan atas Laporan Keuangan                                                         Notes to the Financial Statements

PT ATMINDO Tbk                                                                                       PT ATMINDO Tbk

Tanggal 31 Oktober 2025 dan 31 Januari 2025                                    October 31, 2025 and January 31, 2025
Serta Untuk Periode Sembilan Bulan yang Berakhir                               And For the Nine Months Period Ended
Pada Tanggal 31 Oktober 2025 dan 2024                                                      October 31, 2025 and 2024

(Disajikan dalam Rupiah, kecuali dinyatakan lain)                       (Expressed in Rupiah, unless otherwise stated)

5.   UANG MUKA                                                   5. ADVANCES

                                              31 Oktober 2025     31 Januari 2025

     Uang Muka Pembelian                                                                                     Down Payment
     Sphere Corporation Sdn Bhd                 3.983.675.068                   -                Sphere Corporation Sdn Bhd
     Thermax Limited                            1.637.376.000                   -                            Thermax Limited
     Shandong Shuochao CNC Equipment Co Ltd     1.237.457.886                   -   Shandong Shuochao CNC Equipment Co Ltd
     PT Yokogawa Indonesia                        849.450.000                   -                    PT Yokogawa Indonesia
     Nantong Shengli Heavy Machine                736.762.667                   -             Nantong Shengli Heavy Machine
     PT Asia Sinar Inti Abadi                     635.220.000        975.210.000                      PT Asia Sinar Inti Abadi
     Lain-lain (Masing-masing                   2.093.715.680       1.990.525.571                       Others (Each below
      di bawah Rp500 Juta)                                                                                 Rp500 Million)
     Sub jumlah                                11.173.657.301       2.965.735.571                                Sub total
     Uang muka karyawan                             3.350.000           3.443.185                     Employees advances
     Jumlah                                    11.177.007.301       2.969.178.756                                    Total


6.   BEBAN DIBAYAR DI MUKA                                       6. PREPAID EXPENSES

                                              31 Oktober 2025           31 Januari 2025

      Asuransi                                     115.025.122                60.932.985                        Insurance
      Sewa                                          85.285.000                34.324.500                              Rent
      Jumlah                                       200.310.122                95.257.485                             Total




                                                           9
Page 13
Catatan atas Laporan Keuangan                                                                       Notes to the Financial Statements

PT ATMINDO Tbk                                                                                                      PT ATMINDO Tbk

Tanggal 31 Oktober 2025 dan 31 Januari 2025                                                October 31, 2025 and January 31, 2025
Serta Untuk Periode Sembilan Bulan yang Berakhir                                           And For the Nine Months Period Ended
Pada Tanggal 31 Oktober 2025 dan 2024                                                                  October 31, 2025 and 2024

(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                   (Expressed in Rupiah, unless otherwise stated)

7.   ASET TETAP                                                         7. FIXED ASSETS

                                                     31 Oktober 2025/ Oktober 31, 2025

                              Saldo awal/      Penambahan/     Pengurangan/            Reklasifikasi/      Saldo akhir/
                           Beginning balance    Additions       Deductions            Reclassification   Ending balance


     Harga perolehan                                                                                                        Acquisition cost
     Hak atas tanah           68.211.303.020              -                    -                     -     68.211.303.020          Landright
     Bangunan                 37.937.671.359              -                    -                     -     37.937.671.359          Buildings
                                                                                                                              Machinery and
     Mesin dan Peralatan      33.603.680.428              -                    -                     -     33.603.680.428        Equipment
                                                                                                                              Transportation
     Alat pengangkutan         5.524.157.430   2.607.213.144                   -                     -      8.131.370.574        Equipment
     Inventaris                2.379.254.699    121.219.837                    -                     -      2.500.474.536          Furniture
     Jumlah                  147.656.066.936   2.728.432.981                   -                     -    150.384.499.917              Total


     Akumulasi                                                                                                                 Accumulated
      penyusutan                                                                                                              depreciation
     Bangunan                 21.691.895.099   1.422.662.675                   -                     -     23.114.557.774          Buildings
                                                                                                                              Machinery and
     Mesin dan Peralatan      22.534.825.743    850.964.970                    -                     -     23.385.790.713        Equipment
                                                                                                                              Transportation
     Alat pengangkutan         5.140.706.286    486.861.651                    -                     -      5.627.567.937        Equipment
     Inventaris                1.251.795.447     95.400.179                    -                     -      1.347.195.626          Furniture
     Jumlah                   50.619.222.575   2.855.889.475                   -                     -     53.475.112.050              Total
     Nilai buku bersih        97.036.844.361                                                               96.909.387.867    Net book value


                                                      31 Januari 2025/January 31, 2025
                              Saldo awal/      Penambahan/     Pengurangan/            Reklasifikasi/      Saldo akhir/
                           Beginning balance    Additions       Deductions            Reclassification   Ending balance

     Harga perolehan                                                                                                        Acquisition cost
     Hak atas tanah           68.211.303.020              -                    -                     -     68.211.303.020          Landright
     Bangunan                 37.937.671.359              -                    -                     -     37.937.671.359          Buildings
                                                                                                                              Machinery and
     Mesin dan Peralatan      33.243.880.063   1.386.075.408    (1.026.275.043)                      -     33.603.680.428        Equipment
                                                                                                                              Transportation
     Alat pengangkutan         5.524.157.430              -                    -                     -      5.524.157.430        Equipment
     Inventaris                2.342.673.351    295.742.000         (259.160.652)                    -      2.379.254.699          Furniture
     Jumlah                  147.259.685.223   1.681.817.408    (1.285.435.695)                      -    147.656.066.936            Total


     Akumulasi                                                                                                                 Accumulated
      penyusutan                                                                                                            depreciation
     Bangunan                 19.795.011.531   1.896.883.568                   -                     -     21.691.895.099          Buildings
                                                                                                                              Machinery and
     Mesin dan Peralatan      22.139.043.409   1.272.983.883        (877.201.549)                    -     22.534.825.743        Equipment
                                                                                                                              Transportation
     Alat pengangkutan         4.869.259.253    271.447.033                    -                     -      5.140.706.286        Equipment
     Inventaris                1.340.221.737    110.073.485         (198.499.775)                    -      1.251.795.447          Furniture
     Jumlah                   48.143.535.930   3.551.387.969    (1.075.701.324)                      -     50.619.222.575              Total
     Nilai buku bersih        99.116.149.293                                                               97.036.844.361    Net book value




