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PT MD ENTERTAINMENT Tbk                                 PT MD ENTERTAINMENT Tbk
DAN ENTITAS ANAK                                                AND SUBSIDIARIES

Laporan Keuangan Konsolidasian                             Consolidated Financial Statements
tanggal 30 Juni 2026 dan 31 Desember 2025      as of June 30, 2026 and December 31, 2025 and
serta untuk periode enam bulan yang berakhir                   for the six-month periods ended
pada tanggal-tanggal 30 June 2026 dan 2025                           on June 30, 2026 and 2025
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                      Daftar Isi                                 Table of Contents



                                              Halaman/
                                               Page
Surat pernyataan direksi                                                 Board of directors’ statement

Laporan auditor independen                                                Independent auditor's report

Laporan posisi keuangan konsolidasian           1-2      Consolidated statements of financial position

Laporan laba rugi dan penghasilan                        Consolidated statements of profit or loss and
  komprehensif lain konsolidasian               3-4                   other comprehensive income

Laporan perubahan ekuitas konsolidasian          5       Consolidated statements of changes in equity

Laporan arus kas konsolidasian                   6             Consolidated statements of cash flows

Catatan atas laporan keuangan konsolidasian    7 - 76       Notes to consolidated financial statements
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                                   PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                    CONSOLIDATED STATEMENTS OF
KONSOLIDASIAN                                                              FINANCIAL POSITION
30 Juni 2026 dan 31 Desember 2025                                          June 30, 2026 and December 31, 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                          (Expressed in Rupiah, unless otherwise stated)



                                            Catatan/       30 Juni 2026/          31 Desember 2025/
                                             Notes         June 30, 2026          December 31, 2025
ASET                                                                                                                                     ASSETS

ASET LANCAR                                                                                                                 CURRENT ASSETS
Kas dan setara kas                           2d, 4          268.149.864.505           228.893.565.635                 Cash and cash equivalents
Piutang usaha                                  5                                                                             Accounts receivable
  Pihak ketiga                                               54.121.342.899            38.212.165.495                             Third parties
  Pihak berelasi                             2m,32            5.154.809.052             5.573.497.820                          Related parties
Piutang lain-lain - pihak ketiga               6                381.176.216               400.374.954             Others receivable - third parties
Pajak dibayar dimuka                         2o, 7a          38.357.971.292            34.943.177.355                              Prepaid taxes
Uang muka                                      8             36.513.350.920            30.403.163.227                                   Advances
Persediaan                                    2e,9          453.558.913.164           466.704.997.491                                  Inventories
Biaya dibayar dimuka                         2g, 10           7.936.830.794             5.940.827.566                           Prepaid expense
Total Aset Lancar                                           864.174.258.843           811.071.769.542                        Total Current Assets

ASET TIDAK LANCAR                                                                                                      NON-CURRENT ASSETS
Kas di bank yang dibatasi penggunaanya       2e, 11          395.059.068.125           393.705.214.838                  Restricted cash in banks
Aset tetap                                   2i, 12          857.409.258.391           869.233.270.393                              Fixed assets
Properti investasi                           2j, 13           71.517.340.155            74.582.369.019                    Investment properties
Aset film                                    2g, 14          380.772.795.601           385.796.545.508                               Film assets
Aset tak berwujud                            2k,15         1.082.040.570.361         1.086.949.341.775                          Intangible assets
Aset pajak tangguhan                         2p, 7d          123.332.119.981           124.633.805.251                       Deffered tax assets
Aset lain-lain                                 16                144.819.282               165.264.281                              Other assets
Total Aset Tidak Lancar                                    2.910.275.971.896         2.935.065.811.066                  Total Non-Current Assets
TOTAL ASET                                                 3.774.450.230.739         3.746.137.580.608                           TOTAL ASSETS




Catatan atas laporan keuangan konsolidasian merupakan bagian yang
tidak terpisahkan dari laporan keuangan konsolidasian secara               The accompanying notes to consolidated financial statements are an
keseluruhan.                                                               integral part of these consolidated financial statements.
                                                                                                                                                      1
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                                   PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
LAPORAN POSISI KEUANGAN                                                    CONSOLIDATED STATEMENTS OF
KONSOLIDASIAN                                                              FINANCIAL POSITION
30 Juni 2026 dan 31 Desember 2025                                          June 30, 2026 and December 31, 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                          (Expressed in Rupiah, unless otherwise stated)



                                            Catatan/       30 Juni 2026/          31 Desember 2025/
                                             Notes         June 30, 2026          December 31, 2025
LIABILITAS DAN EKUITAS                                                                                                  LIABILITIES AND EQUITY

LIABILITAS JANGKA PENDEK                                                                                                  CURRENT LIABILITIES
Utang usaha                                                                                                                      Accounts payable
  Pihak ketiga                                  17           55.733.605.257            59.554.537.668                              Third parties
  Pihak berelasi                              17, 32          4.347.926.528                         -                            Related parties
Utang bank jangka pendek                        20          389.220.000.000           389.220.000.000                       Short-term bank loans
Utang pajak                                   2o, 7b         18.197.259.014             8.731.391.675                               Taxes payable
Beban yang masih harus dibayar                  18           36.222.769.112            32.180.801.230                           Accrued expenses
Uang muka penjualan                             19           33.316.916.730            28.563.533.592                             Sales advances
Utang lain-lain - pihak ketiga                  21           25.742.499.528            20.478.080.666                 Others payable - third parties
Total Liabilitas Jangka Pendek                              562.780.976.169           538.728.344.830                        Total Current Liabilities

LIABILITAS JANGKA PANJANG                                                                                            NON-CURRENT LIABILITIES
Utang lain-lain pihak berelasi              2m, 21, 32          992.889.813               992.889.813                Other Payable - related parties
Liabilitas imbalan kerja                     2p, 22          24.735.658.255            22.261.626.319                    Employee benefits liability
Total Liabilitas Jangka Panjang                              25.728.548.068            23.254.516.132                   Total Non-Current Liabilities
Total Liabilitas                                            588.509.524.237           561.982.860.962                               Total Liabilities

EKUITAS                                                                                                                                       EQUITY
Modal saham                                                                                                                              Share capital
  Modal dasar - 20.000.000.000 saham                                                                         Authorized - 20,000,000,000 shares
     dengan nilai nominal Rp100 per saham                                                                               with par value of Rp100
  Modal ditempatkan dan disetor -                                                                                    Issued and paid-up capital -
     10.887.566.758 saham                      23          1.088.756.675.800         1.088.756.675.800                   10,887,566,758 shares
Tambahan modal disetor                         24          2.046.685.919.617         2.046.685.919.617                      Additional paid-in capital
Selisih transaksi perubahan                                                                                               Difference due to changes
  ekuitas entitas anak                                        (4.232.214.523)           (4.232.214.523)                      of equity in subsidiary
Proforma dari transaksi restrukturisasi                                                                     Proforma from restructuring transaction
  entitas sepengendali                        2c, 23                      -                         -           of entities under common control
Penghasilan komprehensif lain                                   754.919.312               736.462.739                Others comprehensive income
Saldo laba                                     25                                                                                  Retained earnings
  Telah ditentukan penggunaannya                              22.100.000.000            22.100.000.000                                Appropriated
  Belum ditentukan penggunaannya                             (39.708.211.693)          (50.349.032.623)                            Unappropriated
Jumlah ekuitas yang dapat diatribusikan                                                                                        Equity attributable to
  kepada pemilik entitas induk                             3.114.357.088.513         3.103.697.811.010                       owners of the parent
Kepentingan nonpengendali                     2c, 26          71.583.617.989            80.456.908.636                       Non-controlling interest
Total Ekuitas                                              3.185.940.706.502         3.184.154.719.646                                  Total Equity
TOTAL LIABILITAS DAN EKUITAS                               3.774.450.230.739         3.746.137.580.608          TOTAL LIABILITIES AND EQUITY




Catatan atas laporan keuangan konsolidasian merupakan bagian yang
tidak terpisahkan dari laporan keuangan konsolidasian secara               The accompanying notes to consolidated financial statements are an
keseluruhan.                                                               integral part of these consolidated financial statements.
                                                                                                                                                     2
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                                 PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
LAPORAN LABA RUGI DAN PENGHASILAN                                        CONSOLIDATED STATEMENTS OF PROFIT OR
KOMPREHENSIF LAIN KONSOLIDASIAN                                          LOSS AND OTHER COMPREHENSIVE INCOME
Untuk periode enam bulan yang berakhir pada                              For the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                    June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                        (Expressed in Rupiah, unless otherwise stated)



                                           Catatan/                 30 Juni / June, 30
                                            Notes            2026                         2025
PENDAPATAN                                  2n, 28        288.384.279.291           304.439.396.439                                 REVENUE

BEBAN POKOK PENDAPATAN                      2n, 29        137.790.161.981           136.483.979.531                       COST OF REVENUE

LABA (RUGI) BRUTO                                         150.594.117.310           167.955.416.908                    GROSS PROFIT (LOSS)

BEBAN USAHA                                 2n, 30        134.261.226.198           170.265.025.718                   OPERATING EXPENSES

LABA (RUGI) USAHA                                          16.332.891.112                (2.309.608.810)          OPERATING PROFIT (LOSS)

PENGHASILAN (BEBAN) LAIN-LAIN                31                                                                  OTHER INCOME (EXPENSES)
Penghasilan lain-lain                                        8.248.251.834            18.244.868.256                          Other income
Beban lain-lain                                             (5.545.362.931)          (47.374.857.996)                        Other expense
Provisi pajak                                                            -           (37.475.407.791)                       Provision for tax
Penghasilan (Beban) Lain-lain - Neto                        2.702.888.903            (66.605.397.531)            Other Income (Expenses) - Net

LABA (RUGI) SEBELUM MANFAAT                                                                                 PROFIT (LOSS) BEFORE INCOME
(BEBAN) PAJAK PENGHASILAN                                  19.035.780.015            (68.915.006.341)              TAX BENEFIT (EXPENSE)

MANFAAT (BEBAN) PAJAK                                                                                                 INCOME TAX BENEFITS
PENGHASILAN                                  2o                                                                                (EXPENSES)
Kini                                         7c            (15.971.770.162)          (13.435.205.960)                               Current
Tangguhan                                    7d             (1.296.479.570)           25.479.012.271                               Deferred
Manfaat (Beban) Pajak Penghasilan - Neto                   (17.268.249.732)              12.043.806.311    Income Tax Benefits (Expenses) - Net

LABA (RUGI) NETO                                            1.767.530.283            (56.871.200.030)                     NET PROFIT (LOSS)

PENGHASILAN KOMPREHENSIF LAIN                                                                              OTHER COMPREHENSIVE INCOME
Pos-pos yang tidak akan direklasifikasi                                                                           Item not to be reclassified
  ke laba rugi:                                                                                                           to profit or loss:
  Pengukuran kembali liabilitas                                                                                 Remeasurement of defined
    imbalan kerja                           2p, 22             23.662.273                   756.190.091                  benefit program
  Pajak penghasilan terkait                 2o, 7d             (5.205.700)                 (166.361.820)                Related income tax
Penghasilan Komprehensif Lain - Neto                           18.456.573                  589.828.271       Other Comprehensive Income - Net
LABA (RUGI) KOMPREHENSIF                                    1.785.986.856            (56.281.371.759)       COMPREHENSIVE PROFIT (LOSS)




Catatan atas laporan keuangan konsolidasian merupakan bagian yang
tidak terpisahkan dari laporan keuangan konsolidasian secara             The accompanying notes to consolidated financial statements are an
keseluruhan.                                                             integral part of these consolidated financial statements.
                                                                                                                                              3
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                                 PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
LAPORAN LABA RUGI DAN PENGHASILAN                                        CONSOLIDATED STATEMENTS OF PROFIT OR
KOMPREHENSIF LAIN KONSOLIDASIAN                                          LOSS AND OTHER COMPREHENSIVE INCOME
Untuk periode enam bulan yang berakhir pada                              For the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                    June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                        (Expressed in Rupiah, unless otherwise stated)



                                         Catatan/                   30 Juni / June, 30
                                          Notes              2026                        2025
Laba (rugi) neto yang dapat
  diatribusikan kepada:                                                                                       Net profit (loss) attributable to:
  Pemilik entitas induk                                    10.640.820.931            (41.432.774.944)                  Owners of the parent
  Kepentingan nonpengendali                                (8.873.290.647)           (15.438.425.086)               Non-controlling interests
Total                                                       1.767.530.283            (56.871.200.030)                                     Total

Laba (rugi) komprehensif yang                                                                                    Comprehensive profit (loss)
  dapat diatribusikan kepada:                                                                                             attributable to:
  Pemilik entitas induk                                    10.659.277.503            (40.841.334.060)                Owners of the parent
  Kepentingan nonpengendali                                (8.873.290.647)           (15.440.037.699)              Non-controlling interests
Total                                                       1.785.986.856            (56.281.371.759)                                     Total
LABA (RUGI) PER SAHAM DASAR               2s, 27                      0,98                      (4,19)   BASIC EARNING (LOSS) PER SHARE




Catatan atas laporan keuangan konsolidasian merupakan bagian yang
tidak terpisahkan dari laporan keuangan konsolidasian secara             The accompanying notes to consolidated financial statements are an
keseluruhan.                                                             integral part of these consolidated financial statements.
                                                                                                                                                   4
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                                                                                                                    PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
LAPORAN PERUBAHAN EKUITAS KONSOLIDASIAN                                                                                                                     CONSOLIDATED STATEMENTS OF CHANGES IN EQUITY
Untuk periode enam bulan yang berakhir pada                                                                                                                 For the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                                                                                       June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                                                                                           (Expressed in Rupiah, unless otherwise stated)
                                                               Ekuitas yang dapat diatribusikan kepada pemilik entitas induk / Equity attributable to owners of the parent
                                                                                     Selisih nilai
                                                                                 transaksi ekuitas
                                                                                    dengan pihak
                                                                                  non-pengendali\
                                                                                    Difference in              Penghasilan
                                                      Tambahan                    value of equity         Komprehensif Lain/                        Saldo laba/ Retained earnings                                      Kepentingan
                                                    Modal Disetor/               transactions with                Other                   Telah Ditentukan               Belum Ditentukan                             Nonpengendali/
                            Modal Saham/              Additional                   non-controlling           Comprehensive                Penggunaannya/                 Penggunaannya/                               Non-controlling          Total Ekuitas/
                            Share Capital           Paid-in Capital                   interests                  Income                     Appropriated                  Unappropriated         Total                   Interest               Total Equity
Saldo 31 Desember 2024            989.778.796.200       1.359.045.514.857                (4.232.214.523)             657.886.363               22.100.000.000                206.671.481.462     2.574.021.464.359          138.536.553.603        2.712.558.017.962     Balance at Desember 31, 2024
Laba komprehensif                                                                                                                                                                                                                                                                 Comprehensive profit
  tahun berjalan                                -                        -                            -              591.440.884                                              (41.432.774.944)     (40.841.334.060)         (15.440.037.699)          (56.281.371.759)                  for the year
Saldo 30 Juni 2025                989.778.796.200       1.359.045.514.857                (4.232.214.523)           1.249.327.247               22.100.000.000                165.238.706.518     2.533.180.130.299          123.096.515.904        2.656.276.646.203         Balance at June 30, 2025

Saldo 31 Desember 2025          1.088.756.675.800       2.046.685.919.617                (4.232.214.523)             736.462.739               22.100.000.000                 (50.349.032.623)   3.103.697.811.010           80.456.908.636        3.184.154.719.646     Balance at Desember 31, 2025
Laba komprehensif                                                                                                                                                                                                                                                                 Comprehensive profit
  tahun berjalan                                -                        -                            -               18.456.573                             -                 10.640.820.931      10.659.277.503            (8.873.290.647)            1.785.986.856                   for the year
Saldo 30 Juni 2026              1.088.756.675.800       2.046.685.919.617                (4.232.214.523)             754.919.312               22.100.000.000                 (39.708.211.693)   3.114.357.088.513           71.583.617.989        3.185.940.706.502         Balance at June 30, 2026




Catatan atas laporan keuangan konsolidasian terlampir merupakan bagian yang tidak terpisahkan dari laporan                                                  The accompanying notes to consolidated financial statements are an integral part of these consolidated
keuangan konsolidasian secara keseluruhan.                                                                                                                  financial statements.
                                                                                                                                                                                                                                                                                                    5
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                                     PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
LAPORAN ARUS KAS KONSOLIDASIAN                                               CONSOLIDATED STATEMENTS OF CASH FLOWS
Untuk periode enam bulan yang berakhir pada                                  For the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                        June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)

                                                Catatan/                30 Juni / June, 30
                                                 Notes           2026                         2025
ARUS KAS DARI                                                                                                                    CASH FLOWS FROM
AKTIVITAS OPERASI                                                                                                            OPERATING ACTIVITIES
Penerimaan kas dari pelanggan                     5, 27       299.121.384.789           322.481.851.009                    Cash receipt from customers
Pembayaran kepada pemasok, karyawan             8,9,10,14,                                                              Payments to suppliers, employee
  dan lainnya                                  17,18,29, 30   (252.469.280.883)         (310.589.686.194)                                  and others
Kas yang diperoleh dari (digunakan untuk)                                                                                     Cash provided by (used in)
  aktifitas operasi                                            46.652.103.906                11.892.164.815                        operating activities
Penerimaan penghasilan bunga                       31            4.759.069.478                5.967.002.710                   Receipt of interest income
Pembayaran beban keuangan                          31           (2.387.406.022)              (1.434.602.366)                    Payment of finance cost
Pembayaran pajak penghasilan                                    (7.485.335.729)              (8.407.773.967)                       Income tax expenses
Penerimaan (Pembayaran) sengketa pajak                                       -               (3.966.718.312)           Receipt (payment) of tax disputes
Kas Neto Diperoleh dari (Digunakan untuk)                                                                                Net Cash Provided by (Used in)
  Aktivitas Operasi                                            41.538.431.632                 4.050.072.879                       Operating Activities

ARUS KAS DARI                                                                                                                    CASH FLOWS FROM
AKTIVITAS INVESTASI                                                                                                           INVESTING ACTIVITIES
Penjualan aset tetap                               12              447.691.448             6.641.677.477                           Sale of fixed assets
Pembayaran uang muka pembelian                                               -              (211.850.000)        Payment of down payment for purchase
Perolehan aset tetap                               12           (1.375.970.923)          (40.456.231.756)                     Purchases of fixed assets
Kas Neto Diperoleh dari (Digunakan untuk)                                                                                Net Cash Provided by (Used in)
  Aktivitas Investasi                                             (928.279.475)          (34.026.404.279)                          Investing Activites