                                                               10
Page 14
Catatan atas Laporan Keuangan                                                         Notes to the Financial Statements

PT ATMINDO Tbk                                                                                        PT ATMINDO Tbk

Tanggal 31 Oktober 2025 dan 31 Januari 2025                                   October 31, 2025 and January 31, 2025
Serta Untuk Periode Sembilan Bulan yang Berakhir                              And For the Nine Months Period Ended
Pada Tanggal 31 Oktober 2025 dan 2024                                                     October 31, 2025 and 2024

(Disajikan dalam Rupiah, kecuali dinyatakan lain)                      (Expressed in Rupiah, unless otherwise stated)

8.   PIUTANG RETENSI                                             8. RETENTION RECEIVABLES

     Piutang retensi Jangka Pendek                                  Retention receivables – Short term
                                          31 Oktober 2025          31 Januari 2025

     PT Rambah Sawit Mandiri                   1.029.802.500         1.029.802.500                PT Rambah Sawit Mandiri
     PT Perkebunan Nusantara IV                1.020.000.000                     -             PT Perkebunan Nusantara IV
     PT Wana Jingga timur                       388.500.000                      -                    PT Wana Jingga timur
     PT Bakrie Sumatera Plantations Tbk         357.975.000                      -       PT Bakrie Sumatera Plantations Tbk
     PT Delimuda Perkasa                        254.745.000                      -                    PT Delimuda Perkasa
     PT Andhika Pratama Jaya Abadi              184.412.798            180.190.366          PT Andhika Pratama Jaya Abadi
     PT Riau Agrotama Plantation                             -         141.400.000             PT Riau Agrotama Plantation
     Lain-lain (dibawah 100 juta)               195.604.354            102.022.250                Others (below 100 million)
     Jumlah                                    3.431.039.652         1.453.415.116                                    Total
     Dikurangi cadangan kerugian                                                                      Less of allowance for
       penurunan nilai                          (184.412.798)         (180.190.366)                   impairment losses
     Jumlah piutang retensi jangka                                                              Total Retention receivable
       pendek-bersih                           3.246.626.854         1.273.224.750                      short term -net



9.   UTANG BANK                                                  9. BANK LOAN

     Pinjaman Jangka Pendek                                         Short -Term Loans

                                          31 Oktober 2025           31 Januari 2025
      Dalam Rupiah                                                                                               In Rupiah
      PT Bank Permata Tbk                    5.889.954.406           28.721.426.972                 PT Bank Permata Tbk
      Jumlah                                 5.889.954.406           28.721.426.972                                   Total


     Perusahaan memperoleh fasilitas perbankan dengan               The company obtained a banking facility with PT
     PT Bank Permata Tbk berdasarkan surat perjanjian No            Bank Permata Tbk based on agreement No.
     0657/KK/AMD/II/2025/COMMSUMI        tanggal      28            0657/KK/AMD/II/2025/COMMSUMI dated February
     Pebruari 2025 tentang Perubahan Keenam Perjanjian              28, 2025 regarding The Sixth Amendement Of Bank
     Pemberian Fasilitas Perbankan.                                 Loan Facility Agreement.




                                                        11
Page 15
Catatan atas Laporan Keuangan                                                           Notes to the Financial Statements

PT ATMINDO Tbk                                                                                          PT ATMINDO Tbk

Tanggal 31 Oktober 2025 dan 31 Januari 2025                                   October 31, 2025 and January 31, 2025
Serta Untuk Periode Sembilan Bulan yang Berakhir                              And For the Nine Months Period Ended
Pada Tanggal 31 Oktober 2025 dan 2024                                                     October 31, 2025 and 2024

(Disajikan dalam Rupiah, kecuali dinyatakan lain)                      (Expressed in Rupiah, unless otherwise stated)

10.   UTANG USAHA                                                10. ACCOUNT PAYABLES

                                           31 Oktober 2025         31 Januari 2025
      Pihak ketiga:                                                                                            Third parties:
      PT Bilah Baja Makmur Abadi             2.913.118.940           2.361.165.249               PT Bilah Baja Makmur Abadi
      PT Victorindo Pratama Mandiri          1.693.910.004                       -             PT Victorindo Pratama Mandiri
      PT Translindo Malaka Express Line      1.662.345.899                       -         PT Translindo Malaka Express Line
      PT Budijaya Makmur Sentosa             1.075.850.900           1.275.289.600              PT Budijaya Makmur Sentosa
      Buhlmann Singapore Pte Ltd                         -           6.088.695.451               Buhlmann Singapore Pte Ltd
      PT Antara Tetap Jaya                               -           4.214.510.992                      PT Antara Tetap Jaya
      PT Sumber Setamurni                                -           3.102.501.060                     PT Sumber Setamurni
      Lain-lain (Masing-masing                                                                            Others (each below
                                            14.166.459.412          12.082.751.283
       dibawah Rp1Milyar)                                                                                       Rp1 Billion)
      Jumlah Utang usaha                    21.511.685.155          29.124.913.635                    Total account payable


11.   UANG MUKA PENJUALAN                                        11. SALES ADVANCES

                                           31 Oktober 2025           31 Januari 2025
       Pihak ketiga:                                                                                            Third parties:
      PT Tolan Tiga indonesia                  6.000.000.000                           -               PT Tolan Tiga indonesia
      Sodimex FR S.A                           5.930.496.000                         -                        Sodimex FR S.A
      PT Giga Putra Nusantara                  3.000.000.000            3.000.000.000                 PT Giga Putra Nusantara
      PT Bumi Mentari Karya                    2.313.780.000                         -                  PT Bumi Mentari Karya
      PT Bangka Sawit Makmur                   1.740.000.000            2.320.000.000                 PT Bangka Sawit Makmur
      PT Agrindo Tani Sejahtera                1.653.882.000                         -               PT Agrindo Tani Sejahtera
      PT Bukit Palma Prima                     1.426.015.000            3.188.195.000                    PT Bukit Palma Prima
      PT Sri Inti Agrindo                      1.414.446.000                         -                       PT Sri Inti Agrindo
      PT Bhumi Palmindo Kencana                1.198.750.000            3.425.000.000              PT Bhumi Palmindo Kencana
      PT Sinergi Andalan Maknur                1.182.290.000                           -            PT Sinergi Andalan Maknur
      PT Hardaya Inti Plantation               1.140.000.000                           -             PT Hardaya Inti Plantation
      PT Sinar Sawit Lestari                   1.138.750.000                           -                 PT Sinar Sawit Lestari
      The Okomu Oil Palm Company Plc           1.000.000.000                         -        The Okomu Oil Palm Company Plc
      PT Sawit Riau Makmur                                   -          4.206.388.000                   PT Sawit Riau Makmur
      PT Putera Bangka Tani                                  -          3.425.000.000                   PT Putera Bangka Tani
      PT Ichiko Agro Lestari                                 -          2.815.000.000                    PT Ichiko Agro Lestari
      PT Samora Usaha Jaya                                   -          2.031.090.000                   PT Samora Usaha Jaya
      PT Perkebunan Nusantara IV                             -          2.000.000.000              PT Perkebunan Nusantara IV
      PT Mitra Sawit Jambi                                   -          1.895.188.000                     PT Mitra Sawit Jambi
      PT Sinar Agro Tenera Unggul                            -          1.599.520.000             PT Sinar Agro Tenera Unggul
      PT Rezeki Bersamah                                     -          1.512.500.000                     PT Rezeki Bersamah
      PT Inti Daya Baru Agro                                 -          1.487.970.000                   PT Inti Daya Baru Agro
      PT Jaya Gemilang Sukses                                -          1.090.770.000                PT Jaya Gemilang Sukses
      Lain-lain (Masing-masing                                                                             Others (each below
       dibawah Rp1Miliar)                      6.895.127.334           10.713.643.475                               Rp1Billion )
      Jumlah                                  36.033.536.334           44.710.264.475                                    Total




                                                       12
Page 16
Catatan atas Laporan Keuangan                                                             Notes to the Financial Statements

PT ATMINDO Tbk                                                                                          PT ATMINDO Tbk

Tanggal 31 Oktober 2025 dan 31 Januari 2025                                     October 31, 2025 and January 31, 2025
Serta Untuk Periode Sembilan Bulan yang Berakhir                                And For the Nine Months Period Ended
Pada Tanggal 31 Oktober 2025 dan 2024                                                       October 31, 2025 and 2024

(Disajikan dalam Rupiah, kecuali dinyatakan lain)                         (Expressed in Rupiah, unless otherwise stated)

12.   BIAYA YANG MASIH HARUS DIBAYAR                                12. ACCRUED EXPENSES

                                        31 Oktober 2025              31 Januari 2025
       Biaya pemeliharaan selama                                                                  Maintenance costs during
        masa garansi                       1.217.389.999                 807.995.000                the warranty period
       Bonus dan insentif                    361.807.740               1.792.158.498                   Bonus and Incentive
       Bunga pinjaman bank                             -                 184.926.927                     Bank loan interest
       Lain-lain (masing-masing di                                                                      Others (each below
                                            134.163.563                  314.612.360
        bawah Rp100 juta)                                                                                Rp100 Million)
       Jumlah                              1.713.361.302               3.099.692.785                                 Total



13.   PERPAJAKAN                                                    13. TAXES

      a. Pajak dibayar di muka                                         a. Prepaid tax

        Akun ini merupakan pajak penghasilan pasal 28a,                   This account represents income tax article 28a,
        dengan rincian:                                                   is as follow:

                                           31 Oktober 2025              31 Januari 2025

        Pasal 22                               1.544.066.056              3.410.065.047                           Article 22
        Pasal 23                                 515.728.292              1.006.234.991                           Article 23
        Jumlah                                 2.059.794.348              4.416.300.038                               Total


      b. Utang pajak                                                   b. Tax payable

                                              31 Oktober 2025            31 Januari 2025
        Pajak penghasilan:                                                                                       Income tax
        Pasal 4 (2)                                    33.968.375             17.473.925                         Article 4 (2)
        Pasal 21                                      271.081.112             77.919.644                           Article 21
        Pasal 23                                        5.667.890             19.524.198                           Article 23
        Pasal 25                                      412.389.338                      -                           Article 25
        Pasal 26                                       12.319.500             32.398.000                           Article 26
        Pasal 29                                    1.422.654.243                      -                           Article 29
        Jumlah                                      2.158.080.458            147.315.767                             Jumlah
        Pajak pertambahan nilai                     2.100.865.795            952.568.673                    Value Added Tax
        Jumlah                                      4.258.946.253          1.099.884.440                                Total




                                                          13
Page 17
Catatan atas Laporan Keuangan                                                             Notes to the Financial Statements

PT ATMINDO Tbk                                                                                              PT ATMINDO Tbk

Tanggal 31 Oktober 2025 dan 31 Januari 2025                                       October 31, 2025 and January 31, 2025
Serta Untuk Periode Sembilan Bulan yang Berakhir                                  And For the Nine Months Period Ended
Pada Tanggal 31 Oktober 2025 dan 2024                                                         October 31, 2025 and 2024

(Disajikan dalam Rupiah, kecuali dinyatakan lain)                         (Expressed in Rupiah, unless otherwise stated)

13.   PERPAJAKAN (lanjutan)                                         13. TAXES (continued)

      c. Rekonsiliasi pajak                                            c. Tax reconciliation