ARUS KAS DARI                                                                                                                        CASH FLOW FROM
AKTIVITAS PENDANAAN                                                                                                              FINANCING ACTIVITIES
Pembayaran bunga dari aktivitas pendanaan        20, 31                       -          (35.766.191.319)      Interest payments from financing activities
Pembayaran pinjaman bank                           20                         -          (39.900.000.000)                            Bank loan payments
Penerimaan (penempatan)                                                                                                              Receipt (placement)
  dana yang dibatasi penggunaannya                 11           (1.353.853.287)                (815.539.991)            of funds whose use is restricted
Kas Neto Digunakan untuk Aktivitas Pendanaan                    (1.353.853.287)          (76.481.731.310)           Net Cash Used in Financing Activites

KENAIKAN (PENURUNAN) NETO                                                                                             NET INCREASE (DECREASE) IN
KAS DAN SETARA KAS                                             39.256.298.870           (106.458.062.710)            CASH AND CASH EQUIVALENTS

KAS DAN SETARA KAS                                                                                                    CASH AND CASH EQUIVALENT
AWAL PERIODE                                                  228.893.565.635           372.089.069.098               AT BEGINNING OF THE PERIOD
KAS DAN SETARA KAS                                                                                                   CASH AND CASH EQUIVALENTS
AKHIR PERIODE                                                 268.149.864.505           265.631.006.388                    AT END OF THE PERIOD




Catatan atas laporan keuangan konsolidasian terlampir merupakan
bagian yang tidak terpisahkan dari laporan keuangan konsolidasian             The accompanying notes to consolidated financial statements are an
secara keseluruhan.                                                           integral part of these consolidated financial statements.
                                                                                                                                                             6
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                        PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                   NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                           FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                             as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                            and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                  on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                 (Expressed in Rupiah, unless otherwise stated)

1. UMUM                                                     1. GENERAL

   a. Pendirian Perusahaan                                    a. Company’s Establishment

      Perusahaan didirikan di Republik Indonesia dengan          The Company was established in the Republic of
      nama PT MD Media berdasarkan Akta Notaris No. 5            Indonesia under the name of PT MD Media based
      tanggal 1 Agustus 2002 dari Frans Elsius Muliawan,         on Notarial Deed No. 5 dated August 1, 2002 of
      S.H., Notaris di Jakarta. Akta pendirian telah             Frans Elsius Muliawan, S.H., Notary in Jakarta. The
      mendapatkan pengesahan dari Menteri Kehakiman              deed of establishment has been approved by the
      Republik Indonesia melalui Surat Keputusan No. C-          Minister of Justice of the Republic of Indonesia
      17650.HT.01.01.TH.2002 tanggal 13 September                through Decision Letter No. C-17650.HT.01.01.TH.
      2002. Nama Perusahaan diubah menjadi PT MD                 2002 dated September 13, 2002. The Company
      Pictures berdasarkan Akta Notaris No. 3 tanggal            name has been changed to PT MD Pictures based
      3 April 2009 oleh Tahir Kamili, S.H., M.H., M.Kn.,         on Notaria Deed No. 3 dated April 3, 2009 of Tahir
      dan telah mendapatkan pengesahan dari Menteri              Kamili, S.H., M.H., M.Kn., and approved by the
      Hukum dan Hak Asasi Manusia Republik Indonesia             Minister of Law and Human Rights of the Republic
      dengan surat keputusan No. AHU-18508.AH.01.02.             of Indonesia through Decision Letter No. AHU-
      Tahun 2009 tanggal 6 Mei 2009. Anggaran dasar              18508.AH.01.02.Tahun 2009 dated May 6, 2009.
      Perusahaan telah mengalami beberapa kali                   The Company's articles of association have been
      perubahan, terakhir berdasarkan Akta Notaris               amended several times, most recently based on
      No. 70 tanggal 13 April 2018 dari Leolin Jayayanti,        deed No.70 dated April 13, 2018 of Leolin Jayayanti,
      SH., M.Kn mengenai perubahan status Perusahaan             SH., M.Kn regarding changes in the status of the
      dari Perusahaan Tertutup menjadi Perusahaan                Company from a Private Company to a Public
      Terbuka, yang telah mendapatkan pengesahan                 Company, which has been approved by the Minister
      dari Menteri Hukum dan Hak Asasi Manusia                   of Law and Human Rights of the Republic of
      Republik Indonesia dalam Surat Keputusan                   Indonesia in Decision Letter No. AHU-0008393.AH.
      No. AHU-0008393.AH.01.02.Tahun 2018 tanggal                01.02.Tahun 2018 dated April 13, 2018.
      13 April 2018.

      Berdasarkan Akta No 4. tanggal 10 Juli 2024 nama           Based on Deed No 4. dated July 10, 2024, the
      Perusahaan diubah dari PT MD Pictures Tbk                  Company changed its name from PT MD Pictures
      menjadi PT MD Entertainment Tbk yang telah di              Tbk to PT MD Entertainment Tbk which has been
      tetapkan dalam Keputusan Menteri Hukum dan Hak             stipulated in the Decree of the Minister of Law and
      Asasi Manusia Republik Indonesia Nomor AHU-                Human Rights of the Republic of Indonesia Number
      0043005.AH.01.02.Tahun 2024 tanggal 16 Juli                AHU-0043005. AH.01.02.Year 2024 dated July 16,
      2024.                                                      2024.

      Anggaran dasar Perusahaan telah mengalami                  The Company's articles of association have
      beberapa kali perubahan. Perubahan terakhir dibuat         undergone several changes. The latest amendment
      melalui akta Notaris Leolin Jayayanti, SH., M.Kn.,         was made through the deed of Notary Leolin
      No. 13 tanggal 7 Agustus 2025 di Jakarta, dan telah        Jayayanti, SH., M.Kn., No. 13 dated August 7, 2025
      mendapatkan persetujuan Menteri Hukum dan Hak              in Jakarta, and has been approved by the Minister of
      Asasi Manusia Republik Indonesia No. AHU-                  Law and Human Rights of the Republic of Indonesia
      0182582.AH.01.11.Tahun 2025 yang ditetapkan di             AHU-0182582.AH.01.11..Year 2025 which was
      Jakarta pada tanggal 8 Agustus 2025.                       stipulated in Jakarta on August 8, 2025.




                                                                                                                    7
Page 12
PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                                  PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                             NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                     FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                       as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                      and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                            on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                           (Expressed in Rupiah, unless otherwise stated)

1. UMUM (Lanjutan)                                                1. GENERAL (Continued)

      Sesuai dengan pasal 3 anggaran dasar,                                   In accordance with article 3 of the articles of
      Perusahaan bergerak dalam bidang perfilman yang                         association, the Company is engaged in film
      kegiatan usahanya meliputi menjalankan kegiatan                         industry whose business activities include
      pembuatan/memproduksi film dan video, melakukan                         manufacturing/producing films and videos,
      kegiatan perdagangan film dan video, peredaran                          conducting film and video trading, distributing of film
      produksi film dan video, menjadi agen, distributor,                     and video production, agents, distributors, suppliers
      leveransir dan supplier film dan video dari                             and become a supplier of films and videos from
      perusahaan lain. Domisili dan kantor pusat                              other companies. The Company’s domicile and
      Perusahaan di JI. Setiabudi Selatan No. 7,                              head office is in JI. Setiabudi Selatan No. 7,
      Setiabudi, Jakarta Selatan. Perusahaan memulai                          Setiabudi, South Jakarta. The company started its
      kegiatan usaha komersialnya sejak tahun 2003.                           commercial business activities since 2003.

      PT MD Corp Enterprises (d.h. PT MD Global                               PT MD Corp Enterprises (d.h. PT MD Global
      Investment) didirikan di Republik Indonesia                             Investment) established in the Republic of Indonesia
      merupakan entitas induk Perusahaan dan Manoj                            is the parent company of the Company and Manoj
      Dhamoo Punjabi merupakan pengendali akhir dari                          Dhamoo Punjabi is the ultimate controller of the
      Perusahaan.                                                             Company.

   b. Dewan Komisaris, Direksi, Komite Audit dan                       b. Boards of Commissioners, Directors, Audit
      Karyawan                                                            Committee and Employee

      Susunan Dewan Komisaris, Direksi dan Komite                             The composition of the Boards of Commissioners,
      Audit Perusahaan pada tanggal 30 Juni 2026 dan                          Directors and Audit Committee of the Company as
      31 Desember 2025 adalah sebagai berikut:                                of June 30, 2026 and December 31, 2025 were as
                                                                              follows:
       Dewan Komisaris                                                                                         Board of Commissioners
       Komisaris Utama                                 Shania Manoj Punjabi                                     President Commissioner
       Komisaris                                         Sanjeva Advani                                                   Commissioner
       Komisaris Independen                               Dian Adhitama                                       Independent Commissioner
       Direksi                                                                                                      Board of Directors
       Direktur Utama                                 Manoj Dhamoo Punjabi                                           President Director
       Direktur                                          Priyadarshi Anand                                                     Director
       Direktur                                      Sajan Lachmandas Mulani                                                   Director
       Direktur                                      Theodore Yoon Soung Kim                                                   Director
       Direktur                                          Firdauzi Saksono                                                      Director
       Direktur                                        William Hyongmin Kim                                                    Director
       Komite Audit                                                                                                   Audit Committee
       Ketua                                                Dian Adhitama                                                    Chairman
       Anggota                                                  Supardji                                                      Member
       Anggota                                              Richard Antonio                                                   Member


      Pada tanggal 30 Juni 2026 dan 31 Desember 2025,                         As of June 30, 2026 and December 31, 2025, the
      Perusahaan dan Entitas Anak (selanjutnya                                Company and its Subsidiary (hereinafter collectively
      secara bersama-sama disebut sebagai “Grup”)                             referred to as the “Group”) employed 447 and 465
      mempekerjakan masing-masing 447 dan 465                                 employees, respectively (unaudit).
      karyawan (tidak diaudit).



                                                                                                                                          8
Page 13
PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                       PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                  NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                          FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                            as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                           and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                 on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                (Expressed in Rupiah, unless otherwise stated)

1. UMUM (Lanjutan)                                        1. GENERAL (Continued)

   c. Penawaran umum saham Perusahaan                        c. Public offering of the Company’s shares

      Pada tanggal 25 Juli 2018, Perusahaan                     On July 25, 2018, the Company has obtained an
      memperoleh pernyataan efektif dari Otoritas Jasa          effective statement from the Financial Services
      Keuangan (“OJK”) dengan surat No. S-103/D.04/             Authority (“OJK”) with letter No. S-103/D.04/2018 to
      2018 untuk melakukan Penawaran Umum Perdana               conduct an Initial Public Offering (“IPO”) of
      (“IPO”) sebanyak 1.307.770.000 lembar saham               1,307,770,000 ordinary shares with a par value of
      biasa dengan nilai nominal Rp100 per saham dan            Rp100 per share and offering price of Rp210 per
      harga penawaran Rp210 per saham kepada                    share offered to the public. The shares offered to the
      masyarakat. Saham-saham yang ditawarkan                   public during the IPO were listed on the Indonesia
      kepada masyarakat selama IPO tersebut dicatat di          Stock Exchange on August 7, 2018.
      Bursa Efek Indonesia pada tanggal 7 Agustus 2018.

      Berdasarkan RUPSLB 8 Oktober 2024 Perseroan               Based on the EGMS on October 8, 2024, the
      telah merealisasikan Peningkatan Modal Tanpa              Company has realized a Capital Increase Without
      Memberikan Hak Memesan Efek Terlebih Dahulu               Granting Pre-emptive Rights (PMTHMETD) of
      (PMTHMETD) sebanyak 386.570.902 saham biasa               386,570,902 ordinary shares with a nominal value of
      dengan nominal Rp100 per lembar saham. Realisasi          IDR 100 per share. The realization of PMTHMETD
      PMTHMETD dilakukan dalam 2 tahap. Tahap                   is carried out in 2 stages. The first phase is
      pertama sebanyak 216.322.600 saham dengan                 216,322,600 shares at a price of IDR 3,060 per
      harga Rp3.060 per lembar saham pada tanggal 25            share on October 25, 2024 and the second phase is
      Oktober 2024 dan tahap kedua sebanyak                     170,248,302 shares at a price of IDR 2,834 on
      170.248.302 saham dengan harga Rp2.834 pada               November 8, 2024.
      tanggal 8 November 2024.

      Pada tanggal 25 Juni 2025, Perusahaan                     On June 25, 2025, the Company obtained an
      memperoleh pernyataan efektif dari Otoritas Jasa          effective statement from the Financial Services
      Keuangan (“OJK”) dengan surat No. S-                      Authority ("OJK") with letter No. S-53/D.04/2025 to
      53/D.04/2025 untuk melakukan Penawaran Umum               conduct a Limited Public Offering I to the
      Terbatas I Kepada Para Pemegang Saham Dalam               Shareholders in the Context of the Issuance of
      Rangka Penerbitan Hak Memesan Efek Terlebih               Preemptive Rights and amendments and/or
      Dahulu dan perubahan dan/atau tambahan                    additional information submitted through letter
      informasi yang terakhir disampaikan melalui surat         Number 040/DIR Corpsec/VI/2025 dated June 25,
      Nomor 040/DIR Corpsec/VI/2025 tanggal 25 Juni             2025 regarding Amendments and/or Additional
      2025 perihal Perubahan dan/atau Tambahan                  Information to the Registration Statement in the
      Informasi atas Pernyataan Pendaftaran dalam               context of Capital Increase by Granting Pre-emptive
      rangka Penambahan Modal dengan Memberikan                 Rights I PT MD Entertainment Tbk. The shares
      Hak Memesan Efek Terlebih Dahulu I PT MD                  offered amounted to 989,778,796 shares with a
      Entertaiment Tbk. Saham-saham yang ditawarkan             nominal value of IDR 100 and an exercise price of
      tersebut sejumlah 989.778.796 lembar saham                IDR 800 per share, listed on the Indonesia Stock
      dengan nilai nominal Rp100 dan harga pelaksanaan          Exchange on July 10, 2025.
      Rp800 per saham, dicatat di Bursa Efek Indonesia
      pada tanggal 10 Juli 2025.




                                                                                                                     9
Page 14
PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                                                                              PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                                                                         NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                                                                 FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                                                                   as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                                                                  and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                                                                        on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                                                       (Expressed in Rupiah, unless otherwise stated)

1. UMUM (Lanjutan)                                                                                        1. GENERAL (Continued)

   d. Struktur Entitas Anak                                                                                        d. Structure of Subsidiaries

      Pada tanggal 30 Juni 2026 dan 31 Desember 2025,                                                                     As of June 30, 2026 and December 31, 2025, the
      Perusahaan memiliki Entitas Anak, selanjutnya                                                                       Company had ownership interest in subsidiaries,
      secara bersama-sama dengan Perusahaan disebut                                                                       together with the Company herein after referred to
      sebagai “Grup” dengan kepemilikan sebagai berikut:                                                                  as the “Group”, as follows:
                                                                   Tahun Mulai   Tahun Pendirian
                                                                     Operasi/     atau Akuisisi/              Persentase Kepemilikan/                                                          Total Aset Sebelum Eliminasi/
                                                                      Start           Year of                 Percentage of Ownership                             Bidang Usaha/              Total Assets Before Elimination
       Entitas Anak/                              Domisili/        Operational    Establishment         30 Juni 2026/        31 Desember 2025/                      Scope of               30 Juni 2026/        31 Desember 2025/
       Subsidiaries                               Domicile            Year        or Acquisition        June 30, 2026       December 31, 2025                       Activities             June 30, 2026        December 31, 2025
       Kepemilikan langsung/
       Direct ownership
       PT Jakarta Film Studio                       Jakarta            2006            2018               99,9996%                  99,9996%                         Sewa Studio/           215.469.391.845       214.769.532.913
         (JFST)                                                                                                                                                      Studio Rental
       PT Paw Pic Studio Indonesia                  Jakarta            2018            2024               60,0000%                  60,0000%                         Produksi Seni/           8.160.841.214           147.812.733
         (PPSI)                                                                                                                                                    Production house
       PT Takedua Jakarta Film Studio               Jakarta            2019            2024               99,9960%                  99,9960%                 Sewa Peralatan Shooting/        16.232.579.826        18.455.740.983
         (TJFS)                                                                                                                                             Shooting Equipment Rental
       PT MDTV Media Technologies Tbk               Jakarta            2017            2018               80,5000%                  80,5000%                     Aktivitas Kantor Pusat/    826.753.625.175       857.505.743.906
         (NETV)                                                                                                                                                  Head Office Activities
       PT MD Produksi Indonesia                     Jakarta            2024            2019               80,0000%                  80,0000%                         Produksi Seni/           3.958.802.044          4.413.742.549
         (MDPI)                                                                                                                                                    Production house
       PT White Tiger Studios                       Jakarta            2021            2024               70,0000%                  70,0000%                         Produksi Seni/              80.162.271          1.108.670.393
         (WHTS)                                                                                                                                                    Production house



                                                                  Tahun Mulai
                                                                    Operasi/           Persentase Kepemilikan/                                                                                 Total Aset Sebelum Eliminasi/
                                                                     Start             Percentage of Ownership                                Bidang Usaha/                                  Total Assets Before Elimination
       Entitas Anak/                             Domisili/        Operational    30 Juni 2026/        31 Desember 2025/                         Scope of                                   30 Juni 2026/        31 Desember 2025/
       Subsidiaries                              Domicile            Year        June 30, 2026       December 31, 2025                          Activities                                 June 30, 2026        December 31, 2025

       Kepemilikan melalui NETV/
       Ownership through NETV
        PT Industri Mitra Media (IMM)         Jakarta Selatan        2012           99,68%                99,68%                             Investasi/ Investment                         3.247.647.074.320    3.243.047.739.228

       Akuisisi melalui IMM/
       Acquisition through IMM
        PT MDTV Media Televisi (MMTV)         Jakarta Selatan        2005           99,78%                99,78%                    Siaran Televisi/ Television Broadcasting                577.834.537.997       583.569.432.711