                                                  31 Oktober 2025         31 Oktober 2024
          Laba sebelum pajak                                                                         Income before income tax
           penghasilan berdasarkan laporan laba                                                   based on the statement of
           rugi komprehensif                       25.590.924.841          17.375.842.809            comprehensive income
          Rekonsiliasi atas beban                                                            Reconciliation of project ecpenses
           (pendapatan) project yang dipotong                                                (income) suject to final income
           pph final - bersih                       (4.646.972.905)                     -                 tax deduction - net
          Realisasi beban perawatan                                                                 Realization of maintenance
           selama masa garansi                                  -             (240.090.090)        expense during warantee
         Perbedaan temporer:                                                                            Temporary differences
         Penyusutan aset tetap                       (251.300.475)              (69.287.298)                         Depreciation
         Cadangan (pembayaran) imbalan                                                        Reserve (payment) of retirement
           kerja - bersih                             132.853.083              311.133.754                       benefit - nett
         Penyisihan kerugian penurunan                                                        Allowance for impairment losses
           nilai piutang                             1.000.000.000             800.000.000                    on receivables
         Realisasi bonus                            (1.300.000.000)           (650.000.000)             Realization of bonus
         Perbedaan tetap:                                                                              Permanent differences:
         Beban yang tidak dapat dikurangkan           170.241.952              429.898.137             Non deductible expenses
         Penghasilan bunga yang                                                                       Interest income subjected
           dikenakan pajak final                     (260.734.135)            (137.427.000)                         to final tax
         Biaya pajak                                2.048.718.173              183.154.184                               Tax costs
         Jumlah                                    22.483.730.534          18.003.224.496                                     Total
         Kompensasi kerugian                                   -          (18.003.224.496)                  Loss Compensation
         Estimasi penghasilan kena pajak           22.483.730.534                         -         Estimated taxable income
         Penghasilan kena pajak pada                                                                 The taxable Income at the
            akhir periode – dibulatkan             22.483.730.000                                end of the period- rounded
         Pajak kini                                 4.946.420.600                         -                           current tax
         Pembayaran di muka pajak                                                                                 Prepayment of
           penghasilan:                                                                                           income tax:
         Pasal 22 dan 23                            1.073.884.889            1.311.993.130                    Articles 22 and 23
         Pasal 25                                   2.449.881.468                         -                             Articles 25
         Jumlah                                     3.523.766.357            1.311.993.130                                    Total
         Taksiran Kurang (Lebih)                                                             Estimated underpayment (over)
            bayar pajak badan                       1.422.654.243           (1.311.993.130)       payment of corporate tax




                                                           14
Page 18
Catatan atas Laporan Keuangan                                                   Notes to the Financial Statements

PT ATMINDO Tbk                                                                                   PT ATMINDO Tbk

Tanggal 31 Oktober 2025 dan 31 Januari 2025                              October 31, 2025 and January 31, 2025
Serta Untuk Periode Sembilan Bulan yang Berakhir                         And For the Nine Months Period Ended
Pada Tanggal 31 Oktober 2025 dan 2024                                                October 31, 2025 and 2024

(Disajikan dalam Rupiah, kecuali dinyatakan lain)                 (Expressed in Rupiah, unless otherwise stated)

14. MODAL SAHAM                                             14. SHARE CAPITAL


    Berdasarkan Akta Notaris Dr. Irawan Soerodjo, S.H.,        Based on Notarial Deed Dr. Irawan Soerodjo, SH,
    M.Si., tanggal 15 April 2015 pemegang saham (i)            M.Si., April 15, 2015 the shareholders (i) to approve
    menyetujui penggunaan mata uang rupiah sebagai             the use of the rupiah currency as a unit nominal
    satuan nilai nominal saham perusahaan; (ii)                value of shares of the company; (Ii) To approve the
    Menyetujui perubahan klasifikasi saham seri A dan          change in the classification of shares of series A
    saham seri B dengan nominal per saham sebesar              and series B shares with a nominal value per share
    Rp207.500 menjadi saham biasa dengan nominal               amounted to Rp207,500 into ordinary shares with a
    Rp100; (iii) Meningkatkan modal dasar perseroan dari       nominal value of Rp100; (Iii) Increase of authorized
    sebesar       Rp2.324.000.000     menjadi   sebesar        capital amounting to RpRp336,000,000,000 of
    Rp336.000.000.000       dan     penambahan    modal        Rp2,324,000,000 and additions issued and paid up
    ditempatkan      dan    disetor    dari     sebesar        capital    of     at   Rp2,324,000,000        be   at
    Rp2.324.000.000 menjadi sebesar Rp84.000.000.000           Rp84,000,000,000 (iv) To approve the transfer of
    (iv) Menyetujui pengalihan saham perusahaan dengan         shares by way of grants some shares in the
    cara hibah sebagian saham dalam perusahaan yang            company owned by Sphere of Corporation Sdn.
    dimiliki oleh Sphere Corporation Sdn. Bhd.                 Bhd.

    Penambahan modal ditempatkan dan             disetor       Issued and paid capital increase carried out by way
    dilakukan dengan cara kapitalisasi laba ditahan            of capitalization of retained earnings amounting to
    sebesar Rp81.676.000.000 yang dibagikan secara             Rp81,676,000,000 were distributed proportionally
    proporsional sebagai setoran modal para pemegang           as capital injection from shareholders.
    saham.
    Rincian atas pembagian kapitalisasi laba ditahan           Details of the distribution of the capitalization of
    tersebut adalah sebagai berikut:                           retained earnings are as follows:
    -    Sphere Corporation Sdn. Bhd sebanyak                  -    Sphere Corporation Sdn. Bhd total 808,592,400
         808.592.400 saham senilai Rp80.859.240.000;dan             shares worth Rp80,859,240,000; and
    -    Rudy Susanto sebanyak 8.167.600 saham senilai         -    Rudy Susanto total 8,167,600 shares worth
         Rp816.760.000                                              Rp816,760,000

    Pengalihan   saham      perusahaan dari   Sphere           The transfer of shares of Sphere Corporation Sdn.
    Corporation Sdn. Bhd sejumlah 218.400.000 saham            Bhd 218,400,000 number of shares is as follows:
    adalah sebagai berikut:                                     - Rudy Susanto as many as 33,600,000 shares
     - Rudy Susanto sebanyak 33.600.000 lembar                     valued at Rp3,360,000,000
        saham senilai Rp3.360.000.000                           - Chong Kim Leong as many as 75,600,000
     - Chong Kim Leong sebanyak 75.600.000 lembar                  shares valued at Rp7,560,000,000
        saham senilai Rp7.560.000.000                           - Chong Kim Kong as many as 109,200,000
     - Chong Kim Kong sebanyak 109.200.000 lembar                  shares valued at Rp10,920,000,000
        saham senilai Rp10.920.000.000


    Salinan Akta terbaru No. 84 tanggal 10 Desember            A copy of the Deed No. 84 on December 10, 2015
    2015 tersebut telah dicatat di dalam administrasi          recorded in the administration of the Minister of
    Menteri Hukum dan Hak Asasi Manusia Republik               Justice and Human Rights of the Republic of
    Indonesia melalui Surat Keputusan No. AHU-                 Indonesia through Decree No. AHU-AH.01.03-
    AH.01.03-0989099 tanggal 18 Desember 2015.                 0989099 on December 18, 2015.




                                                       15
Page 19
Catatan atas Laporan Keuangan                                                     Notes to the Financial Statements

PT ATMINDO Tbk                                                                                  PT ATMINDO Tbk

Tanggal 31 Oktober 2025 dan 31 Januari 2025                               October 31, 2025 and January 31, 2025
Serta Untuk Periode Sembilan Bulan yang Berakhir                          And For the Nine Months Period Ended
Pada Tanggal 31 Oktober 2025 dan 2024                                                 October 31, 2025 and 2024

(Disajikan dalam Rupiah, kecuali dinyatakan lain)                   (Expressed in Rupiah, unless otherwise stated)

14. MODAL SAHAM (lanjutan)                                  14. SHARE CAPITAL (continued)

    Pada tanggal 26 November 2015 Perusahaan                   On November 26, 2015 the Company received an
    memperoleh pernyataan efektif dari Otoritas Jasa           effective statement from the Otoritas Jasa Keuangan
    Keuangan No.S-560/D.04/2015.                               No. S-560 / D.04 / 2015.

    Sesuai dengan pengumuman yang dikeluarkan oleh             According to an announcement issued by PT Bursa
    PT Bursa Efek Indonesia tanggal 8 Desember 2015            Efek Indonesia dated December 8, 2015 No. Peng-
    No.Peng-P00247/BEI.PP3/12-2015,      maka   jumlah         P00247/BEI.PP3/12-2015, the number of shares
    saham yang telah dikeluarkan oleh perusahaan dalam         issued by companies in the public offering of
    penawaran umum saham perusahaan kepada                     company stock to the public is 240,000,000 so that
    masyarakat adalah sebanyak 240.000.000 sehingga            the total shares issued by the company is
    jumlah seluruh saham yang dikeluarkan oleh                 1,080,000,000 shares with a nominal amount of
    perusahaan adalah 1.080.000.000 lembar saham               Rp108,000,000,000
    dengan      nominal        seluruhnya      sebesar
    Rp108.000.000.000

    Berdasarkan laporan dari Biro Administrasi Efek (PT        Based on report from Securities Administration
    Adimitra) tanggal 30 April 2018, Sphere Corporation        Bureau (PT Adimitra) dated April 30, 2018 , Sphere
    Sdn. Bhd telah membeli saham di pasar modal                Corporation Sdn. Bhd has bought shares in the
    sebanyak 17.438.300 lembar saham atau 1,61% dari           capital market is 17,438,300 shares or 1,61% from
    jumlah seluruh saham yang dikeluarkan oleh                 total shares issued by the company.
    perusahaan.


    Susunan pemegang saham Perusahaan pada tanggal             Composition of shareholders on October 31,2025
    31 Oktober 2025 adalah sebagai berikut:                    are as follows:

                                             Ditempatkan dan Disetor Penuh/
                                                  Issued and Fully Paid
                                                      Persentase
                                        Jumlah       kepemilikan/
                                        saham/        percentage        Jumlah/
           Pemegang saham             Total shares of ownership          Total                Shareholders

    Sphere Corporation Sdn. Bhd         630.638.300        58,39%     63.063.830.000 Sphere Corporation Sdn. Bhd
    Chong Kim Kong (Direktur)           109.200.000        10,11%     10.920.000.000   Chong Kim Kong (Director)
    Chong Kim Leong                      75.600.000         7,00%      7.560.000.000            Chong Kim Leong
    Rudy Susanto                                                                                    Rudy Susanto
    (Presiden direktur)                  42.000.000        3,89%       4.200.000.000          (President director)
    Lai Kien Hsin (Direktur)             10.000.000        0,93%       1.000.000.000      Lai Kien Hsin (Director)
    Lai May Ling (Direktur)              10.000.000        0,93%       1.000.000.000       Lai May Ling (Director)
    Lindataty (Direktur)                  5.000.000        0,46%         500.000.000           Lindataty (Director)
    Masyarakat (masing-masing                                                           Public (each less than 5%
       kepemilikan kurang dari 5%)      197.561.700        18.29%     19.756.170.000                   ownership)

    Jumlah                            1.080.000.000         100%     108.000.000.000                         Total




                                                      16
Page 20
Catatan atas Laporan Keuangan                                                             Notes to the Financial Statements

PT ATMINDO Tbk                                                                                                PT ATMINDO Tbk

Tanggal 31 Oktober 2025 dan 31 Januari 2025                                        October 31, 2025 and January 31, 2025
Serta Untuk Periode Sembilan Bulan yang Berakhir                                   And For the Nine Months Period Ended
Pada Tanggal 31 Oktober 2025 dan 2024                                                          October 31, 2025 and 2024

(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)

14. MODAL SAHAM (lanjutan)                                           14. SHARE CAPITAL (continued)

      Susunan pemegang saham Perusahaan pada tanggal                    Composition of shareholders on January 31,2025
      31 Januari 2025 adalah sebagai berikut:                           are as follows:

                                                  Ditempatkan dan Disetor Penuh/
                                                       Issued and Fully Paid
                                                           Persentase
                                             Jumlah       kepemilikan/
                                             saham/        percentage        Jumlah/
                 Pemegang saham            Total shares of ownership          Total                        Shareholders