       Didirikan memalui IMM/
       Established through IMM:
         PT MDTV Media Berita (MMB)           Jakarta Selatan        2017           99,68%                99,68%           Perdagangan Umum dan Jasa/ General Trading and Service             2.661.712.505         2.663.410.380
         PT MDTV Media Digital (MMD)          Jakarta Selatan        2017           99,72%                99,72%           Perdagangan Umum dan Jasa/ General Trading and Service            96.438.559.225       111.195.366.012
         PT Kreatif Inti Korpora (KIK)        Jakarta Selatan        2017           99,69%                99,69%                                 Jasa/ Service                                  189.384.234           192.285.704
         PT Mitra Media Makassar                 Makassar            2016           99,71%                99,71%                             Investasi/ Investment                           16.495.874.100        16.496.013.100
         PT Mitra Media Pekanbaru               Pekanbaru            2015           99,71%                99,71%                             Investasi/ Investment                            2.228.011.237         2.228.150.237
         PT Mitra Media Aceh                  Jakarta Selatan        2015           99,71%                99,71%                             Investasi/ Investment                              802.177.100           802.404.600
         PT Mitra Media Ambon                 Jakarta Selatan        2015           99,71%                99,71%                             Investasi/ Investment                              871.754.626           871.982.126
         PT Mitra Media Kalimantan Selatan    Jakarta Selatan        2015           99,71%                99,71%                             Investasi/ Investment                              717.635.930           717.774.930
         PT Mitra Media Bengkulu              Jakarta Selatan        2015           99,71%                99,71%                             Investasi/ Investment                              744.653.100           744.880.600
         PT Rentalindo Utama Perkasa          Jakarta Selatan        2015           99,71%                99,71%                             Investasi/ Investment                            1.439.740.878         1.439.871.773
         PT Mitra Media Jambi                 Jakarta Selatan        2015           99,71%                99,71%                             Investasi/ Investment                              718.799.453           718.938.453
         PT Mitra Media Kendari               Jakarta Selatan        2015           99,71%                99,71%                             Investasi/ Investment                              870.480.582           870.619.582
         PT Bhakti Panca Buana                Jakarta Selatan        2015           99,71%                99,71%                             Investasi/ Investment                            1.229.894.757         1.230.023.561
         PT Mitra Media Lampung               Jakarta Selatan        2015           99,71%                99,71%                             Investasi/ Investment                            1.224.927.885         1.225.054.299
         PT Mitra Media Manado                Jakarta Selatan        2015           99,71%                99,71%                             Investasi/ Investment                              718.063.858           718.466.358
         PT Mitra Media Mataram               Jakarta Selatan        2015           99,71%                99,71%                             Investasi/ Investment                              744.808.100           744.947.100
         PT Mitra Media Bangka                Jakarta Selatan        2015           99,71%                99,71%                             Investasi/ Investment                              726.974.138           727.196.830
         PT Mitra Media Donggala              Jakarta Selatan        2015           99,71%                99,71%                             Investasi/ Investment                              717.597.351           717.824.851
         PT Mitra Media Pontianak             Jakarta Selatan        2015           99,71%                99,71%                             Investasi/ Investment                              898.673.834           898.807.809
         PT Mitra Media Purwokerto            Jakarta Selatan        2015           99,71%                99,71%                             Investasi/ Investment                              978.213.980           978.352.980
         PT Mitra Media Samarinda             Jakarta Selatan        2015           99,71%                99,71%                             Investasi/ Investment                              718.256.591           718.395.591
         PT Mitra Media Semarang              Jakarta Selatan        2015           99,71%                99,71%                             Investasi/ Investment                            2.181.269.825         2.181.497.325
         PT Mitra Media Sriwijaya            Ogan Komering Ilir      2015           99,71%                99,71%                             Investasi/ Investment                              713.000.000           713.000.000
         PT Mitra Media Tegal                 Jakarta Selatan        2015           99,71%                99,71%                             Investasi/ Investment                              921.214.441           921.353.441
         PT Mitra Media Ternate               Jakarta Selatan        2015           99,71%                99,71%                             Investasi/ Investment                              718.112.642           718.340.142
         PT Mitra Media Yogyakarta            Jakarta Selatan        2015           99,71%                99,71%                             Investasi/ Investment                           19.005.913.103        19.006.140.603
         PT Mitra Media Palembang               Palembang            2015           99,71%                99,71%                             Investasi/ Investment                            3.347.923.600         3.348.062.600
         PT Mitra Media Padang                    Padang             2015           99,71%                99,71%                             Investasi/ Investment                            9.700.344.819         9.700.480.264
         PT Mitra Media Cirebon                  Kuningan            2015           99,71%                99,71%                             Investasi/ Investment                            7.378.096.714         7.378.324.214




                                                                                                                                                                                                                               10
Page 15
PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                                                                             PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                                                                        NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                                                                FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                                                                  as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                                                                 and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                                                                       on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                                                      (Expressed in Rupiah, unless otherwise stated)

1. UMUM (Lanjutan)                                                                                       1. GENERAL (Continued)
                                                                  Tahun Mulai
                                                                    Operasi/          Persentase Kepemilikan/                                                            Total Aset Sebelum Eliminasi/
                                                                     Start            Percentage of Ownership                       Bidang Usaha/                      Total Assets Before Elimination
       Entitas Anak/                             Domisili/        Operational   30 Juni 2026/        31 Desember 2025/                Scope of                       30 Juni 2026/        31 Desember 2025/
       Subsidiaries                              Domicile            Year       June 30, 2026       December 31, 2025                 Activities                     June 30, 2026        December 31, 2025

         PT Mitra Media Semenanjung Batam          Batam             2015          99,71%                99,71%                    Investasi/ Investment               13.095.848.600        13.095.987.600
         PT Mitra Media Banjarmasin             Banjarmasin          2015          99,71%                99,71%                    Investasi/ Investment                6.299.250.151         6.299.385.627
         PT Mitra Media Manokwari               Manokwari            2015          99,71%                99,71%                    Investasi/ Investment                    5.004.209             5.143.209
         PT Mitra Media Timika                    Timika             2015          99,71%                99,71%                    Investasi/ Investment                1.639.087.090         1.639.314.590
         PT Mitra Media Sentani                  Jayapura            2015          99,71%                99,71%                    Investasi/ Investment                4.090.333.544         4.090.561.044
         PT Sarana Media Manado                   Manado             2015          99,71%                99,71%                    Investasi/ Investment                  180.964.814           180.862.926
         PT Mitra Media Palangkaraya           Palangkaraya          2014          99,71%                99,71%                    Investasi/ Investment                8.910.747.718         8.910.886.718
         PT Mitra Media Bandung               Jakarta Selatan        2012          99,71%                99,71%                    Investasi/ Investment               11.724.419.037        11.724.654.854
         PT Mitra Media Garut                 Jakarta Selatan        2012          99,71%                99,71%                    Investasi/ Investment                4.061.098.173         4.061.237.173
         PT Mitra Media Jember                Jakarta Selatan        2012          99,71%                99,71%                    Investasi/ Investment                4.593.950.897         4.594.089.897
         PT Mitra Media Kediri                Jakarta Selatan        2012          99,71%                99,71%                    Investasi/ Investment                3.190.169.493         3.190.396.993
         PT Sarana Media Madiun                   Madiun             2012          99,71%                99,71%                    Investasi/ Investment                3.854.830.284         3.854.969.284
         PT Mitra Media Malang                     Batu              2012          99,71%                99,71%                    Investasi/ Investment                4.270.986.814         4.271.214.314
         PT Mitra Media Medan                 Jakarta Selatan        2012          99,71%                99,71%                    Investasi/ Investment               12.007.538.941        12.007.946.770
         PT Mitra Media Surabaya                 Surabaya            2012          99,71%                99,71%                    Investasi/ Investment               13.962.219.127        13.962.476.880
         PT Mitra Media Bali                     Denpasar            2012          99,71%                99,71%                    Investasi/ Investment               31.286.647.280        31.286.885.091

       Akuisisi melalui Mitra Media/
       Acquisition through Mitra Media:
        PT Bahana Commercial                    Palembang            2016          99,71%                99,71%           Siaran Televisi/ Television Broadcasting      1.418.512.557         1.103.010.486
        PT Cakrawala Adyswara Media              Makassar            2016          99,71%                99,71%           Siaran Televisi/ Television Broadcasting      1.337.479.461           804.555.647
        PT Anugrah Media Televisi               Banjarmasin          2015          99,71%                99,71%           Siaran Televisi/ Television Broadcasting        210.526.112           211.662.205
        PT Riau Channel Televisi                Pekanbaru            2016          99,71%                99,71%           Siaran Televisi/ Television Broadcasting        321.990.562           299.572.829
        PT Semenanjung Televisi Batam             Batam              2015          99,71%                99,71%           Siaran Televisi/ Television Broadcasting        486.600.885           501.717.285
        PT Tiara Lestari Televisi                Kuningan            2015          99,71%                99,71%           Siaran Televisi/ Television Broadcasting        165.395.477            83.400.746
        PT Favorit Mitra Media Televisi           Padang             2015          99,71%                99,71%           Siaran Televisi/ Television Broadcasting        398.355.956           257.907.474
        PT Sentani Televisi                      Jayapura            2015          99,71%                99,71%           Siaran Televisi/ Television Broadcasting        304.205.062           223.224.030
        PT Televisi Top Mimika Damai Abadi        Mimika             2015          99,71%                99,71%           Siaran Televisi/ Television Broadcasting        616.047.817           664.014.480
        PT Borneo Global Media                 Palangkaraya          2014          99,71%                99,71%           Siaran Televisi/ Television Broadcasting        304.572.903           239.930.909
        PT Televisi Anak Garut                     Garut             2012          99,71%                99,71%           Siaran Televisi/ Television Broadcasting        299.666.584           140.631.381
        PT Televisi Anak Surabaya                Surabaya            2012          99,70%                99,70%           Siaran Televisi/ Television Broadcasting      2.423.752.837         1.787.838.649
        PT Televisi Anak Bandung                 Bandung             2012          99,71%                99,71%           Siaran Televisi/ Television Broadcasting      1.313.904.532           874.498.264
        PT Televisi Anak Medan                    Medan              2012          99,71%                99,71%           Siaran Televisi/ Television Broadcasting      1.078.225.706         1.181.081.953
        PT Alam Bali Semesta Televisi               Bali             2012          99,71%                99,71%           Siaran Televisi/ Television Broadcasting      1.190.812.083           928.480.670
        PT Televisi Anak Kota Malang                Batu             2012          99,71%                99,71%           Siaran Televisi/ Television Broadcasting      1.272.676.749         1.103.301.603
        PT Televisi Anak Kediri                    Kediri            2012          99,71%                99,71%           Siaran Televisi/ Television Broadcasting        160.722.622           405.276.628
        PT Televisi Anak Jember                   Jember             2012          99,71%                99,71%           Siaran Televisi/ Television Broadcasting        524.598.152           610.794.330
        PT Televisi Anak Madiun                  Magetan             2012          99,71%                99,71%           Siaran Televisi/ Television Broadcasting        364.102.954           698.605.290

       Didirikan memalui Mitra Media/
       Established through Mitra Media:
         PT Sarana Media Aceh                   Aceh Besar           2015          99,71%                99,71%           Siaran Televisi/ Television Broadcasting        540.297.983           327.315.355
         PT Mitra Televisi Ambon                  Ambon              2015          99,71%                99,71%           Siaran Televisi/ Television Broadcasting        567.146.933           376.595.602
         PT Mitra Televisi Kota Bengkulu         Bengkulu            2015          99,71%                99,71%           Siaran Televisi/ Television Broadcasting        561.191.128           350.312.872
         PT Industri Televisi Semarang          Semarang             2015          99,71%                99,71%           Siaran Televisi/ Television Broadcasting      2.842.560.412         2.522.652.043
         PT Industri Televisi Lampung        Bandar Lampung          2015          99,71%                99,71%           Siaran Televisi/ Television Broadcasting        763.889.370           595.475.373
         PT Mitra Televisi Kota Jambi              Jambi             2015          99,71%                99,71%           Siaran Televisi/ Television Broadcasting        581.381.124           285.369.632
         PT Mitra Televisi Kendari                Kendari            2015          99,71%                99,71%           Siaran Televisi/ Television Broadcasting        448.277.371           136.712.760
         PT Mitra Televisi Mataram               Mataram             2015          99,71%                99,71%           Siaran Televisi/ Television Broadcasting        424.743.112           231.119.447
         PT Mitra Televisi Manado                Manado              2015          99,71%                99,71%           Siaran Televisi/ Television Broadcasting        569.696.394           451.965.358
         PT Mitra Televisi Palu                    Palu              2015          99,71%                99,71%           Siaran Televisi/ Television Broadcasting        601.052.544           271.876.363
         PT Mitra Televisi Pangkal Pinang     Pinang Pangkal         2015          99,71%                99,71%           Siaran Televisi/ Television Broadcasting        166.448.813           370.834.232
         PT Mitra Televisi Pontianak            Pontianak            2015          99,71%                99,71%           Siaran Televisi/ Television Broadcasting        284.001.786           240.161.696
         PT Media Televisi Purwokerto           Banyumas             2015          99,71%                99,71%           Siaran Televisi/ Television Broadcasting        208.176.727           156.997.433
         PT Mitra Televisi Samarinda            Samarinda            2015          99,71%                99,71%           Siaran Televisi/ Television Broadcasting        246.645.116           246.323.787
         PT Mitra Televisi Sriwijaya         Ogan Komering Ilir      2015          99,71%                99,71%           Siaran Televisi/ Television Broadcasting        470.000.000           520.000.000
         PT Media Televisi Tegal                   Tegal             2015          99,71%                99,71%           Siaran Televisi/ Television Broadcasting        378.696.046           397.546.330
         PT Mitra Televisi Ternate                Ternate            2015          99,71%                99,71%           Siaran Televisi/ Television Broadcasting        415.556.265           383.763.899
         PT Mitra Televisi Yogyakarta           Yogyakarta           2015          99,71%                99,71%           Siaran Televisi/ Television Broadcasting      2.954.167.987         2.489.786.151
         PT MDTV Media Gorontalo                 Gorontalo           2015          99,71%                99,71%           Siaran Televisi/ Television Broadcasting        415.477.795           234.356.081
         PT MDTV Media Kupang                     Kupang             2015          99,71%                99,71%           Siaran Televisi/ Television Broadcasting        335.656.488           218.599.223
         PT Mitra Televisi Banjarmasin         Banjarmasin           2015          99,71%                99,71%           Siaran Televisi/ Television Broadcasting        266.605.048           383.029.185




                                                                                                                                                                                                         11
Page 16
PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                     PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                        FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                          as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                         and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                               on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)              (Expressed in Rupiah, unless otherwise stated)

1. UMUM (Lanjutan)                                      1. GENERAL (Continued)

      (i) PT Jakarta Film       Studio   (Sebelumnya          (i) PT Jakarta Film         Studio     (Previously
          PT Studio Tujuh)                                        PT Studio Tujuh)

          Pada tanggal 12 Februari 2018, Perusahaan               On February 12, 2018, the Company acquired
          mengakuisisi 16% kepemilikan di PT Studio               16% ownership in PT Studio Tujuh through an
          Tujuh melalui peningkatan modal ditempatkan             increase in issued and paid-up capital of
          dan disetor yang disetor oleh Perusahaan                which was paid by the Company amounting
          sebesar Rp31.252.000.000. Selanjutnya pada              to Rp31,252,000,000. Subsequently on
          tanggal 28 Februari 2018, Perusahaan                    February 28, 2018, the Company acquired 84%
          mengakuisisi 84% kepemilikan di PT Jakarta              ownership in PT Jakarta Film Studio through
          Film Studio (Sebelumnya PT Studio Tujuh)                the purchase of shares from Mr. Dhamoo
          melalui pembelian saham dari Bapak Dhamoo               Jethmal Punjabi, Ms. Sunita Dhamoo Punjabi,
          Jethmal Punjabi, Ibu Sunita Dhamoo Punjabi,             Mr. Manoj Dhamoo Punjabi, Ms. Shania Manoj
          Bapak Manoj Dhamoo Punjabi, Ibu Shania                  Punjabi, PT Multi Solusi Studio, PT Wahana Inti
          Manoj Punjabi, PT Multi Solusi Studio,                  Persada, PT MD Studios, PT Raya Optima
          PT Wahana Inti Persada, PT MD Studios,                  Persada and PT Wisma Graha Persada
          PT Raya Optima Persada dan PT Wisma Graha               Cemerlang, entities under common control, with
          Persada Cemerlang, entitas sepengendali,                a total acquisition cost of Rp167,213,000,000.
          dengan total biaya akuisisi sebesar
          Rp167.213.000.000.

          Pada tanggal 28 Juni 2019, Perusahaan                   On June 28, 2019, The Company increase
          meningkatkan modal disetor dengan 400.000               paid-up capital 400,000 shares with total
          lembar saham sebesar Rp40.000.000.000                   nominal value of Rp40,000,000,000 thus The
          sehingga kepemilikan Perusahaan menjadi                 Company ownership is 99,9996%.
          99,9996%.

          Pada tanggal 17 Oktober 2019 sesuai dengan              On October 17, 2019 in accordance with Deed
          akta no 20 PT Studio Tujuh berubah nama                 No. 20 stating the name change PT Studio
          menjadi PT Jakarta Film Studio dan telah                Tujuh to PT Jakarta Film Studio and was
          mendapatkan pengesahan dari Kementerian                 approved by Minister of Law and Legislation of
          Hukum dan Hak Asasi Manusia Republik                    the Republic of Indonesia No. AHU-AH.01.03-
          Indonesia No. AHU-AH.01.03-0378481.                     0378481.

      (ii) PT Paw Pic Studio Indonesia                        (ii) PT Paw Pic Studio Indonesia

          Pada tanggal 24 Oktober 2018, Perusahaan                On October 24, 2018, The Company
          mendirikan entitas anak, PT Paw Pic Studio              established a subsidiary, PT Paw Pic Studio
          Indonesia (PPSI), dengan kepemilikan saham              Indonesia (PPSI), with a shareholding of
          sebesar Rp1.500.000.000 atau 60% dari total             Rp1,500,000,000 or 60% of the total paid-up
          modal disetor PPS senilai Rp2.500.000.000.              capital of PPS amounting to Rp2,500,000,000.




                                                                                                               12
Page 17
PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                         PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                    NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                            FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                              as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                             and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                   on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                  (Expressed in Rupiah, unless otherwise stated)

1. UMUM (Lanjutan)                                          1. GENERAL (Continued)

      (iii) PT Takedua Jakarta Film Studio                        (iii) PT Takedua Jakarta Film Studio (Previously
            (sebelumnya PT Barakuda Film Galeri                         PT Barakuda Film Galeri Indonesia)
            Indonesia)

          Pada tanggal 22 Agustus 2019, Perusahaan                    On August 22, 2019, The Company established
          mendirikan entitas anak, PT Barakuda Film                   a subsidiary, PT Barakuda Film Galeri
          Galeri Indonesia (BFGI), telah di tempatkan dan             Indonesia (BFGI), with a shareholding of
          disetor sebesar Rp3.750.000.000 atau 60% dari               Rp3,750,000,000 or 60% of total paid-up capital
          total modal disetor senilai Rp6.250.000.000.                amounting to Rp6,250,000,000.

          Pada tanggal 23 Desember 2019, Perusahaan                   On December 23, 2019, The Company increase
          meningkatkan     modal    disetor    sebesar                paid-up capital of Rp11,250,000,000, therefore,
          Rp11.250.000.000, sehingga total saham yang                 total shares owned by the Company become
          dimiliki Perusahaan Rp15.000.000.000 atau                   Rp15,000,000,000 or 60% of total paid-up
          60% dari total modal disetor sebesar                        capital of to Rp25,000,000,000.
          Rp25.000.000.000.