      Sphere Corporation Sdn. Bhd           630.638.300             58,39%     63.063.830.000 Sphere Corporation Sdn. Bhd
      Chong Kim Kong (Direktur)             109.200.000             10,11%     10.920.000.000   Chong Kim Kong (Director)
      Chong Kim Leong                        75.600.000              7,00%      7.560.000.000            Chong Kim Leong
      Rudy Susanto                                                                                           Rudy Susanto
      (Presiden direktur)                    42.000.000             3,89%       4.200.000.000          (President director)
      Lai Kien Hsin (Direktur)               10.000.000             0,93%       1.000.000.000      Lai Kien Hsin (Director)
      Masyarakat (masing-masing                                                                  Public (each less than 5%
        kepemilikan kurang dari 5%)         212.561.700             19,68%     21.256.170.000                   ownership)

      Jumlah                              1.080.000.000              100%     108.000.000.000                                Total


15.    TAMBAHAN MODAL DISETOR                                        15. ADDITIONAL PAID IN CAPITAL

      Akun ini sebagian besar merupakan tambahan modal                  This account is the additional capital that comes
      disetor yang berasal dari selisih lebih harga jual saham          from the excess of the issue price of the shares
      yang ditawarkan atas nilai nominalnya sebesar                     offered as its par value amounting to
      Rp7.166.500.000.                                                  Rp7,166,500,000.

                                             31 Oktober 2025 dan 31 Januari 2025
      Penawaran umum perdana                          6.720.000.000                                         Initial public offering
      Agio saham                                      2.977.500.000                                               Share premium
      Biaya emisi saham                              (2.531.000.000)                                        Share issuance cost
      Jumlah                                          7.166.500.000                                                          Total



16.    PENDAPATAN DARI PENJUALAN DAN JASA                            16. REVENUE FROM SALES AND SERVICES

      Akun ini merupakan saldo pendapatan usaha dengan                  This account represents the balance revenues with
      rincian sebagai berikut :                                         the following details:

                                                31 Oktober 2025       31 Oktober 2024

        Boiler                                    231.527.191.675      212.958.744.831                                       Boiler
        Suku Cadang dan Jasa                       34.095.776.064       28.381.838.927                           Service and Parts
        Bejana Tekan dan Alat pendukung             4.510.472.000        6.449.604.600              Pressure Vessel and Ancillaries
        Peralatan Mekanik dan Pabrik                1.456.891.162       14.388.866.700           Mechanical and Factory Equipment
        Jumlah                                    271.590.330.901      262.179.055.058                                       Total




                                                             17
Page 21
Catatan atas Laporan Keuangan                                                             Notes to the Financial Statements

PT ATMINDO Tbk                                                                                                PT ATMINDO Tbk

Tanggal 31 Oktober 2025 dan 31 Januari 2025                                     October 31, 2025 and January 31, 2025
Serta Untuk Periode Sembilan Bulan yang Berakhir                                And For the Nine Months Period Ended
Pada Tanggal 31 Oktober 2025 dan 2024                                                       October 31, 2025 and 2024

(Disajikan dalam Rupiah, kecuali dinyatakan lain)                      (Expressed in Rupiah, unless otherwise stated)

16.     PENDAPATAN DARI PENJUALAN DAN JASA                        16. REVENUE FROM SALES AND SERVICES
      (lanjutan)                                                      (continued)


      Transaksi penjualan dan jasa kepada pihak berelasi            Sales and services transaction to related parties for
      untuk periode sembilan bulan    yang berakhir pada            the nine months period ended October 31, 2025 and
      tanggal   31   Oktober   2025   dan   2024   sebesar          2024          amounting        to     Rp99,056,162        and
      Rp99.056.162 dan Rp281.512.000.                               Rp281,512,000.


      Porsi pendapatan ekspor sebesar Rp67.370.133.402               The portion of export earnings amounting to
      dan Rp9.394.214.735 atau 25% dan 4% dari jumlah                Rp67,370,133,402 and Rp9,394,214,735 or 25%
      pendapatan dari penjualan barang dan jasa untuk                and 4% of total revenues from sales of goods and
      periode sembilan bulan yang berakhir masing-masing             services     for   the   nine      months     period    ended
      pada tanggal 31 Oktober 2025 dan 2024.                         respectively on October 31, 2025 and 2024.


      Porsi pendapatan lokal sebesar Rp204.220.197.499 dan           The        portion       of      local       revenues      of
      Rp252.784.840.323 atau 75% dan 96% dari jumlah                 Rp204.220.197.499 and Rp252,784,840,323 or
      pendapatan dari penjualan barang dan jasa untuk                85% and 96% of total revenues from sales of goods
      periode sembilan bulan yang berakhir masing-masing             and services for the nine months period ended
      pada tanggal 31 Oktober 2025 dan 2024.                         respectively on October 31, 2025 and 2024.


      Tidak terdapat pelanggan dengan nilai penjualan neto           There are no customers with the value of net goods
      barang dan jasa melebihi 10% dari jumlah pendapatan            and sales exceeds 10% of total revenues from
      dari penjualan barang dan jasa untuk periode sembilan          goods and sales of the company for the nine
      bulan yang berakhir pada tanggal 31 Oktober 2025.              months period ended on October 31, 2025.

      Pelanggan dengan nilai penjualan neto barang dan jasa          There are no customers with the value of net goods
      melebihi 10% dari jumlah pendapatan dari penjualan             and sales exceeds 10% of total revenues from
      barang dan jasa periode sembilan bulan yang berakhir           goods and sales of the company for the nine
      pada tanggal 31 Oktober 2024 adalah sebagai berikut:           months period ended on October 31, 2024 are as
                                                                    follow:
                                                     31 Oktober 2024
       Pelanggan                                                                                                    Customers
       PT Venturindo Engineering                          37.694.103.491                             PT Venturindo Engineering
       Persentase terhadap jumlah pendapatan                      14,38%                             Percentage of total income


       Jumlah dalam rupiah                                37.694.103.491                                           Total in rupiah
       Jumlah dalam persentase                                    14,38%                                      Total in percentage




                                                             18
Page 22
Catatan atas Laporan Keuangan                                                      Notes to the Financial Statements

PT ATMINDO Tbk                                                                                     PT ATMINDO Tbk

Tanggal 31 Oktober 2025 dan 31 Januari 2025                                  October 31, 2025 and January 31, 2025
Serta Untuk Periode Sembilan Bulan yang Berakhir                             And For the Nine Months Period Ended
Pada Tanggal 31 Oktober 2025 dan 2024                                                    October 31, 2025 and 2024

(Disajikan dalam Rupiah, kecuali dinyatakan lain)                     (Expressed in Rupiah, unless otherwise stated)

17.   BEBAN POKOK PENDAPATAN                                   17. COST OF REVENUE

                                     31 Oktober 2025           31 Oktober 2024

      Persediaan awal bahan baku       67.301.446.661            79.688.474.130        Beginning balance of raw materials
      Pembelian                       117.034.829.058           152.225.069.204                                 Purchase
      Bahan baku tersedia             184.336.275.719           231.913.543.334                   Raw materials available
      Persediaan akhir bahan baku     (60.650.155.021)          (62.217.579.221)         Ending balance of raw materials
      Pemakaian bahan baku ke                                                            Raw materials used to the work
       work in process                123.686.120.698           169.695.964.113                            in process
      Persediaan awal work in                                                               Beginning balance of work in
       process                         42.229.654.856            68.432.043.663                               process
      Penerimaan bahan baku           123.686.120.698           169.695.964.113                  Receipt of raw materials
      Upah buruh langsung              17.475.089.969            15.816.164.929                               Direct labor
      Work in process tersedia        183.390.865.523           253.944.172.705              Work in process is available
      Persediaan akhir work in                                                                   Ending balance work in
       process                         (7.454.159.120)          (68.869.852.666)                              process
      Pemakaian work in process       175.936.706.403           185.074.320.039                    Work in process used

      Beban pabrikasi                  34.842.658.943            30.310.364.441                         Factory overhead
      Beban pokok produksi            210.779.365.346           215.384.684.480                 Cost of goods production

      Persediaan barang jadi:                                                                           Finished goods:
      Awal periode                                  -                         -                       Beginning of period
      Akhir periode                                 -                         -                             End of period
      Beban tidak langsung             11.953.643.217            11.098.840.222                        Indirect expenses
      Beban pokok penjualan
       dan jasa                       222.733.008.563           226.483.524.702                          Cost of revenue



18.   BEBAN PENJUALAN                                          18. SELLING EXPENSES

                                       31 Oktober 2025          31 Oktober 2024

       Gaji, upah dan tunjangan           1.152.429.074           1.097.884.848             Salaries, wages and benefits
       Biaya Promosi                      2.259.969.544           1.037.401.733                          Sales promotion
       Perjalanan                           446.327.756             236.842.272                                     Travel
       Biaya kantor                         196.097.515             189.772.573                            Office expense
       Jumlah                             4.054.823.889           2.561.901.426                                      Total




                                                          19
Page 23
Catatan atas Laporan Keuangan                                                                 Notes to the Financial Statements

PT ATMINDO Tbk                                                                                                 PT ATMINDO Tbk

Tanggal 31 Oktober 2025 dan 31 Januari 2025                                            October 31, 2025 and January 31, 2025
Serta Untuk Periode Sembilan Bulan yang Berakhir                                       And For the Nine Months Period Ended
Pada Tanggal 31 Oktober 2025 dan 2024                                                              October 31, 2025 and 2024

(Disajikan dalam Rupiah, kecuali dinyatakan lain)                               (Expressed in Rupiah, unless otherwise stated)

19.   BEBAN UMUM DAN ADMINISTRASI                                   19. GENERAL AND ADMINISTRATIVE EXPENSE

                                         31 Oktober 2025            31 Oktober 2024

      Gaji, upah dan Tunjangan                 9.579.293.912                7.083.384.878            Salaries, wages and Allowance
      Penyusutan                                998.636.684                  707.709.713                                Depreciation
      Pengobatan                                832.191.922                  803.675.320                                     Medical
      Transportasi                              567.691.419                  637.065.613                              Transportation
      Perjalanan                                333.211.856                            -                                   Travelling
      Dokumentasi dan perizinan                 291.892.713                  287.275.638               Documentation and licensing
      Pemeliharaan                              246.536.569                  255.037.815                                Maintenance
      Honorarium dan tenaga ahli                208.121.794                  196.456.410                    Honorarium and experts
      Komunikasi                                178.484.734                  190.902.714                            Communication
      Lain-lain (Masing-masing                                                                              Others (each below Rp
       dibawah Rp 50Juta)                      1.570.519.444                1.359.128.814                            50 Million)
      Jumlah                                  14.806.581.047               11.520.636.915                                       Total



20.   PENDAPATAN LAIN-LAIN                                          20. OTHER INCOME

                                                    31 Oktober 2025              31 Oktober 2024
       Penjualan bahan sisa produksi                   1.225.552.202                 488.228.832            Sales of scrap material
       Pendapatan bunga                                 260.734.135                  137.427.000                   Interest income
       Pelunasan invoice                                           -                 203.068.449               Payment of Invoice
       Cadangan masa garansi yang                                                                             Unrealized reserved
        tidak terealisasi                                              -              62.180.757                          warrant
       Lain-lain (Masing-masing                                                                             Others (each below Rp
        dibawah Rp20 Juta)                                53.630.034                 107.303.662                       20 Million)
       Jumlah                                          1.539.916.371                 998.208.700                              Total



21.   BEBAN LAIN-LAIN                                               21. OTHER EXPENSES

                                                     31 Oktober 2025              31 Oktober 2024

       Beban pajak dan Denda                             2.047.954.102                183.154.184         Tax expenses and Penalties
       Beban provisi bank                                1.051.605.000                           -             Bank provision Charges
       Beban penurunan nilai piutang                     1.000.000.000                800.000.000       Impairment loss of receivables
       Penyesuaian kontrak tahun sebelumnya                           -               782.650.696       Adjustment prior years contract
       Lain-lain (Masing-masing                                                                                 Others (each below Rp
         dibawah Rp10 Juta)                                  3.211.247                 151.953.146                         10 Million)
       Jumlah                                            4.102.770.349               1.917.758.026                                 Total