          Pada tanggal 10 April 2023, Perusahaan                      On April 10, 2023, the Company acquired
          mengakuisisi sebanyak 39,9960% saham milik                  39.9960% shares of PT Demi Gisela Citra
          PT Demi Gisela Citra Sinema dengan nilai                    Sinema    with    transaction  value  of
          transaksi sebesar Rp4.837.516.200, sehingga                 Rp4,387,516,200, therefore the Company’s
          kepemilikan Perusahaan di BFGI meningkat                    ownership in BFGI increased from 60% to
          dari semula 60% menjadi 99,9960%.                           99.9960%.

          Sehubungan dengan perubahan dalam bagian                    Since the change in the Company's ownership
          kepemilikan Perusahaan di BFGI tersebut tidak               of interest in BFGI does not result in a loss of
          mengakibatkan hilangnya pengendalian, maka                  control, therefore the transaction is recorded as
          transaksi tersebut dicatat sebagai transaksi                an equity transaction. The difference between
          ekuitas. Selisih antara jumlah imbalan yang                 the amount of consideration transferred and the
          dialihkan dan jumlah tercatat dari transaksi                carrying amount of the transaction amounted to
          tersebut sebesar Rp4.232.214.523 dicatat                    Rp4,232,214,523 is recorded as the difference
          selisih nilai transaksi ekuitas dengan pihak                in value of equity transactions with non-
          nonpengendali.                                              controlling interests.

          Pada tanggal 26 November 2024, Perusahaan                   On November 26, 2024, The Company increase
          meningkatkan      modal     disetor     sebesar             paid-up capital of Rp15,000,000,000 through
          Rp15.000.000.000 melalui konversi piutang                   conversion of receivables amounting to
          sebesar Rp4.800.000.000 dan setoran tunai                   Rp4,800,000,000 and cash amounting to
          sebesar Rp10.200.000.000, sehingga total                    Rp10,200,000,000 therefore, total shares
          saham       yang      dimiliki      Perusahaan              owned        by    the    Company   become
          Rp39.999.000.000 atau 40% dari total modal                  Rp39,999,000,000 or 40% of total paid-up
          disetor sebesar Rp40.000.000.000.                           capital of to Rp40,000,000,000.




                                                                                                                    13
Page 18
PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                        PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                   NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                           FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                             as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                            and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                  on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                 (Expressed in Rupiah, unless otherwise stated)

1. UMUM (Lanjutan)                                         1. GENERAL (Continued)

          Pada tanggal 3 Desember 2024, berdasarkan                  On December 3, 2024, based on deed No. 2
          akta No. 2 dari Notaris Tri Firdaus Akbarsyah,             from Notary Tri Firdaus Akbarsyah, SH., MH.
          SH., MH. BFGI merubah nama menjadi PT                      BFGI changed its name to PT Takedua Jakarta
          Takedua Jakarta Film Studio.                               Film Studio.

      (iv) PT MDTV Media Technologies Tbk (NETV)                 (iv) PT MDTV Media Technologies Tbk (NETV)

          PT MDTV Media Technologies Tbk                             PT MDTV Media Technologies Tbk
          (“Perusahaan"), sebelumnya PT Net Visi Media               (“Company”), formerly PT Net Visi Media Tbk
          Tbk dan sebelumnya PT Putra Insan Permata,                 and formerly PT Putra Insan Permata, was
          didirikan berdasarkan Akta Pendirian No. 8,                established based on Deed of Establishment
          tanggal 23 Juli 2004, oleh Hasbullah Abdul                 No. 8, dated July 23, 2004, by Hasbullah Abdul
          Rasyid, S.H., M.Kn., notaris di Jakarta. Akta              Rasyid, S.H., M.Kn., a notary in Jakarta. The
          pendirian tersebut telah mendapat pengesahan               deed of establishment has been approved by
          dari Menteri Hukum dan Hak Asasi Manusia                   the Minister of Law and Human Rights of the
          Republik Indonesia berdasarkan Surat                       Republic of Indonesia based on Decree No.
          Keputusan No. C-22196 HT.01.01.TH.2004,                    C22196 HT.01.01.TH.2004, dated September
          tanggal 3 September 2004. Akta Perusahaan                  3, 2004. The Deed of Association have been
          telah mengalami beberapa kali perubahan,                   amended several times, most recently by Deed
          terakhir dengan Akta No. 46 tanggal 7                      No. 46 dated November 7, 2024, of Jose Dima
          November 2024 oleh Jose Dima Satria, S.H.,                 Satria, S.H., M.Kn., a notary in South Jakarta,
          M.Kn., notaris di Jakarta Selatan mengenai                 regarding the change in the Article of
          Perubahan Anggaran Dasar Perusahaan. Akta                  Association. This amendment was approved
          perubahan      tersebut    telah    mendapat               by the Minister of Law and Human Rights of
          pengesahan dari Menteri Hukum dan Hak Asasi                the Republic of Indonesia based on Decree
          Manusia Republik Indonesia berdasarkan Surat               No. AHU-0072157.AH.01.02 YEAR 2024 dated
          Keputusan      No.      AHU-0072157.AH.01.02               November 8, 2024.
          TAHUN 2024 tanggal 08 November 2024.

          Pada tanggal 29 Oktober 2024, Perusahaan                   On October 29, 2024, the Company acquired
          mengakuisisi 80,05% PT MDTV Media                          80.05% of PT MDTV Media Technologies Tbk
          Technologies Tbk (NETV) yang sebelumnya                    (NETV), which was previously named PT Net
          Bernama PT Net Visi Media Tbk. Akuisi                      Visi Media Tbk. The acquisition consists of
          tersebut terdiri dari saham seri A sejumlah                7,888,940,339 series A shares and series B
          7.888.940.339 lembar saham dan saham seri B                shares of 25,220,946,827.
          sejumlah 25.220.946.827.




                                                                                                                 14
Page 19
PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                                  PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                             NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                     FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                       as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                      and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                            on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                           (Expressed in Rupiah, unless otherwise stated)

1. UMUM (Lanjutan)                                              1. GENERAL (Continued)

          Berikut adalah nilai wajar atas aset                                  The following is the fair value of identifiable
          teridentifikasi dan liabilitas pada NETV yang                         assets and liabilities to NETV which were
          diambil alih pada tanggal akuisisi:                                   acquired at the acquisition date:

                                                       29 Oktober 2024/
                                                       October 29, 2024
           Total aset                                   1.159.387.757.807                                                  Total aset
           Total liabilitas                              (233.943.647.704)                                              Total liabilitas
           Nilai wajar aset neto                          925.444.110.103                                      Fair value of net assets
           Kepentingan nonpengendali                     (184.608.362.594)                                     Non-controlling interest
           Nilai wajar aset neto yang di ambil alih       740.835.747.509                            Fair value of net assets acquired
           Goodwill                                       914.658.610.803                                                     Goodwill
           Imbalan yang dialihkan                       1.655.494.358.313                                  Consideration transfered


      (v) PT MD Produksi Indonesia                                          (v) PT MD Produksi Indonesia

          PT MD Produksi Indonesia (MDPI) didirikan                             PT MD Produksi Indonesia (MDPI) was
          berdasarkan Akta no.7 tanggal 10 Desember                             established based on Deed no.7 dated
          2024 yang dibuat oleh Notaris Tri Firdaus                             December 10, 2024 made by Notary Tri Firdaus
          Akbarsyah, S.H., M.H. di Jakarta dan telah di                         Akbarsyah, S.H., M.H. in Jakarta and has been
          sahkan berdasarkan Keputusan Meteri Hukum                             ratified based on the Decree of the Law of the
          Republlik          Indonesia          Nomor                           Republic of Indonesia Number AHU-0099273.
          AHU0099273.AH.01.01.TAHUN 2024 yang                                   AH.01.01.YEAR 2024 which was stipulated in
          ditetapkan di Jakarta Tanggal 12 Desember                             Jakarta on December 12, 2024
          2024.

          Susunan pemegang saham MDPI pada saat                                 MDPI's shareholders at the time of its
          pendirian terdiri dari PT MD Entertaintment Tbk                       establishment consisted of PT MD
          sebesar Rp10.000.000 atau 80%, Syaiful Drajat                         Entertainment Tbk of IDR 10,000,000 or 80%,
          sebesar Rp1.250.000 atau 10%, dan Nasrul                              Syaiful Drajat of IDR 1,250,000 or 10%, and
          Warid sebesar Rp1.250.000 atau 10%.                                   Nasrul Warid of IDR 1,250,000 or 10%

      (vi) PT White Tiger Studios (WTS)                                     (vi) PT White Tiger Studios (WTS)

          Pada tanggal 10 Desember 2024, Perusahaan                             On December 10, 2024, the Company acquired
          mengakuisisi 70% saham PT White Tiger                                 70% of PT White Tiger Studios shares with a
          Studios dengan nilai nominal saham sebesar                            nominal value of Rp7,700,000,000.
          Rp7.700.000.000.




                                                                                                                                      15
Page 20
PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                         PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                    NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                            FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                              as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                             and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                   on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                  (Expressed in Rupiah, unless otherwise stated)

1. UMUM (Lanjutan)                                          1. GENERAL (Continued)

          Perusahaan membeli saham WTS dari PT MD                     The company bought WTS shares from PT MD
          Ritel Utama sebanyak 3.300 lembar saham, PT                 Ritel Utama as many as 3,300 shares, PT MDA
          MDA Kuliner Indonesia sebanyak 2.750 lembar                 Kuliner Indonesia as many as 2,750 shares,
          saham, Innayat Haresh Khubchainani sebanyak                 Innayat Haresh Khubchainani as many as 440
          440 lembar saham, Ashok Alimchand Chainani                  shares, Ashok Alimchand Chainani as many as
          sebanyak 330 lembar saham, Sajan                            330 shares, Sajan Lachmandas Mulani as
          Lachmandas Mulani sebanyak 220 lembar                       many as 220 shares, PT Platinumz Digital
          saham, PT Platinumz Digital Media sebanyak                  Media as many as 220 shares, Amrit Devidas
          220     lembar    saham,    Amrit   Devidas                 Ramchandani as many as 220 shares, and
          Ramchandani sebanyak 220 lembar saham,                      Rajesh Madandas Mulani as many as 220
          dan Rajesh Madandas Mulani sebanyak 220                     shares. The total number of shares acquired by
          lembar saham. Jumlah lembar saham yang                      the company is 7,700 shares.
          diakuisi oleh perusahaan total 7.700 lembar
          saham.

   e. Penyelesaian Laporan Keuangan Konsolidasian              e. Completion of the Consolidated Financial
                                                                  Statements

      Manajemen Perusahaan bertanggung jawab atas                 The management of the Company is responsible for
      penyusunan laporan keuangan konsolidasian ini               the preparation of these consolidated financial
      yang telah disetujui oleh Direksi untuk diterbitkan         statements that have been authorized for issue by
      pada tanggal 30 Juli 2026.                                  the Board of Directors on July 30, 2026.

2. INFORMASI KEBIJAKAN AKUNTANSI MATERIAL                   2. MATERIAL ACCOUNTING POLICY NFORMATION

   a. Dasar    Penyusunan        Laporan      Keuangan         a. Basis of Preparation of the Consolidated
      Konsolidasian                                               Financial Statements

      Laporan keuangan konsolidasian telah disusun dan            The consolidated financial statements have been
      disajikan sesuai dengan Standar Akuntansi                   compiled and presented in accordance with
      Keuangan Indonesia, yang mencakup Pernyataan                Indonesian Financial Accounting Standards, which
      Standar Akuntansi Keuangan (“PSAK”) dan                     comprise the Statements of Financial Accounting
      Interpretasi Standar Akuntansi Keuangan (“ISAK”)            Standards (“PSAK”) and Interpretations of Financial
      yang dikeluarkan oleh Dewan Standar Akuntansi               Accounting Standards (“ISAK”) issued by the Board
      Keuangan Ikatan Akuntan Indonesia, serta                    of Financial Accounting Standards of the Indonesian
      Peraturan No. VIII.G.7 mengenai “Penyajian dan              Institute of Accountants, and Regulation No. VIII.G.7
      Pengungkapan Laporan Keuangan Emiten atau                   regarding “Presentation and Disclosure of Financial
      Perusahaan Publik” yang diterbitkan oleh Otoritas           Statements of Issuers or Public Companies” issued
      Jasa Keuangan (OJK).                                        by the Financial Services Authority (OJK).




                                                                                                                     16
Page 21
PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                           PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                      NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                              FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                               and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                     on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                    (Expressed in Rupiah, unless otherwise stated)

2. INFORMASI KEBIJAKAN AKUNTANSI MATERIAL                      2. MATERIAL ACCOUNTING POLICY INFORMATION
   (Lanjutan)                                                     (Continued)

      Laporan keuangan konsolidasian, kecuali untuk                 The consolidated financial statements, except for
      laporan arus kas konsolidasian, disusun                       the consolidated statements of cash flows, have
      berdasarkan dasar akrual dengan menggunakan                   been prepared on an accrual basis of accounting
      konsep harga perolehan, kecuali beberapa akun                 using the historical cost concept, except for certain
      tertentu disusun berdasarkan pengukuran lain                  accounts that are measured on the other basis
      sebagaimana diuraikan dalam kebijakan akuntansi               described in the related accounting policies.
      masing-masing akun tersebut.

      Laporan arus kas konsolidasian disusun dengan                 The consolidated statements of cash flows are
      menggunakan       metode   langsung     dengan                prepared using the direct method, and classified into
      mengelompokkan arus kas dalam aktivitas operasi,              operating, investing and financing activities.
      investasi dan pendanaan.

      Mata uang pelaporan yang digunakan dalam                      The presentation currency used in the preparation of
      penyusunan laporan keuangan konsolidasian                     the consolidated financial statements is Rupiah
      adalah Rupiah (“Rp), yang juga merupakan mata                 (“Rp”), which is also the functional currency of the
      uang fungsional Grup.                                         Group.

   b. Perubahan Kebijakan Akuntansi                               b. Changes in Accounting Policies

      Dewan Standar Akuntansi Keuangan Ikatan                       The Financial Accounting Standards Board of the
      Akuntan Indonesia (DSAK-IAI) telah menerbitkan                Indonesian Institute of Accountants (DSAK-IAI) has
      amandemen dan interpretasi yang berlaku efektif               issued amendments and interpretations effective
      mulai 1 Januari 2026 sebagai berikut:                         from January 1, 2026 as follows:

       • Amandemen PSAK 109 "Instrumen Keuangan"                     • Amendment to PSAK 109 "Financial
         terkait penghentian pengakuan liabilitas                      Instruments" regarding the termination of the
         keuangan, serta klarifikasi penilaian karakteristik           recognition of financial liabilities, as well as the
         arus kas untuk aset keuangan dengan fitur ESG-                clarification of the assessment of cash flow
         linked, aset keuangan dengan fitur non-recourse,              characteristics for financial assets with ESG-
         dan instrumen yang terikat secara kontraktual                 linked features, financial assets with non-
         seperti tranche; dan                                          recourse features, and contractually bound
                                                                       instruments such as tranches; and

       • Amandemen PSAK 107 "Instrumen Keuangan :                    • Amendment to PSAK 107 "Financial Instruments:
         Pengungkapan"          terkait       persyaratan              Disclosure" related to the disclosure
         pengungkapan investasi pada instrumen ekuitas                 requirements for investments in equity
         yang diukur pada nilai wajar melalui penghasilan              instruments measured at fair value through other
         komprehensif lain dan penambahan ketentuan                    comprehensive income and the addition of
         terkait instrumen keuangan dengan persyaratan                 provisions related to financial instruments with
         kontraktual yang mengubah waktu atau jumlah                   contractual terms that change the timing or
         arus kas kontraktual.                                         amount of contractual cash flows.




                                                                                                                        17
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                         PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                    NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                            FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                              as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                             and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                   on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                  (Expressed in Rupiah, unless otherwise stated)

2. INFORMASI KEBIJAKAN AKUNTANSI MATERIAL                   2. MATERIAL ACCOUNTING POLICY INFORMATION
   (Lanjutan)                                                  (Continued)

      STANDAR    AKUNTANSI YANG TELAH                             ACCOUNTING STANDARDS THAT HAVE BEEN
      DITERBITKAN NAMUN BELUM BERLAKU                             ISSUED BUT HAVE NOT YET TAKEN EFFECT
      EFEKTIF

      Dewan Standar Akuntansi Keuangan Ikatan                     The Financial Accounting Standards Board of the
      Akuntan Indonesia (DSAK-IAI) telah menerbitkan              Indonesian Institute of Accountants (DSAK-IAI) has
      standar baru, namun belum berlaku efektif untuk             issued a new standard, but it is not yet effective for
      tahun buku yang dimulai pada 1 Januari 2026, yaitu          the financial year starting on January 1, 2026,
      PSAK 118 "Penyajian dan Pengungkapan dalam                  namely PSAK 118 "Presentation and Disclosure in
      Laporan Keuangan". Standar tersebut akan berlaku            Financial Statements". The standard will take effect
      efektif pada 1 Januari 2027.                                on January 1, 2027.

      Pada saat penerbitan laporan keuangan                       At the time of issuance of the consolidated financial
      konsolidasian, Grup masih mengevaluasi dampak               statements, the Group is still evaluating the impact
      yang mungkin timbul dari penerapan standar baru             that may arise from the implementation of the new
      tersebut serta pengaruhnya pada laporan keuangan            standards as well as its impact on the Group's
      konsolidasian Grup.                                         consolidated financial statements.

   c. Prinsip-prinsip Konsolidasian                            c. Prinsip-prinsip Konsolidasian

      Laporan keuangan konsolidasian menggabungkan                The consolidated financial statements combine all
      seluruh Entitas Anak yang dikendalikan oleh                 Subsidiaries controlled by the Company. Control is
      Perusahaan. Pengendalian diperoleh ketika                   obtained when the Company (investor) is exposed
      Perusahaan (investor) terekspos atau memiliki               or has rights to variable returns from its involvement
      hak atas imbal hasil variabel dari keterlibatannya          with the investee and has the ability to influence
      dengan investee dan memiliki kemampuan untuk                those returns through its power over the investee.
      mempengaruhi imbal hasil tersebut melalui
      kekuasaannya atas investee.

      Dengan demikian, investor mengendalikan investee            Accordingly, the investor controls the investee if,
      jika, dan hanya jika, investor memiliki seluruh hal         and only if, the investor has all of the following:
      berikut ini:
      a) kekuasaan atas investee;                                 a) power over the investee;
      b) eksposur atau hak atas imbal hasil variabel dari         b) exposure or rights to variable returns from its
          keterlibatannya dengan investee; dan                       involvement with the investee; and
      c) kemampuan untuk menggunakan kekuasaannya                 c) ability to use its power over the investee to affect
          atas investee untuk mempengaruhi jumlah imbal              the amount of return on investors.
          hasil investor.

      Konsolidasi atas investee dimulai sejak tanggal             Investee is consolidated from the date of the
      investor memperoleh pengendalian atas investee              investor obtains control of investee and continues to
      dan berakhir ketika investor kehilangan                     be consolidated until the date that such control
      pengendalian atas investee.                                 ceases.




                                                                                                                      18
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                         PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                    NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                            FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                              as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                             and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                   on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                  (Expressed in Rupiah, unless otherwise stated)

2. INFORMASI KEBIJAKAN AKUNTANSI MATERIAL                    2. MATERIAL ACCOUNTING POLICY INFORMATION
   (Lanjutan)                                                   (Continued)

      Kepentingan nonpengendali mencerminkan bagian               Non-controlling interest represents a portion of the
      atas laba atau rugi dan aset neto yang tidak                profit or loss and net assets not attributable to the
      diatribusikan kepada entitas induk dan disajikan            parent and is presented separately in the
      secara terpisah dalam laporan laba rugi dan                 consolidated statements of profit or loss and other
      penghasilan komprehensif lain konsolidasian dan             comprehensive income, and within equity in the
      ekuitas     pada     laporan     posisi  keuangan           consolidated statements of financial position,
      konsolidasian, dipisahkan dari ekuitas yang dapat           separately from equity attributable to the parent.
      diatribusikan kepada entitas induk.

      Seluruh penghasilan komprehensif diatribusikan              Total comprehensive income is attributed to the
      pada pemilik entitas induk dan pada kepentingan             owners of the parent and to the non-controlling
      nonpengendali bahkan jika hal ini mengakibatkan             interests even if this results in the non-controlling
      kepentingan nonpengendali mempunyai saldo                   interests having a deficit balance.
      defisit.

      Perubahan dalam bagian kepemilikan entitas induk            Changes in a parent’s ownership interest in a
      pada entitas anak yang tidak mengakibatkan                  subsidiary that do not result in a loss of control are
      hilangnya pengendalian dicatat sebagai transaksi            accounted for as equity transactions, in which the
      ekuitas, dimana jumlah tercatat kepentingan                 carrying amount of the controlling and non-
      pengendali dan nonpengendali disesuaikan untuk              controlling interests are adjusted to reflect the
      mencerminkan perubahan bagian relatifnya atas               changes in their relative interests in the subsidiary.
      entitas anak. Perbedaan antara jumlah kepentingan           The difference between the amount by which the
      nonpengendali disesuaikan dan nilai wajar imbalan           non-controlling interests are adjusted and the fair
      yang diberikan atau diterima diakui secara langsung         value of the consideration paid or received is
      dalam ekuitas dan diatribusikan pada pemilik entitas        recognized directly in equity and attributed to the
      induk.                                                      owners of the parent.

      Seluruh saldo akun dan transaksi yang material              All significant intercompany transactions and
      antar entitas yang dikonsolidasi telah dieliminasi.         balances have been eliminated.

   d. Kas dan Setara Kas                                        d. Cash and Cash Equivalent

      Kas dan setara kas terdiri dari saldo kas dan bank,         Cash and cash equivalents consist of cash on hand
      serta deposito berjangka yang jatuh tempo dalam             and in banks, and time deposits with original
      waktu tiga bulan atau kurang sejak tanggal                  maturities within three months or less and not
      penempatan dan tidak digunakan sebagai jaminan              pledged as collateral or restricted in use.
      atau dibatasi penggunaannya.

   e. Persediaan                                                e. Inventories

      Persediaan      dinyatakan berdasarkan        biaya         Inventories are stated at cost or net realizable value,
      perolehan atau nilai realisasi neto, mana yang lebih        whichever is lower. Cost of program materials are
      rendah. Biaya materi program ditentukan dengan              determined using specific identification method.
      metode identifikasi spesifik.




                                                                                                                      19
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                             PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                        NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                  as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                 and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                       on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                      (Expressed in Rupiah, unless otherwise stated)

2. INFORMASI KEBIJAKAN AKUNTANSI MATERIAL                        2. MATERIAL ACCOUNTING POLICY INFORMATION
   (Lanjutan)                                                       (Continued)

      Persediaan materi program diamortisasi sebagai                  Program material inventories are amortized based
      berikut:                                                        on:
      i. Program produksi sendiri yang memiliki genre                 i. in-house production programs with bulletin (hard
         bulletin (hard and sport news), infotainment dan                 and sport news), infotainment and blocking time
         blocking time diamortisasi sepenuhnya pada saat                  genre are fully amortized at the first telecast.
         penayangan awal.

      ii. Program produksi sendiri yang memiliki genre                ii. In-house production programs with magazine
          magazine (documentary and sport), drama dan                     (documentary and sport), drama and TV series,
          sinetron, talk show dan variety show,                           talk show and variety shows genre, are
          diamortisasi sebanyak-banyaknya 2 (dua) kali                    amortized over a maximum of 2 (two) telecast at
          tayang, masing-masing sebesar 50%.                              50% each.

      iii. Program akuisisi diamortisasi berdasarkan hak              iii. Acquired programs are amortized based on
           penayangan sebagaimana disebutkan dalam                         airing rights based on contractual agreement.
           perjanjian. Program penayangan berulang                         Multiple run programs are fully amortized on first
           diamortisasi sepenuhnya pada penayangan                         telecast, while programs with airing rights that
           pertama, sedangkan program dengan hak                           are determined quantitatively are amortized
           penayangan yang disebutkan kuantitasnya                         proportionally according to the contractual
           diamortisasi sesuai dengan kontrak terkait. Saldo               agreement. The unamortized cost of the
           persediaan yang belum diamortisasi namun                        inventories for which acquiring rights have
           kontrak    penayangannya      telah     berakhir                expired, is charged to profit or loss in the year
           dibebankan pada laba rugi tahun kontraktersebut                 the contract ended.
           berakhir.

      Persediaan non-broadcast mencakup aktivitas off-                Non-broadcast inventories consist of off-air
      air, aktivitas digital dan konten digital.                      activities, digital activities and digital content.

      Aktivitas off-air dan aktivitas digital akan langsung           Off-air activities and digital activities will be directly
      dibebankan seluruhnya ke laba rugi pada saat                    charged to profit or loss when the event is incurred.
      terjadinya.

      Konten digital merupakan data digital yang                      Digital content represents digital data which are
      digunakan untuk mendukung pengembangan                          used to support the development of digital
      platform aplikasi digital. Konten jenis ini diamortisasi        application platform. This type of content is
      selama 8 (delapan) tahun.                                       amortized over 8 (eight) years.

      Pada akhir tahun, manajemen melakukan                           At the end of the year, management performs a
      penelaahan untuk menentukan nilai realisasi neto                review to determine the net realizable value of
      saldo persediaan dan melakukan penyesuaian,                     inventories and adjust, when appropriate.
      apabila diperlukan. Penurunan atas nilai tersebut               Impairment is charged to current period’s profit or
      dibebankan pada laba rugi periode berjalan.                     loss.




                                                                                                                             20
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                             PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                        NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                  as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                 and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                       on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                      (Expressed in Rupiah, unless otherwise stated)

2. INFORMASI KEBIJAKAN AKUNTANSI MATERIAL                        2. MATERIAL ACCOUNTING POLICY INFORMATION
   (Lanjutan)                                                       (Continued)

   f.   Aset Film                                                   f. Film Assets

        Biaya perolehan aset film merupakan kapitalisasi              Cost of film assets include capitalizable costs of
        biaya untuk memproduksi film dan dinyatakan                   production and are stated at the lower of cost, less
        sebesar nilai yang lebih rendah antara biaya                  accumulated amortization, or fair value. Amortization
        perolehan dikurangi akumulasi amortisasi atau nilai           of film assets is charged to cost of sales using the
        wajar. Aset film dibebankan ke beban pokok                    double declining balance method for 4 years starting
        penjualan dengan menggunakan metode saldo                     from the film was first aired. Marketing and
        menurun ganda selama 4 tahun dimulai sejak film               distribution costs are expensed as incurred.
        pertama kali ditayangkan. Biaya pemasaran dan
        distribusi dibebankan pada saat terjadinya.

        Film dalam penyelesaian dinyatakan sebesar biaya              Film in progress are stated at cost and presented as
        perolehan dan disajikan sebagai bagian dari aset              part of film assets. The accumulated acquisition cost
        film. Akumulasi biaya perolehan aset film dalam               of film assets in progress will be transferred to the
        penyelesaian akan dipindahkan ke aset film pada               film assets when the production of film is complete
        saat film tersebut selesai diproduksi dan siap untuk          and ready to be aired.
        ditayangkan.

        Pada setiap akhir periode pelaporan, Grup menilai             At the end of each reporting period, the Group
        apakah terdapat indikasi aset film mengalami                  assesses whether there is an indication of film
        penurunan nilai dengan membandingkan antara                   assets may be impaired by comparing the estimated
        estimasi nilai wajar dengan nilai tercatat aset film.         fair value with the value of unamortized film assets.
        Grup mengukur nilai wajar berdasarkan asumsi                  The Group measures fair value based on
        manajemen tentang tanggapan pasar terhadap nilai              management assumptions about market responses
        masing-masing aset film. Jika nilai tercatat aset film        to the value of each film asset. Whenever the
        telah melebihi estimasi nilai wajarnya maka                   carrying amount of film assets exceeds its fair value,
        diturunkan nilainya menjadi sebesar nilai wajar.              the film asset is considered impaired and is written
                                                                      down to its fair value.

    g. Biaya Dibayar Dimuka                                         g. Prepaid Expenses

        Biaya dibayar dimuka diamortisasi sesuai masa                 Prepaid expenses are amortized over the periods
        manfaatnya dengan menggunakan metode garis                    benefited using the straight-line method.
        lurus.

    h. Aset Tetap                                                   h. Fixed Assets

        Aset tetap, kecuali tanah, dinyatakan sebesar biaya           Fixed assets, except for land, are stated at cost less
        perolehan dikurangi akumulasi penyusutan dan rugi             accumulated depreciation and impairment loss.
        penurunan nilai, jika ada.




                                                                                                                          21
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                            PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                       NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                               FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                 as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                      on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                     (Expressed in Rupiah, unless otherwise stated)

2. INFORMASI KEBIJAKAN AKUNTANSI MATERIAL                       2. MATERIAL ACCOUNTING POLICY INFORMATION
   (Lanjutan)                                                      (Continued)

      Penyusutan dihitung dengan metode garis lurus                  Depreciation is computed using the straight-line
      selama umur manfaat aset. Taksiran masa manfaat                method over the estimated useful life of the assets.
      ekonomis aset sebagai berikut:                                 Estimated useful lives of the assets are as follows:

                                                    Tahun / Years
      Bangunan                                               20                                                     Building
      Renovasi                                             10-20                                                 Renovation
      Perabotan dan perlengkapan kantor                     4-8                                  Office furniture and fixture
      Kendaraan                                             4-8                                                     Vehicle
      Mesin                                                   8                                                 Machineries
      Peralatan studio                                     4 - 16                                         Studio equipment
      Peralatan shooting                                   4 - 16                                      Shooting equipment

      Tanah dinyatakan berdasarkan biaya perolehan dan               Land is stated at cost and is not depreciated. Based
      tidak disusutkan. Berdasarkan ISAK No. 336, “Hak               on ISAK No. 336, “Land Rights,” the legal cost of
      Atas Tanah”, biaya pengurusan legal hak atas tanah             land right in the form of Business Usage Rights
      dalam bentuk Hak Guna Usaha (“HGU”), Hak Guna                  (“HGU”), Building Usage Rights (“HGB”) and Usage
      Bangunan (“HGB”) dan Hak Pakai (“HP”) ketika                   Rights (“HP”) when the land was acquired initially
      tanah diperoleh pertama kali diakui sebagai                    are recognized as part of the cost of the land under
      bagian dari biaya perolehan tanah pada akun                    the “Fixed Assets” account and not amortized. Costs
      “Aset Tetap” dan tidak diamortisasi. Biaya yang                incurred in connection with the extension or renewal
      terjadi sehubungan dengan perpanjangan atau                    of the above rights are recognized as deferred
      pembaharuan hak-hak tersebut di atas diakui                    charges and are amortized throughout the validity
      sebagai aset yang ditangguhkan dan diamortisasi                period of the rights or the economic useful life of the
      sepanjang umur hukum hak atau umur manfaat                     land, whichever period is shorter.
      ekonomis tanah, periode mana yang lebih pendek

      Aset dalam penyelesaian dinyatakan sebesar biaya               Construction in progress is stated at cost and is
      perolehan dan disajikan sebagai bagian dari aset               presented as part of fixed assets. The accumulated
      tetap. Akumulasi biaya perolehan aset dalam                    costs are reclassified to the appropriate fixed assets
      penyelesaian akan dipindahkan ke masing-masing                 accounts when the construction is completed and
      aset tetap yang bersangkutan pada saat aset                    the asset is ready for its intended use.
      tersebut selesai dikerjakan dan siap digunakan
      sesuai dengan tujuannya.




                                                                                                                          22
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                            PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                       NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                               FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                 as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                      on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                     (Expressed in Rupiah, unless otherwise stated)

2. INFORMASI KEBIJAKAN AKUNTANSI MATERIAL                      2. MATERIAL ACCOUNTING POLICY INFORMATION
   (Lanjutan)                                                     (Continued)

      Beban perbaikan dan pemeliharaan dibebankan                    The cost of repairs and maintenance is charged to
      pada laba rugi pada saat terjadinya; biaya                     profit or loss as incurred; replacement or major
      penggantian atau inspeksi yang signifikan                      inspection costs are capitalized when incurred if it is
      dikapitalisasi pada saat terjadinya jika besar                 probable that future economic benefits associated
      kemungkinan manfaat ekonomis di masa depan                     with the item will flow to the Group and the cost of
      berkenaan dengan aset tersebut akan mengalir ke                the item can be reliably measured. An item of fixed
      Grup, dan biaya perolehan aset dapat diukur secara             assets is derecognized upon disposal or when no
      andal. Aset tetap dihentikan pengakuannya pada                 future economic benefits are expected from its use
      saat dilepaskan atau ketika tidak ada manfaat                  or disposal. Any gain or loss arising on
      ekonomis masa depan yang diharapkan dari                       derecognition of the asset is included in profit or loss
      penggunaan atau pelepasannya. Keuntungan atau                  in the period the asset is derecognized.
      kerugian yang timbul dari penghentian pengakuan
      aset dimasukkan dalam laba rugi pada periode aset
      tersebut dihentikan pengakuannya.

   i. Properti Investasi                                          i. Investment Properties

      Properti investasi merupakan properti yang dimiliki            Investment properties represent properties held to
      untuk menghasilkan sewa atau untuk kenaikan nilai              earn rentals or for capital appreciation or both, and
      atau keduanya, dan bukan untuk digunakan dalam                 not for use in the production or supply of goods or
      produksi atau penyediaan barang dan jasa untuk                 services or for administrative purposes, or sale in
      tujuan administratif, atau untuk dijual dalam kegiatan         the ordinary course of business.
      usaha sehari-hari.

      Properti investasi dinyatakan sebesar biaya                    Investment properties are stated at cost including
      perolehan termasuk biaya transaksi dikurangi                   transaction cost less accumulated depreciation and
      akumulasi penyusutan dan rugi penurunan nilai, jika            impairment loss, if any.
      ada.

      Penyusutan     bangunan     dihitung   dengan                  Depreciation of building is computed using the
      menggunakan metode garis lurus dengan taksiran                 straight-line method over its estimated useful life of
      masa manfaat ekonomis selama 20 tahun.                         20 years.

      Transfer ke atau dari properti investasi dilakukan             Transfers to or from investment property are made
      pada saat terdapat perubahan penggunaan.                       when there is a change in use.

      Properti investasi dihentikan pengakuannya pada                An item of investment property is derecognized
      saat dilepaskan atau ketika tidak ada manfaat                  upon disposal or when no future economic benefits
      ekonomis masa depan yang diharapkan dari                       are expected from its use or disposal. Any gain or
      penggunaan atau pelepasannya. Keuntungan atau                  loss arising on derecognition of the asset is included
      kerugian yang timbul dari penghentian pengakuan                in profit or loss in the period the asset is
      aset dimasukkan dalam laba rugi pada periode aset              derecognized.
      tersebut dihentikan pengakuannya.




                                                                                                                          23
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                            PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                       NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                               FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                 as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                      on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                     (Expressed in Rupiah, unless otherwise stated)

2. INFORMASI KEBIJAKAN AKUNTANSI MATERIAL                      2. MATERIAL ACCOUNTING POLICY INFORMATION
   (Lanjutan)                                                     (Continued)

   j. Aset Tak Berwujud                                           j. Intangible Assets

      Aset tak berwujud dari akuisisi entitas anak                   Intangible assets    arising    from     acquisition   of
                                                                     Subsidiaries

      Aset tak berwujud yang timbul dari akuisisi entitas            Intangible assets arising from acquisition of
      anak pengakuan awalnya adalah pada nilai wajar                 subsidiaries are initially recognized at its fair value at
      saat tanggal akuisisi (yang merupakan biaya                    the acquisition date (which is regarded as their
      perolehannya).                                                 cost).

      Setelah tanggal pengakuan, aset tak berwujud yang              Subsequent to initial recognition, intangible assets
      timbul dari akuisisi entitas anak dilaporkan sebesar           arising from acquisition of subsidiaries is reported at
      biaya perolehan dikurangi akumulasi rugi penurunan             cost less accumulated impairment losses.
      nilai.

      Aset tak berwujud dari situs web dan aplikasi                  Intangible assets     from     website    and     mobile
                                                                     application

      Aset tak berwujud atas biaya situs web dan aplikasi            Intangible assets on website and mobile application
      telepon genggam dinyatakan berdasarkan biaya                   costs are carried at cost less accumulated
      perolehan dikurangi akumulasi amortisasi dan                   amortization and any accumulated impairment
      akumulasi rugi penurunan nilai. Amortisasi diakui              losses. Amortization is recognized on a straight-line
      dengan metode garis lurus selama 4 (empat) tahun.              basis over 4 (four) years.

      Taksiran masa manfaat dan metode amortisasi                    The estimated useful lives and amortization method
      direviu minimum setiap akhir tahun buku dan                    are reviewed at each year end with the effect of any
      pengaruh dari setiap perubahan estimasi akuntansi              changes in estimate accounted for on a prospective
      diterapkan secara prospektif.                                  basis.

      Suatu aset tak berwujud dihentikan pengakuannya                An intangible asset is derecognized on disposal, or
      saat pelepasan, atau ketika tidak terdapat                     when no future economic benefits are expected from
      ekspektasi manfaat ekonomi masa depan dari                     use or disposal. Gains or losses arising from
      penggunaan atau pelepasan. Keuntungan atau                     derecognition of an intangible asset, measured as
      kerugian yang timbul dari penghentian pengakuan                the difference between the net disposal proceeds
      aset tak berwujud, diukur sebagai perbedaan antara             and the carrying amount of the asset, are
      hasil pelepasan bersih dan nilai tercatat aset, diakui         recognized in profit or loss when the asset is
      di laba rugi ketika aset tersebut dihentikan                   derecognized.
      pengakuannya.