                                                               20

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Names mentioned 90 people and organisations named in the text · linked when the evidence is strong

linked org Bank Permata Tbk p.9 ×29
linked org Bank Mandiri (Persero) Tbk p.9 ×5
linked org PT Bank CIMB Niaga p.9 ×3
linked org Bank Central Asia Tbk p.9 ×5
linked org Bakrie Sumatera Plantations Tbk p.10 ×11
linked org Jhonlin Agro Raya Tbk p.10 ×5
linked org Sphere Corporation p.12 ×17
linked person Rudy Susanto p.18 ×8
linked — Chong Kim Leong p.18 ×6
linked person Chong Kim Kong p.18 ×6
linked person Kien Hsin p.19 ×4
linked person Lai May Ling p.19 ×2
possible org Otoritas Jasa Keuangan p.19
possible org PT Bursa Efek Indonesia p.19
unresolved org ATMINDO Tbk p.1 ×82
unresolved org PT Venturindo Engineering p.10 ×4
unresolved org PT Sri Inti Agrindo p.10 ×4
unresolved org PT Agrindo Tani Sejahtera p.10 ×4
unresolved org PT Perkebunan Nusantara IV p.10 ×6
unresolved org PT Bumi Mentari Karya p.10 ×4
unresolved org PT Bhumi Palmindo Kencana p.10 ×4
unresolved org PT Rambah Sawit Mandiri p.10 ×4
unresolved org PT Era Sawita p.10 ×2
unresolved org PT Eastern Sumatra Indonesia p.10 ×2
unresolved org PT Pesona Sawit Makmur p.10 ×2
unresolved org PT Inti Daya Baru Agro p.10 ×4
unresolved org PT Mekar Sari Alam Lestari p.10 ×2
unresolved org PT Agro Muko p.10 ×2
unresolved org PT Bukit Palma Prima p.10 ×4
unresolved org PT Sinar Sawit Lestari p.10 ×3
unresolved org PT Ichiko Agro Lestari p.10 ×4
unresolved org PT Berkat Bumi Sawit p.10 ×2
unresolved org PT Duta Marga Lestarindo p.10 ×2
unresolved org PT Perkebunan Nusantara XIII p.10 ×2
unresolved org PT Langgak Inti Lestari p.10 ×2
unresolved org PT Putra Utama Sawit Sungai Angit p.10 ×2
unresolved org PT Torus Ganda p.10 ×2
unresolved org PT Mitra Sawit Jambi p.10 ×4
unresolved org PT Gunung Sejahtera Ibu Pertiwi p.10 ×2
unresolved person Pertiwi p.10
unresolved person Pertiwi PT Galung Effendo Sehati p.10
unresolved org PT Galung Effendo Sehati p.10
unresolved org PT Galung Effendo Sehati Deddy Pandapotan Tampubolon p.10
unresolved org PT Sinar Agro Tenera Unggul p.10 ×4
unresolved org PT Jaya Gemilang Sukses p.10 ×2
unresolved org PT Jaya Gemilang Sukses Lain-lain p.10 ×2
unresolved org PT Riau Agrotama Plantation p.11 ×3
unresolved org PT Samora Usaha Jaya p.11 ×4
unresolved org PT Socfin Indonesia p.11 ×2
unresolved org Down Payment Sphere Corporation Sdn Bhd p.12
unresolved org Sphere Corporation Sdn Bhd Thermax Limited p.12
unresolved org Thermax Limited Shandong Shuochao CNC Equipment Co Ltd p.12
unresolved org Shandong Shuochao CNC Equipment Co Ltd p.12
unresolved org PT Yokogawa Indonesia p.12
unresolved org PT Yokogawa Indonesia Nantong Shengli Heavy Machine p.12
unresolved org PT Asia Sinar Inti Abadi p.12
unresolved org PT Asia Sinar Inti Abadi Lain-lain p.12
unresolved org PT Wana Jingga p.14 ×2
unresolved org PT Delimuda Perkasa p.14 ×2
unresolved org PT Andhika Pratama Jaya Abadi p.14 ×2
unresolved org PT Riau Agrotama Plantation Lain-lain p.14
unresolved org PT Bilah Baja Makmur Abadi p.15 ×2
unresolved org PT Victorindo Pratama Mandiri p.15 ×2
unresolved org PT Translindo Malaka Express Line p.15 ×2
unresolved org PT Budijaya Makmur Sentosa p.15
unresolved org PT Budijaya Makmur Sentosa Buhlmann Singapore Pte Ltd p.15
unresolved org Buhlmann Singapore Pte Ltd p.15
unresolved org PT Antara Tetap Jaya p.15 ×2
unresolved org PT Sumber Setamurni p.15
unresolved org PT Sumber Setamurni Lain-lain p.15
unresolved org PT Tolan Tiga p.15 ×2
unresolved org PT Giga Putra Nusantara p.15 ×2
unresolved org PT Bangka Sawit Makmur p.15 ×2
unresolved org PT Sinergi Andalan Maknur p.15 ×2
unresolved org PT Hardaya Inti Plantation p.15 ×2
unresolved org PT Sinar Sawit Lestari The Okomu Oil Palm p.15
unresolved org PT Sawit Riau Makmur p.15 ×2
unresolved org PT Putera Bangka Tani p.15 ×2
unresolved org PT Rezeki Bersamah p.15 ×2
unresolved org CAPITAL Berdasarkan Akta Notaris Dr. Irawan Soerodjo p.18
unresolved person Notarial Deed Dr. Irawan Soerodjo p.18 ×4
unresolved org Sphere Corporation Sdn. Corporation Sdn. Bhd p.18
unresolved org Minister of Menteri Hukum dan Hak Asasi Manusia Republik p.18
unresolved org Sphere Sdn. Bhd p.19
unresolved org Corporation Sdn. Bhd p.19
unresolved org Shareholders Sphere Corporation Sdn. Bhd p.19 ×2
unresolved — Boiler p.20
unresolved — Suku Cadang p.20
unresolved — Bejana Tekan dan Alat pendukung p.20
unresolved — Peralatan Mekanik dan Pabrik p.20

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