                                                                                                                            24
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                            PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                       NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                               FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                 as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                      on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                     (Expressed in Rupiah, unless otherwise stated)

2. INFORMASI KEBIJAKAN AKUNTANSI MATERIAL                      2. MATERIAL ACCOUNTING POLICY INFORMATION
   (Lanjutan)                                                     (Continued)

    k. Penurunan Nilai Aset Non-keuangan                          k. Impairment of Non-financial Assets

        Pada setiap akhir periode pelaporan, Grup menilai            At the end of each reporting period, the Group
        apakah terdapat indikasi aset mengalami penurunan            assesses whether there is an indication that an
        nilai. Jika terdapat indikasi tersebut, maka Grup            asset may be impaired. If any such indication exists,
        mengestimasi jumlah terpulihkan aset tersebut.               the Group estimates the recoverable amount of the
        Jumlah terpulihkan suatu aset atau unit penghasil            asset. The recoverable amount of an asset or a
        kas adalah jumlah yang lebih tinggi antara nilai             cash-generating unit is the higher of its fair value
        wajar dikurangi biaya pelepasan dan nilai pakainya.          less costs of disposal and its value in use.
        Jika jumlah terpulihkan suatu aset lebih kecil dari          Whenever the carrying amount of an asset exceeds
        jumlah tercatatnya, maka jumlah tercatat aset                its recoverable amount, the asset is considered
        tersebut diturunkan nilainya menjadi sebesar jumlah          impaired and is written down to its recoverable
        terpulihkan. Rugi penurunan nilai diakui segera              amount. The impairment loss is recognized
        dalam laba rugi.                                             immediately in profit or loss.

        Pembalikan rugi penurunan nilai untuk aset                   Reversal on impairment loss for non-financial assets
        nonkeuangan selain goodwill, diakui jika, dan hanya          other than goodwill would be recognized if, and only
        jika, terdapat perubahan estimasi yang digunakan             if, there has been a change in the estimates used to
        dalam menentukan jumlah terpulihkan aset sejak               determine the asset’s recoverable amount since the
        pengujian penurunan nilai terakhir diakui.                   last impairment test was carried out. Reversal on
        Pembalikan rugi penurunan nilai tersebut diakui              impairment losses will be immediately recognized on
        segera dalam laba rugi, kecuali aset disajikan pada          profit or loss, except for assets that presented using
        jumlah revaluasian. Rugi penurunan nilai yang                the revaluation model. Impairment losses relating to
        diakui atas goodwill tidak dibalik lagi.                     goodwill would not be reversed.

   l.   Transaksi dan Saldo Dalam Mata Uang Asing                 l. Foreign Currency Transactions and Balances

        Transaksi dalam mata uang asing dijabarkan ke                Transactions in foreign currencies are translated into
        dalam mata uang fungsional dengan kurs yang                  functional currency at the rates of exchange
        berlaku pada saat transaksi dilakukan. Pada akhir            prevailing at the time the transactions are made. At
        periode pelaporan, aset dan liabilitas moneter dalam         the end of reporting period, monetary assets and
        mata uang asing disesuaikan ke dalam mata uang               liabilities denominated in foreign currencies are
        fungsional menggunakan kurs tengah yang                      adjusted to functional currency to reflect the middle
        ditetapkan oleh Bank Indonesia pada tanggal                  exchange rate published by Bank Indonesia at the
        terakhir transaksi perbankan pada periode tersebut.          last banking transaction date of the period. Gains or
        Keuntungan atau kerugian yang timbul dari                    losses resulted from such adjustment or settlement
        penyesuaian kurs maupun penyelesaian aset dan                of each monetary asset and liability denominated in
        liabilitas moneter dalam mata uang asing tersebut            foreign currencies are credited or charged as current
        dikreditkan atau dibebankan sebagai laba rugi                period profit or loss.
        periode berjalan.




                                                                                                                        25
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                              PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                         NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                 FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                   as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                  and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                        on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                       (Expressed in Rupiah, unless otherwise stated)

2. INFORMASI KEBIJAKAN AKUNTANSI MATERIAL                        2. MATERIAL ACCOUNTING POLICY INFORMATION
   (Lanjutan)                                                       (Continued)

      Kurs yang digunakan adalah sebagai berikut:                      The exchange rates used were as follows:

                                              30 Juni 2026/        31 Desember 2025/
                                              June 30, 2026        December 31, 2025
       1 Dolar Amerika Serikat (USD)                    17.856                  16.782           1 United States Dollar (USD)
       1 Dolar Singapura (SGD)                          13.806                  13.069              1 Singapore Dollar (SGD)

   m. Transaksi dengan Pihak-Pihak Berelasi                         m. Transaction with Related Parties

      Grup mengungkapkan transaksi dengan pihak-pihak                  The Group discloses transactions with related
      berelasi. Suatu pihak dianggap berelasi dengan                   parties. A party is consider to be related to the
      Grup jika:                                                       Group if:

      Orang atau anggota keluarga terdekat mempunyai                   An individual or family member is related to the
      relasi dengan Grup jika:                                         Group if:
      (i) memiliki pengendalian atau pengendalian                      (i) has control or joint control over the Group;
            bersama atas Grup;
      (ii) memiliki pengaruh signifikan atas Grup; atau                (ii) has significant influence over the Group; or
      (iii) merupakan personil manajemen kunci Grup                    (iii) is a member of the key management personnel
            atau entitas induk dari Perusahaan.                              of the Group or the parent entity of the
                                                                             Company.

      Suatu pihak dianggap berelasi dengan Grup jika:                  A party is considered to be related to the Group if:

      a. Secara langsung, atau tidak langsung melalui                  a. directly, or indirectly through one or more
         satu atau lebih perantara, pihak tersebut:                       intermediaries, the party:
         i) mengendalikan, dikendalikan oleh, atau                        i) controls, is controlled by, or is under common
              berada di bawah pengendalian yang sama                          control within the Group;
              dengan Grup;
         ii) memiliki kepemilikan di entitas yang                         ii) has an interest in the Group that gives
              memberikan pengaruh signifikan atas Grup;                       significant influence over the Group; or
              atau
         iii) memiliki pengendalian bersama atas Grup.                    iii) has joint control over the Group;
      b. pihak tersebut adalah entitas asosiasi dari Grup;             b. the party is an associate of the Group;
      c. pihak tersebut adalah ventura bersama dimana                  c. the party is a joint venture in which the Group is
         Grup sebagai venturer;                                           a venturer;
      d. pihak tersebut adalah anggota dari personil                   d. the party is a member of the key management
         manajemen kunci Grup;                                            personnel of the Group;
      e. pihak tersebut adalah anggota keluarga dekat                  e. the party is a close member of the family of any
         dari individu yang diuraikan dalam butir (a) atau                individual referred to in (a) or (d);
         (d);




                                                                                                                              26
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                            PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                       NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                               FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                 as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                      on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                     (Expressed in Rupiah, unless otherwise stated)

2. INFORMASI KEBIJAKAN AKUNTANSI MATERIAL                       2. MATERIAL ACCOUNTING POLICY INFORMATION
   (Lanjutan)                                                      (Continued)

      f. pihak tersebut adalah entitas yang dikendalikan,             f. the party is an entity that is controlled, jointly
         dikendalikan bersama atau dipengaruhi                           controlled or significantly influenced by or for
         signifikan oleh atau dimana hak suara signifikan                which significant voting power in such entity
         dimiliki oleh, langsung maupun tidak langsung,                  resides with, directly or indirectly, any individual
         individu seperti diuraikan dalam butir (d) atau (e);            referred to in (d) or (e); or,
         atau;
      g. pihak tersebut adalah suatu program imbalan                  g. the party is a post-employment benefit plan for
         pasca kerja untuk imbalan kerja dari Grup, atau                 the benefit of employees of the Group, or of any
         entitas yang terkait dengan Grup.                               entity that is a related party of the Group.

      Seluruh transaksi dan saldo signifikan dengan                  All significant transactions and balances with related
      pihak-pihak berelasi diungkapkan dalam catatan                 parties are disclosed in the notes to the consolidated
      atas laporan keuangan konsolidasian.                           financial statements.

   n. Pengakuan Pendapatan dan Beban                               n. Revenues and Expenses Recognition

      Perusahaan menerapkan PSAK 115 “Pendapatan                     The Company applies PSAK 115 “Revenue from
      dari kontrak dengan pelanggan”. Berdasarkan PSAK               contracts with customers”. Based on this PSAK,
      ini, pengakuan pendapatan dapat dilakukan secara               revenue recognition can be done in stages over the
      bertahap sepanjang umur kontrak (over time) atau               life of the contract (over time) or at a certain time (at
      pada waktu tertentu (at a point in time).                      a point in time).

      Entitas mengakui pendapatan ketika (atau selama)               An entity recognizes revenue when (or as long as) it
      entitas memenuhi kewajiban pelaksanaan dengan                  fulfills a performance obligation by transferring
      mengalihkan barang atau jasa yang dijanjikan (yaitu            promised goods or services (i.e. assets) to a
      aset) kepada pelanggan. Aset dialihkan ketika (atau            customer. Assets are transferred when (or as long
      selama) pelanggan memperoleh pengendalian atas                 as) the customer obtains control of the asset.
      aset tersebut.

      Pendapatan diakui sepanjang waktu (over time), jika            Revenue is recognized over time, if one of the
      satu dari kriteria berikut ini terpenuhi:                      following criteria is met:
      1. pelanggan secara simultan menerima dan                      1. the customer simultaneously receives and
         mengkonsumsi manfaat yang disediakan dari                       consumes the benefits provided from the
         pelaksanaan          entitas      selama entitas                performance of the entity as long as the entity
         melaksanakan kewajiban pelaksanaannya;                          performs its performance obligations;
      2. pelaksanaan entitas menimbulkan atau                        2. the entity's performance of creating or enhancing
         meningkatkan aset yang dikendalikan pelanggan                   assets controlled by the customer as long as the
         selama aset tersebut ditimbulkan atau                           assets are generated or enhanced; or
         ditingkatkan; atau
      3. pelaksanaan entitas tidak menimbulkan suatu                 3. The entity's performance does not give rise to an
         aset dengan penggunaan alternatif bagi entitas                  asset with an alternative use for the entity and
         dan entitas memiliki hak atas pembayaran yang                   the entity has a right to enforceable payments for
         dapat dipaksakan atas pelaksanaan yang telah                    the performance that has been completed to
         diselesaikan sampai saat ini.                                   date.




                                                                                                                           27
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                         PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                    NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                            FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                              as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                             and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                   on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                  (Expressed in Rupiah, unless otherwise stated)

2. INFORMASI KEBIJAKAN AKUNTANSI MATERIAL                    2. MATERIAL ACCOUNTING POLICY INFORMATION
   (Lanjutan)                                                   (Continued)

      Jika suatu kewajiban pelaksanaan tidak memenuhi             If a performance obligation does not meet these
      kriteria tersebut, maka entitas memenuhi kewajiban          criteria, the entity fulfills the performance obligation
      pelaksanaan pada suatu waktu tertentu (at a point in        at a certain time (at a point in time) where the
      time) dimana pelanggan memperoleh pengendalian              customer obtains control over the promised asset
      atas aset yang dijanjikan dan entitas memenuhi              and the entity fulfills the performance obligation by
      kewajiban pelaksanaan dengan mempertimbangkan               considering indicators of transfer of control,
      indikator pengalihan pengendalian antara lain:              including:
      1. Entitas memiliki hak kini atas pembayaran aset.          1. The entity has a present right to payment for the
                                                                      asset.
      2. Pelanggan memiliki hak kepemilikan legal atas            2. The customer has legal ownership rights to the
         aset.                                                        assets.
      3. Entitas telah mengalihkan kepemilikan fisik atas         3. The entity has transferred physical ownership of
         aset.                                                        the asset.
      4. Pelanggan memiliki risiko dan manfaat signifikan         4. Customers are subject to significant risks and
         atas kepemilikan aset.                                       rewards of ownership of assets.
      5. Pelanggan telah menerima aset.                           5. The customer has received the asset.

      Beban diakui pada saat terjadinya (basis akrual).           Expenses are recognized when incurred (accrual
                                                                  basis).

   o. Pajak Penghasilan                                         o. Income Tax

      Beban pajak kini ditetapkan berdasarkan taksiran            Current tax expense is provided based on the
      laba kena pajak periode berjalan.                           estimated taxable income for the period.

      Pajak penghasilan dalam laba rugi periode berjalan          Income tax in profit or loss for the period comprises
      terdiri dari pajak kini dan tangguhan. Pajak                current and deferred tax. Income tax is recognized
      penghasilan diakui dalam laba rugi, kecuali untuk           in profit or loss, except to the extent that it relates
      transaksi yang berhubungan dengan transaksi yang            to items recognized directly in equity or other
      diakui langsung dalam ekuitas atau penghasilan              comprehensive income in which case it is
      komprehensif lain, dalam hal ini diakui dalam               recognized in equity or other comprehensive
      ekuitas atau penghasilan komprehensif lain.                 income.

      Aset pajak kini dan liabilitas pajak kini dilakukan         Current tax assets and current tax liabilities are
      saling hapus jika, dan hanya jika, entitas memiliki         offset if, and only if, the entity has a legally
      hak yang dapat dipaksakan secara hukum untuk                enforceable right to set off the recognized amounts;
      melakukan saling hapus jumlah yang diakui; dan              and intends either to settle on a net basis, or to
      memiliki intensi untuk menyelesaikan dengan dasar           realize the asset and settle the liability
      neto, atau merealisasikan aset dan menyelesaikan            simultaneously.
      liabilitas secara bersamaan.




                                                                                                                       28
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                           PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                      NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                              FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                               and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                     on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                    (Expressed in Rupiah, unless otherwise stated)

2. INFORMASI KEBIJAKAN AKUNTANSI MATERIAL                      2. MATERIAL ACCOUNTING POLICY INFORMATION
   (Lanjutan)                                                     (Continued)

      Aset dan liabilitas pajak tangguhan diakui atas               Deferred tax assets and liabilities are recognized for
      perbedaan temporer antara aset dan liabilitas untuk           temporary differences between the financial and the
      tujuan komersial dan untuk tujuan perpajakan setiap           tax bases of assets and liabilities at each reporting
      tanggal pelaporan. Aset pajak tangguhan diakui                date. Deferred tax assets are recognized for all
      untuk seluruh perbedaan temporer yang boleh                   deductible temporary differences to the extent that it
      dikurangkan sepanjang besar kemungkinan                       is probable that sufficient future taxable profit will be
      perbedaan temporer yang boleh dikurangkan                     available against which the deductible temporary
      tersebut dapat dimanfaatkan untuk mengurangi laba             difference can be utilized. Future tax benefits, such
      fiskal pada masa yang akan datang. Manfaat pajak              as the carry-forward of unused tax losses, are also
      di masa mendatang, seperti saldo rugi fiskal yang             recognized to the extent that realization of such
      belum digunakan, diakui sejauh besar kemungkinan              benefits is probable.
      realisasi atas manfaat pajak tersebut.

      Aset dan liabilitas pajak tangguhan diukur pada tarif         Deferred tax assets and liabilities are measured at
      pajak yang diharapkan akan digunakan pada                     the tax rates that are expected to apply to the period
      periode ketika aset direalisasi atau ketika liabilitas        when the asset is realized or the liability is settled,
      dilunasi berdasarkan tarif pajak (dan peraturan               based on tax rates (and tax laws) that have been
      perpajakan) yang berlaku atau secara substansial              enacted or substantively enacted at the end of
      telah diberlakukan pada akhir periode pelaporan.              reporting period.

      Aset pajak tangguhan dan liabilitas pajak tangguhan           Deferred tax assets and deferred tax liabilities are
      dilakukan saling hapus jika, dan hanya jika, entitas          offset if, and only if, the entity has a legally
      memiliki hak secara hukum untuk saling hapus aset             enforceable right to set off current tax assets against
      pajak kini terhadap liabilitas pajak kini, dan aset           current tax liabilities, and the deferred tax assets
      pajak tangguhan dan liabilitas pajak tangguhan                and the deferred tax liabilities relate to income taxes
      terkait dengan pajak penghasilan yang dikenakan               levied by the same taxation authority on either the
      oleh otoritas perpajakan atas entitas kena pajak,             same taxable entity, or different taxable entities
      yang sama atau entitas kena pajak berbeda yang                which intend either to settle current tax liabilities and
      bermaksud untuk memulihkan aset dan liabilitas                assets on a net basis, or to realize the assets and
      pajak kini dengan dasar neto, atau merealisasikan             settle the liabilities simultaneously, in each future
      aset dan menyelesaikan liabilitas secara                      period in which significant amounts of deferred tax
      bersamaan, pada setiap periode masa depan yang                liabilities or assets are expected to be settled or
      mana jumlah signifikan atas aset atau liabilitas pajak        recovered.
      tangguhan diharapkan diselesaikan atau dipulihkan.

      Perubahan terhadap kewajiban perpajakan diakui                Amendments to tax obligations are recorded when
      pada saat penetapan pajak diterima dan/atau, jika             an assessment is received and/or, if objected to
      Grup mengajukan keberatan dan/atau banding,                   and/or appealed against by the Group, when the
      pada saat keputusan atas keberatan dan/atau                   result of the objection and/or appeal is determined.
      banding telah ditetapkan.




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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                          PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                     NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                             FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                               as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                              and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                    on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                   (Expressed in Rupiah, unless otherwise stated)

2. INFORMASI KEBIJAKAN AKUNTANSI MATERIAL                    2. MATERIAL ACCOUNTING POLICY INFORMATION
   (Lanjutan)                                                   (Continued)

   p. Imbalan Kerja Karyawan                                    p. Employee Benefits

      Grup mengakui liabilitas imbalan pascakerja sesuai           The Group recognized an post-employment benefits
      dengan Peraturan Pemerintah Republik Indonesia               liability based on Government Regulations Number
      No. 35 Tahun 2021 (“PP 35/2021”) yang                        35 Year 2021 (PP35/2021) which implements the
      melaksanakan ketentuan pasal 81 dan pasal 185(b)             provisions of Article 81 and Article 185(b) of Law no
      Undang-Undang No. 11 Tahun 2020 mengenai                     11/2020 concerning Job Creation (Cipta Kerja).
      Cipta Kerja. PSAK 219 mensyaratkan entitas                   PSAK No. 219 requires the present value of the
      menggunakan metode “Projected Unit Credit” untuk             defined benefit obligation, the related current service
      menentukan nilai kini kewajiban imbalan pasti, biaya         cost, and past service cost to be determined using
      jasa kini terkait, dan biaya jasa lalu.                      the “Projected Unit Credit” method

      Seluruh pengukuran kembali, terdiri atas                     All re-measurements, comprising of actuarial gains
      keuntungan dan kerugian aktuarial dan hasil atas             and losses, and the return of plan assets (excluding
      aset program (tidak termasuk bunga bersih) diakui            net interest) are recognized immediately through
      langsung melalui penghasilan komprehensif lain               other comprehensive income in order for the net
      dengan tujuan agar aset atau kewajiban pensiun               pension asset or liability recognized in the
      neto diakui dalam laporan posisi keuangan                    consolidated statement of financial position to reflect
      konsolidasian untuk mencerminkan nilai penuh dari            the full value of the plan deficit and surplus.
      defisit dan surplus program. Pengukuran kembali              Remeasurements are not reclassified to profit or
      tidak direklasifikasi ke laba atau rugi pada periode         loss in subsequent periods.
      berikutnya.

      Seluruh biaya jasa lalu diakui pada saat yang lebih          All past service costs are recognized at the earlier of
      dulu antara ketika amandemen atau kurtailmen                 when the amendment/curtailment occurs and when
      terjadi atau ketika biaya restrukturisasi atau               the related restructuring or termination costs are
      pemutusan hubungan kerja diakui.                             recognized.

      Grup mengakui keuntungan atau kerugian atas                  The Group recognizes gains or losses on the
      penyelesaian program imbalan pasti pada saat                 settlement of defined benefit plan when it occurs.
      penyelesaian terjadi.

      Bunga neto dihitung dengan menggunakan tingkat               The net interest is calculated by applying the
      diskonto terhadap liabilitas atau aset imbalan pasti         discount rate to the net defined benefit liability or
      neto.                                                        asset.

   q. Instrumen Keuangan                                        q. Financial Instruments

      Grup menerapkan PSAK No. 109, “Instrumen                     The Group applies PSAK No. 109, “Financial
      Keuangan”. Grup mengakui aset dan liabilitas                 Instruments”. The Group recognizes financial assets
      keuangan dalam laporan posisi keuangan                       and liabilities in the statement of financial position if,
      konsolidasian jika, dan hanya jika, Grup menjadi             and only when, the Group is a party to the
      salah satu pihak dalam ketentuan kontraktual                 contractual terms of the financial instrument.
      instrumen keuangan tersebut.




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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                         PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                    NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                            FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                              as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                             and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                   on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                  (Expressed in Rupiah, unless otherwise stated)

2. INFORMASI KEBIJAKAN AKUNTANSI MATERIAL                    2. MATERIAL ACCOUNTING POLICY INFORMATION
   (Lanjutan)                                                   (Continued)

      1. Aset keuangan                                            1. Financial assets

         Grup mengklasifikasikan aset keuangan dalam                 The Group classifies financial assets into the
         kategori berikut ini:                                       following categories:
         • diukur pada biaya perolehan diamortisasi;                 • measured at amortized cost; and
            dan
         • diukur pada nilai wajar melalui penghasilan               • measured at fair value through other
            komprehensif lain atau diukur melalui laba                 comprehensive income or measured through
            rugi.                                                      profit or loss.

         Klasifikasi ini tergantung pada model bisnis Grup           This classification depends on the Group's
         dan persyaratan kontraktual arus kas.                       business model and the contractual terms of the
                                                                     cash flows.

         a) Aset keuangan diukur pada biaya perolehan                a) Financial assets are measured at amortized
            diamortisasi                                                cost

            Klasifikasi ini berlaku untuk instrumen utang               This classification applies to debt instruments
            yang dikelola dalam model bisnis dimiliki                   that are managed in a held to obtain cash
            untuk mendapatkan arus kas dan memiliki                     flow business model and have cash flows that
            arus kas yang memenuhi kriteria “semata-                    meet the criteria “solely from principal and
            mata dari pembayaran pokok dan bunga”.                      interest payments”.

            Pada pengakuan awal, piutang usaha yang                     On initial recognition, trade receivables that
            tidak memiliki komponen pendanaan yang                      do not have a significant financing component
            signifikan, diakui sebesar harga transaksi.                 are recognized at the transaction price. Other
            Aset keuangan lainnya awalnya diakui                        financial assets are initially recognized at fair
            sebesar nilai wajar dikurangi biaya transaksi               value less the associated transaction costs.
            yang terkait. Aset keuangan ini selanjutnya                 These financial assets are then measured at
            diukur sebesar biaya perolehan diamortisasi                 amortized cost using the effective interest
            menggunakan metode suku bunga efektif.                      method. Gains or losses on retirement or
            Keuntungan atau kerugian pada penghentian                   modification of financial assets carried at
            atau modifikasi aset keuangan yang dicatat                  amortized cost are recognized in profit or
            pada biaya perolehan diamortisasi diakui                    loss..
            pada laba rugi.

         b) Aset keuangan diukur pada nilai wajar melalui            b) Financial assets are measured at fair value
            penghasilan komprehensif lain                               through other comprehensive income

            Klasifikasi ini berlaku untuk aset keuangan                 This classification applies to the following
            berikut ini:                                                financial assets:




                                                                                                                      31
Page 36
PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                         PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                    NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                            FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                              as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                             and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                   on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                  (Expressed in Rupiah, unless otherwise stated)

2. INFORMASI KEBIJAKAN AKUNTANSI MATERIAL                    2. MATERIAL ACCOUNTING POLICY INFORMATION
   (Lanjutan)                                                   (Continued)

            (i) Instrumen utang yang dikelola dengan                    (i) Debt instruments that are managed under
                model bisnis yang bertujuan untuk                           a business model whose objective is to
                memiliki aset keuangan dalam rangka                         hold financial assets in order to obtain
                mendapatkan arus kas kontraktual dan                        contractual cash flows and sell them and
                menjual dan dimana arus kasnya                              where the cash flows meet the criteria
                memenuhi kriteria “semata-mata dari                         “solely from principal and interest
                pembayaran pokok dan bunga”.                                payments”.

               Perubahan nilai wajar aset keuangan ini                     Changes in the fair value of these
               dicatat pada penghasilan komprehensif                       financial assets are recorded in other
               lain, kecuali pengakuan keuntungan atau                     comprehensive income, except for the
               kerugian penurunan nilai, penghasilan                       recognition of impairment gains or losses,
               bunga (termasuk biaya transaksi                             interest income (including transaction
               menggunakan metode suku bunga                               costs using the effective interest method),
               efektif), keuntungan atau kerugian yang                     gains or losses arising from derecognition,
               timbul dari penghentian pengakuan, serta                    and foreign exchange gains or losses are
               keuntungan atau kerugian dari selisih kurs                  recognized. on profit or loss.
               diakui pada laba rugi.

               Ketika aset keuangan dihentikan                             When a financial asset is derecognized,
               pengakuannya, keuntungan atau kerugian                      the cumulative fair value gain or loss
               nilai wajar kumulatif yang sebelumnya                       previously      recognized  in    other
               diakui pada penghasilan komprehensif                        comprehensive income is reclassified to
               lain direklasifikasi pada laba rugi.                        profit or loss.

            (ii) Investasi ekuitas dimana Grup telah                    (ii) Equity investments where the Group has
                 memilih secara tak terbatalkan untuk                        irrevocably elected to present the fair
                 menyajikan keuntungan dan kerugian nilai                    value gains and losses from revaluation in
                 wajar dari revaluasi pada penghasilan                       other comprehensive income.
                 komprehensif lain.

               Pilihan dapat didasarkan pada investasi                     Options can be based on individual
               individu, namun, tidak berlaku pada                         investments, however, do not apply to
               investasi ekuitas yang dimiliki untuk                       equity investments held for trading. Fair
               diperdagangkan.      Keuntungan       atau                  value gains or losses from the revaluation
               kerugian nilai wajar dari revaluasi                         of equity investments, including foreign
               investasi ekuitas, termasuk komponen                        exchange components, are recognized in
               selisih kurs, diakui pada penghasilan                       other comprehensive income. When an
               komprehensif lain. Ketika investasi ekuitas                 equity investment is derecognized, the fair
               dihentikan pengakuannya, keuntungan                         value gain or loss previously recognized in
               atau kerugian nilai wajar yang                              other comprehensive income is not
               sebelumnya diakui dalam penghasilan                         reclassified to profit or loss. Dividends are
               komprehensif lain tidak direklasifikasi                     recognized in profit or loss when the right
               pada laba rugi. Deviden diakui pada laba                    to receive payments has been
               rugi ketika hak untuk menerima                              established.
               pembayaran telah ditetapkan.


                                                                                                                     32
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                          PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                     NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                             FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                               as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                              and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                    on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                   (Expressed in Rupiah, unless otherwise stated)

2. INFORMASI KEBIJAKAN AKUNTANSI MATERIAL                     2. MATERIAL ACCOUNTING POLICY INFORMATION
   (Lanjutan)                                                    (Continued)

         c) Aset keuangan diukur pada nilai wajar melalui            c) As Financial assets are measured at fair
            laba rugi                                                   value through profit or loss

            Klasifikasi ini berlaku untuk aset keuangan                  This classification applies to the following
            berikut ini, dimana dalam semua kasus, biaya                 financial assets, where in all cases,
            transaksi dibebankan pada laba rugi:                         transaction costs are charged to profit or loss:

            (i) Instrumen utang yang tidak memiliki                      (i) Debt instruments that do not meet the
                 kriteria biaya perolehan diamortisasi atau                  criteria for amortized cost or fair value
                 nilai     wajar    melalui   penghasilan                    through other comprehensive income. The
                 komprehensif lain. Keuntungan atau                          fair value gain or loss will then be
                 kerugian nilai wajar selanjutnya akan                       recorded in profit or loss.
                 dicatat pada laba rugi.
            (ii) Investasi ekuitas yang dimiliki untuk                   (ii) Equity investments held for trading or for
                 diperdagangkan atau dimana pilihan                           which other comprehensive income
                 penghasilan komprehensif lain tidak                          options do not apply. Fair value gains or
                 berlaku. Keuntungan atau kerugian nilai                      losses and related dividend income are
                 wajar dan penghasilan dividen terkait                        recognized in profit or loss.
                 diakui pada laba rugi.

         Aset keuangan dihentikan pengakuannya ketika                Financial assets are derecognized when the
         hak kontraktual atas arus kas dari aset keuangan            contractual rights to the cash flows from the
         tersebut telah berakhir atau telah ditransfer dan           financial assets have expired or have been
         Grup telah mentransfer secara substansial                   transferred and the Group has transferred
         seluruh risiko dan manfaat atas kepemilikan                 substantially all the risks and rewards of
         aset. Pada saat penghentian pengakuan aset                  ownership of the assets. On derecognition of a
         keuangan, selisih antara jumlah tercatat dengan             financial asset, the difference between the
         imbalan yang diterima diakui dalam laba rugi.               carrying amount and the consideration received
                                                                     is recognized in profit or loss.

         Penurunan Nilai Aset Keuangan                               Impairment of Financial Assets

         Penelaahan kerugian kredit ekspektasian masa                A review of expected future credit losses is
         depan diharuskan untuk: instrumen utang yang                required for: debt instruments at amortized cost
         diukur pada biaya perolehan diamortisasi atau               or at fair value through other comprehensive
         diukur pada nilai wajar melalui penghasilan                 income, trade receivables that do not confer an
         komprehensif lain, piutang usaha yang tidak                 unconditional right to receive consideration.
         memberi hak tanpa syarat untuk menerima
         imbalan.




                                                                                                                      33
Page 38
PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                          PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                     NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                             FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                               as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                              and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                    on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                   (Expressed in Rupiah, unless otherwise stated)

2. INFORMASI KEBIJAKAN AKUNTANSI MATERIAL                     2. MATERIAL ACCOUNTING POLICY INFORMATION
   (Lanjutan)                                                    (Continued)

         Grup mengakui provisi atas kerugian penurunan               The Group recognizes a provision for impairment
         nilai untuk kerugian kredit ekspektasian atas aset          losses for the expected credit losses on financial
         keuangan yang diukur pada biaya perolehan                   assets measured at amortized cost. The
         diamortisasi. Provisi atas kerugian penurunan               provision for impairment losses on trade
         nilai piutang usaha diukur dengan jumlah yang               receivables is measured at an amount equal to
         sama dengan kerugian kredit ekspektasian                    the lifetime expected credit losses. Lifetime
         sepanjang       umurnya.       Kerugian     kredit          expected credit loss is the expected credit loss
         ekspektasian sepanjang umurnya adalah                       resulting from all possible non-payment events
         kerugian kredit ekspektasian yang dihasilkan dari           over the expected lifetime of a financial
         semua kemungkinan kejadian gagal bayar                      instrument.
         sepanjang umur yang diharapkan dari suatu
         instrumen keuangan.

         Ketika menentukan apakah risiko kredit dari                 When determining whether the credit risk of a
         suatu aset keuangan telah meningkat secara                  financial asset has increased significantly since
         signifikan sejak pengakuan awal dan ketika                  initial recognition and when estimating expected
         memperkirakan kerugian kredit ekspektasian,                 credit losses, the Group considers relevant
         Grup mempertimbangkan informasi relevan yang                information that is reasonable and verifiable and
         wajar dan dapat dibuktikan dan tersedia tanpa               available without undue cost or effort. It includes
         biaya atau usaha yang tidak semestinya. Ini                 both quantitative and qualitative information and
         mencakup informasi dan analisis kuantitatif dan             analysis, based on the Group's historical
         kualitatif, berdasarkan pengalaman historis Grup            experience and credit assessment and includes
         dan penilaian kredit dan termasuk informasi                 future information.
         masa depan.

         Grup menganggap aset keuangan gagal bayar                   The Group considers a financial asset to be in
         ketika pelanggan tidak mampu membayar                       default when the customer is unable to pay its
         kewajiban kreditnya kepada Grup secara penuh.               credit obligations to the Group in full. The
         Periode maksimum yang dipertimbangkan ketika                maximum period considered when estimating
         memperkirakan kerugian kredit ekspektasian                  expected credit losses is the maximum
         adalah periode maksimum kontrak dimana Grup                 contractual period during which the Company is
         terekspos terhadap risiko kredit.                           exposed to credit risk.

         Kerugian kredit ekspektasian adalah perkiraan               Expected credit losses are probability-weighted
         probabilitas-tertimbang dari kerugian kredit.               estimates of credit losses. Credit losses are
         Kerugian kredit diukur sebagai nilai sekarang               measured as the present value of all shortfalls in
         dari semua kekurangan penerimaan kas (yaitu                 cash receipts (ie the difference between the cash
         perbedaan antara arus kas terutang dari suatu               flows owed by an entity under the contract and
         entitas berdasarkan kontrak dan arus kas yang               the cash flows that the Group expects to
         Grup harapkan untuk diterima). Kerugian kredit              receive). The expected credit losses are
         ekspektasian didiskontokan pada tingkat bunga               discounted at the effective interest rate of the
         efektif dari aset keuangan tersebut.                        financial asset.




                                                                                                                     34
Page 39
PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                          PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                     NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                             FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                               as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                              and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                    on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                   (Expressed in Rupiah, unless otherwise stated)

2. INFORMASI KEBIJAKAN AKUNTANSI MATERIAL                     2. MATERIAL ACCOUNTING POLICY INFORMATION
   (Lanjutan)                                                    (Continued)

      2. Liabilitas Keuangan                                       2. Financial Liabilities

         Pada saat pengakuan awal, Grup mengukur                      At initial recognition, the Group measures
         liabilitas keuangan pada nilai wajar ditambah                financial liabilities at fair value plus or minus the
         atau dikurangi, biaya transaksi yang terkait                 transaction costs that are directly related to the
         langsung dengan perolehan atau penerbitan                    acquisition or issuance of the financial liability.
         liabilitas keuangan. Grup mengklasifikasikan                 The Group classifies all of its financial liabilities
         semua liabilitas keuangannya ke dalam kategori               into the category of financial liabilities measured
         liabilitas keuangan yang diukur pada biaya                   at amortized cost.
         perolehan diamortisasi.

         Setelah pengakuan awal, liabilitas keuangan                  After initial recognition, financial liabilities are
         selanjutnya diukur pada biaya perolehan                      subsequently measured at amortized cost using
         diamortisasi dengan menggunakan metode suku                  the effective interest method. Gains or losses are
         bunga efektif. Keuntungan atau kerugian diakui               recognized in profit or loss when the financial
         dalam laba rugi ketika liabilitas keuangan                   liability is derecognized or impaired, and through
         tersebut dihentikan pengakuannya atau                        the amortization process.
         mengalami penurunan nilai, dan melalui proses
         amortisasi.

         Grup mengeluarkan liabilitas keuangan dari                   The Group remove financial liabilities from the
         laporan posisi keuangan jika, dan hanya jika,                statement of financial position if, and only when,
         kewajiban yang ditetapkan dalam kontrak                      the obligations specified in the contract are
         dilepaskan atau dibatalkan atau kedaluwarsa.                 discharged or cancelled or expire. The difference
         Selisih antara jumlah tercatat liabilitas keuangan           between the carrying amount of financial
         yang berakhir atau yang dialihkan ke pihak lain,             liabilities that are terminated or transferred to
         dan imbalan yang dibayarkan, termasuk aset                   another party, and the consideration paid,
         nonkas yang dialihkan atau liabilitas yang                   including the non-cash assets transferred or
         ditanggung diakui dalam laba rugi.                           liabilities assumed are recognized in profit or
                                                                      loss.

      3. Saling hapus instrumen keuangan                           3. Offsetting of financial instruments

         Aset keuangan dan liabilitas keuangan saling                 Financial assets and financial liabilities are offset
         hapus dan nilai netonya dilaporkan dalam                     and the net amount reported in the consolidated
         laporan posisi keuangan jika, dan hanya jika,                statements of financial position if, and only if,
         saat ini memiliki hak yang berkekuatan hukum                 there is a currently enforceable legal right to
         untuk melakukan saling hapus atas jumlah yang                offset the recognized amounts and there is an
         telah diakui dan terdapat niat untuk                         intention to settle on a net basis, or to realize the
         menyelesaikannya secara neto, atau untuk                     assets and settle the liabilities simultaneously.
         merealisasikan aset dan menyelesaikan
         liabilitasnya secara simultan.




                                                                                                                        35
Page 40
PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                            PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                       NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                               FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                 as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                      on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                     (Expressed in Rupiah, unless otherwise stated)

2. INFORMASI KEBIJAKAN AKUNTANSI MATERIAL                      2. MATERIAL ACCOUNTING POLICY INFORMATION
   (Lanjutan)                                                     (Continued)

   r. Informasi Segmen                                            r. Segment Information

      Entitas      mengungkapkan       informasi    yang             Entities disclose information that enable users of the
      memungkinkan pengguna laporan keuangan untuk                   financial statements to evaluate the nature and
      mengevaluasi sifat dan dampak keuangan dari                    financial effects of the business activities. Operating
      aktivitas bisnis. Segmen operasi dilaporkan dengan             segment is reported in a manner consistent with the
      cara yang konsisten dengan pelaporan internal yang             internal reporting provided to the chief operating
      disampaikan kepada pengambil keputusan                         decision-maker.
      operasional.

   s. Laba per Saham                                              s. Earnings per Share

      Laba per saham dasar dihitung dengan membagi                   Basic earnings per share are calculated by dividing
      laba atau rugi yang dapat diatribusikan kepada                 profit or loss attributable to ordinary equity holders of
      pemegang saham biasa entitas induk dengan                      the parent entity by the weighted average number of
      jumlah rata-rata tertimbang saham biasa yang                   ordinary shares outstanding during the period.
      beredar dalam suatu periode.

      Laba per saham dilusian dihitung dengan membagi                Diluted earnings per share are calculated by dividing
      laba atau rugi yang dapat diatribusikan kepada                 profit or loss attributable to ordinary equity holders of
      pemegang saham biasa entitas induk, dengan                     the parent entity, by the weighted average number
      jumlah rata-rata tertimbang saham yang beredar,                of shares outstanding, for the effects of all dilutive
      atas dampak dari semua efek yang mempunyai                     potential ordinary shares.
      potensi saham biasa yang bersifat dilutif.

    t. Provisi dan Kontinjensi                                    t. Provisions and Contingencies

      Provisi diakui jika Grup memiliki kewajiban kini (baik         Provisions are recognized when the Group has a
      bersifat hukum maupun bersifat konstruktif) yang               present obligation (legal or constructive) where, as a
      akibat peristiwa masa lalu, besar kemungkinannya               result of a past event, it is probable that an outflow
      penyelesaian kewajiban tersebut mengakibatkan                  of resources embodying economic benefits will be
      arus keluar sumber daya yang mengandung                        required to settle the obligation and a reliable
      manfaat ekonomi dan estimasi yang andal                        estimate can be made of the amount of the
      mengenai jumlah kewajiban tersebut dapat dibuat.               obligation.

      Provisi ditelaah pada setiap akhir periode pelaporan           Provisions are reviewed at each end of reporting
      dan disesuaikan untuk mencerminkan estimasi                    period and adjusted to reflect the current best
      terbaik yang paling kini. Jika arus keluar sumber              estimate. If it is no longer probable that an outflow of
      daya untuk menyelesaikan kewajiban kemungkinan                 resources embodying economic benefits will be
      besar tidak terjadi, maka provisi dibatalkan.                  required to settle the obligation, the provision is
                                                                     reversed.




                                                                                                                           36
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                         PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                    NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                            FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                              as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                             and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                   on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                  (Expressed in Rupiah, unless otherwise stated)

2. INFORMASI KEBIJAKAN AKUNTANSI MATERIAL                   2. MATERIAL ACCOUNTING POLICY INFORMATION
   (Lanjutan)                                                  (Continued)

      Liabilitas kontinjensi tidak diakui dalam laporan           Contingent liabilities are not recognized in the
      keuangan konsolidasian tetapi diungkapkan dalam             consolidated financial statements but are disclosed
      catatan atas laporan keuangan konsolidasian                 in the notes to the consolidated financial statements
      kecuali arus keluar sumber daya yang mengandung             unless the possibility of an outflow of resources
      manfaat ekonomi kemungkinannya kecil. Aset                  embodying economic benefits is remote. Contingent
      kontinjensi tidak diakui dalam laporan keuangan             assets are not recognized in the consolidated
      konsolidasian tetapi diungkapkan dalam laporan              financial statements but are disclosed in the notes to
      keuangan konsolidasian jika terdapat kemungkinan            the consolidated financial statements when an inflow
      besar arus masuk manfaat ekonomis akan                      of economic benefits is probable.
      diperoleh.


3. ESTIMASI DAN PERTIMBANGAN AKUNTANSI                      3. CRITICAL ACCOUNTING ESTIMATES AND
   YANG PENTING                                                JUDGMENTS

   Penyusunan laporan keuangan konsolidasian sesuai            The preparation of consolidated financial statements, in
   dengan Standar Akuntansi Keuangan Indonesia                 conformity with Indonesian Financial Accounting
   mewajibkan manajemen untuk membuat pertimbangan             Standards, requires management to make judgments
   dan estimasi yang mempengaruhi jumlah-jumlah yang           and estimates that affect amounts reported therein. The
   dilaporkan dalam laporan keuangan. Estimasi dan             estimates and assumptions are based on historical
   asumsi yang terkait didasarkan pada pengalaman              experience and other factors that are considered
   historis dan faktor-faktor lain yang dianggap relevan.      relevant. The actual results may differ from those
   Hasil aktualnya mungkin berbeda dari estimasi               estimates.
   tersebut.

   Pertimbangan dan estimasi berikut ini dibuat oleh           The following judgments and estimates made by
   manajemen dalam rangka penerapan kebijakan                  management in the process of applying the Group’s
   akuntansi Grup yang memiliki pengaruh paling                accounting policies have the most significant effects on
   signifikan atas jumlah yang diakui dalam laporan            the amounts recognized in the consolidated financial
   keuangan konsolidasian:                                     statements:

   Klasifikasi aset keuangan dan liabilitas keuangan           Classification of financial assets and financial liabilities

   Grup menetapkan klasifikasi atas aset dan liabilitas        The Group determines the classification of certain
   tertentu sebagai aset keuangan dan liabilitas keuangan      assets and liabilities as financial assets and financial
   berdasarkan definisi yang ditetapkan PSAK No. 109.          liabilities based on the definition stipulated in PSAK
   Analisis aset dan liabilitas keuangan Grup diungkapkan      No. 109. Analysis of the Group's financial assets and
   dalam catatan 33.                                           liabilities is disclosed in note 33.




                                                                                                                          37
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                           PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                      NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                              FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                               and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                     on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                    (Expressed in Rupiah, unless otherwise stated)

3. ESTIMASI DAN PERTIMBANGAN AKUNTANSI                        3. CRITICAL ACCOUNTING ESTIMATES AND
   YANG PENTING (Lanjutan)                                       JUDGMENTS (Continued)

   Menilai jumlah terpulihkan dari aset nonkeuangan              Assessing recoverable amounts of non-financial assets

   Penyisihan penurunan nilai pasar dan keusangan aset           Allowance for decline in market value and
   film diestimasi berdasarkan fakta dan situasi yang            obsolescence of film assets are estimated based on
   tersedia, termasuk namun tidak terbatas kepada,               available facts and situations, including but not limited
   kondisi fisik aset film yang dimiliki, harga jual pasar,      to, the physical condition of film assets owned, market
   estimasi biaya penyelesaian dan estimasi biaya yang           selling prices, estimated costs of completion and
   timbul untuk penjualan. Provisi dievaluasi kembali dan        estimated costs incurred for sale. Provisions are re-
   disesuaikan jika terdapat tambahan informasi yang             evaluated and adjusted if there is additional information
   mempengaruhi jumlah yang diestimasi.                          that affects the estimated amount.

   Menentukan penyusutan aset tetap dan properti                 Determining depreciation      of   fixed   assets    and
   investasi                                                     investment properties

   Biaya perolehan aset tetap dan properti investasi             The costs of fixed assets are depreciated on a straight-
   disusutkan dengan menggunakan metode garis lurus              line basis over their estimated useful lives.
   berdasarkan taksiran masa manfaat ekonomisnya.                Management estimates the useful lives of fixed assets
   Manajemen mengestimasi masa manfaat ekonomis                  and investment properties between 4 to 20 years.
   aset tetap dan properti investasi antara 4 sampai             These are common life expectancies applied in the
   dengan 20 tahun. Ini adalah umur yang secara umum             industries in which the Group conducts their business.
   diharapkan dalam industri di mana Grup menjalankan
   bisnisnya.

   Menentukan nilai aset film                                    Determining the value of film assets

   Aset film ditentukan sebesar nilai perolehan dikurangi        Film assets are determined at cost less accumulated
   akumulasi amortisasi. Nilai perolehan merupakan               amortization. The acquisition value is the accumulation
   akumulasi biaya terkait produksi film mulai dari rencana      of costs related to film production starting from the
   proses produksi sampai dengan siap dijual. Aset film          planning of production process until ready for sale. Film
   dibebankan sejak terjadinya penjualan melalui proses          assets are charged to expense starting from the date of
   amortisasi selama 4 tahun dengan menggunakan                  sale through an amortization process for 4 years using
   metode saldo menurun berganda dengan tarif 50% dari           the double declining balance method at a rate of 50%
   nilai buku awal periode.                                      from the book value of the beginning period.

   Amortisasi Persediaan                                         Amortization of Inventories

   Persediaan diamortisasi berdasarkan tipe persediaan           Inventories are being amortized based on type of
   seperti yang dijelaskan dalam Catatan 2.                      inventories as described in Note 2.




                                                                                                                       38
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                          PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                     NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                             FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                               as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                              and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                    on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                   (Expressed in Rupiah, unless otherwise stated)

3. ESTIMASI DAN PERTIMBANGAN AKUNTANSI                       3. CRITICAL ACCOUNTING ESTIMATES AND
   YANG PENTING (Lanjutan)                                      JUDGMENTS (Continued)

   Praktik amortisasi persediaan Grup umum diterapkan           The Group’s amortization practices for inventories are
   pada industri dimana Grup menjalankan usaha yang,            commonly applied in the industry in which the Group
   menurut pertimbangan Grup, mencerminkan pola                 conducts its business which are, in the Group’s
   manfaat ekonomi terkini dari aset tersebut. Perubahan        judgment, reflective of the current pattern of the
   pendapatan iklan, pola dan ekspektasi manfaat                economic benefits from those assets. Changes in
   ekonomi akan mempengaruhi metode amortisasi di               advertising revenue, patterns and expectation of
   masa depan.                                                  economic benefits would impact the amortization
                                                                method in the future.

   Nilai tercatat persediaan diungkapkan dalam Catatan 9.       The carrying amounts of inventories disclosed in
                                                                Note 9.

   Kontrak sewa operasi - Grup sebagai lessor                   Operating lease contract - The group as a lessor

   Grup mengadakan perjanjian sewa properti komersial           The Group entered into a commercial property rental
   pada portofolio properti investasi. Grup telah               agreement on the investment property portfolio. The
   menentukan, berdasarkan evaluasi atas syarat dan             Group has determined, based on an evaluation of the
   ketentuan dari perjanjian, bahwa menjaga semua risiko        terms and conditions of the agreement, that
   dan manfaat signifikan kepemilikan atas properti yang        safeguarding all the risks and significant benefits of
   disewakan tersebut dan, Grup mengakui transaksi              ownership of the leased property and, the Group
   sewa sebagai sewa operasi.                                   recognizes the lease transaction as an operating lease.

   Estimasi biaya dan liabilitas imbalan kerja                  Estimate of employee benefits expense and liability

   Penentuan liabilitas dan biaya imbalan kerja Grup            Determination of the Group employee benefits liability
   tergantung pada pemilihan asumsi yang digunakan              and expenses depends on the selection of assumptions
   dalam menghitung jumlah tersebut. Asumsi tersebut            used in calculating these amounts. These assumptions
   termasuk antara lain tingkat diskonto, tingkat kenaikan      include discount rates, salary increase rates,
   gaji, tingkat pengunduran diri, tingkat kecacatan, umur      resignation rates, disability rates, retirement age and
   pensiun dan tingkat mortalitas. Hasil aktual yang            mortality rates. Actual results that differ from the
   berbeda dari asumsi yang ditetapkan Grup langsung            assumptions set by the Group are recognized
   diakui dalam laba rugi pada saat terjadinya. Sementara       immediately in profit or loss when incurred. While the
   Grup berkeyakinan bahwa asumsi tersebut adalah               Group believes that these assumptions are reasonable
   wajar dan sesuai, perbedaan signifikan pada hasil            and appropriate, significant differences in actual results
   aktual atau perubahan signifikan dalam asumsi yang           or significant changes in the assumptions determined
   ditetapkan Grup dapat mempengaruhi secara material           by the Group may materially affect employee benefits
   liabilitas imbalan kerja dan beban imbalan kerja neto.       liability and net employee benefits expenses.




                                                                                                                       39
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                             PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                        NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                  as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                 and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                       on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                      (Expressed in Rupiah, unless otherwise stated)

3. ESTIMASI DAN PERTIMBANGAN AKUNTANSI                          3. CRITICAL ACCOUNTING ESTIMATES AND
   YANG PENTING (Lanjutan)                                         JUDGMENTS (Continued)

   Menentukan pajak penghasilan                                    Determining income taxes

   Pertimbangan signifikan dilakukan dalam menentukan              Significant judgment is involved in determining provision
   provisi atas pajak penghasilan badan. Terdapat                  for corporate income tax. There are certain transactions
   transaksi dan perhitungan tertentu yang penentuan               and computation for which the ultimate tax
   pajak akhirnya tidak pasti sepanjang kegiatan usaha             determination is uncertain during the ordinary course of
   normal. Dalam situasi tertentu, Grup tidak dapat                business. At certain situations, the Group cannot
   menentukan secara pasti jumlah liabilitas pajak mereka          determine the exact amount of their current or future tax
   pada saat ini atau masa depan karena proses                     liabilities due to the inspection process by the tax
   pemeriksaan oleh otoritas perpajakan. Grup mengakui             authority. The Group recognizes liabilities for expected
   liabilitas atas pajak penghasilan badan yang diharapkan         corporate income tax based on estimates of whether
   berdasarkan estimasi apakah akan terdapat tambahan              additional corporate income tax will be due.
   pajak penghasilan badan yang akan jatuh tempo.

   Aset pajak tangguhan diakui apabila besar                       Deferred tax assets are recognized if it is probable that
   kemungkinannya bahwa penghasilan kena pajak akan                taxable income will be available. Significant estimates
   tersedia. Estimasi signifikan oleh manajemen                    by management are required in determining the amount
   disyaratkan dalam menentukan jumlah aset pajak                  of deferred tax assets that can be recognized, based on
   tangguhan yang dapat diakui, berdasarkan saat                   the time of use and the level of taxable income and
   penggunaan dan tingkat penghasilan kena pajak dan               future tax planning strategies. However, there is no
   strategi perencanaan pajak masa depan. Namun tidak              certainty that the Company and its subsidiaries can
   terdapat kepastian bahwa Perusahaan dan entitas anak            generate sufficient taxable income to the use of part or
   dapat menghasilkan penghasilan kena pajak yang                  all of the deferred tax assets.
   cukup untuk memungkinkan penggunaan sebagian
   atau keseluruhan dari aset pajak tangguhan tersebut.

4. KAS DAN SETARA KAS                                           4. CASH AND CASH EQUIVALENTS

   Akun ini terdiri dari:                                          This account consists of:

                                            30 Juni 2026/        31 Desember 2025/
                                            June 30, 2026        December 31, 2025
    Kas                                                                                                                  Cash
    Rupiah                                        144.379.160            127.107.005                                    Rupiah

    Bank                                                                                                                   Bank
    Rupiah                                                                                                               Rupiah
      PT Bank Rakyat Indonesia Tbk             56.339.861.571          8.502.006.907           PT Bank Rakyat Indonesia Tbk
      PT Bank Central Asia Tbk                 17.258.791.336         10.180.972.742               PT Bank Central Asia Tbk
      PT Bank of India Indonesia Tbk           10.921.889.628            517.486.068           PT Bank of India Indonesia Tbk
      PT Bank Mandiri Tbk                       7.250.050.617          8.586.096.543                    PT Bank Mandiri Tbk
      PT Bank CIMB Niaga Tbk                        5.117.622            147.172.314                PT Bank CIMB Niaga Tbk
      Lain-lain (dibawah Rp50.000.000)             39.401.634             40.583.527            Others (below Rp50,000,000)
      Sub total                                91.815.112.408         27.974.318.101                                Sub total




                                                                                                                                40
Page 45
PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                          PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                     NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                             FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                               as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                              and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                    on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                   (Expressed in Rupiah, unless otherwise stated)

4. KAS DAN SETARA KAS (Lanjutan)                             4. CASH AND CASH EQUIVALENTS (Continued)

                                         30 Juni 2026/        31 Desember 2025/
                                         June 30, 2026        December 31, 2025
    USD                                                                                                             USD
      PT Bank Mandiri Tbk                   11.568.611.704          2.402.566.500                PT Bank Mandiri Tbk
      PT Bank of India Indonesia Tbk           429.750.173            406.641.453       PT Bank of India Indonesia Tbk
      PT Bank Rakyat Indonesia Tbk             181.678.193            651.992.447       PT Bank Rakyat Indonesia Tbk
      PT Bank CIMB Niaga Tbk                   178.760.522            169.821.421            PT Bank CIMB Niaga Tbk
      PT Bank SBI Indonesia                     83.247.350             78.162.668              PT Bank SBI Indonesia
      PT Bank DBS Indonesia                        711.204            211.366.437             PT Bank DBS Indonesia
      Lain-lain (dibawah Rp50.000.000)          16.107.260             15.638.546        Others (below Rp50,000,000)
      Sub total                             12.458.866.407          3.936.189.474                            Sub total
    SGD                                                                                                            SGD
      PT Bank Rakyat Indonesia Tbk           3.326.706.449              9.250.979        PT Bank Rakyat Indonesia Tbk
    Total Bank                             107.600.685.263         31.919.758.554                             Total Bank

    Deposito Berjangka                                                                                    Time Deposits
    Rupiah                                                                                                        Rupiah
      PT Bank of India Indonesia Tbk        84.300.000.000         88.300.000.000       PT Bank of India Indonesia Tbk
      PT Bank Rakyat Indonesia Tbk          39.500.000.000         77.500.000.000       PT Bank Rakyat Indonesia Tbk
      Sub total                            123.800.000.000        165.800.000.000                            Sub total

    USD                                                                                                            USD
      PT Bank Rakyat Indonesia Tbk          26.784.000.082         25.173.000.077        PT Bank Rakyat Indonesia Tbk
      PT Bank of India Indonesia             6.249.600.000          5.873.700.000           PT Bank of India Indonesia
      PT Bank Mandiri Tbk                    3.571.200.000                      -                PT Bank Mandiri Tbk
      Sub total                             36.604.800.082         31.046.700.077                            Sub total
    Total Deposito Berjangka               160.404.800.082        196.846.700.077                    Total Time Deposits
    Total kas dan setara kas               268.149.864.505        228.893.565.635       Total cash and cash equivalents


   Kisaran tingkat suku bunga deposito berjangka per            The ranges of annual interest rates of time deposits are
   tahun adalah sebagai berikut:                                as follows:
                                         30 Juni 2026/        31 Desember 2025/
                                         June 30, 2026        December 31, 2025
    Rupiah                               3,75% - 4,75%          4,25% - 5,35%                                    Rupiah
    USD                                  3,25% - 4,00%          3,75% - 4,00%                                      USD

   Seluruh rekening bank ditempatkan pada pihak ketiga          All bank accounts are placed on third parties and there
   dan tidak terdapat saldo kas dan setara kas yang             are no balances of cash and cash equivalents that are
   digunakan     sebagai    jaminan   atau    dibatasi          used as collateral or are restricted in use.
   penggunaannya.




                                                                                                                         41
Page 46
PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                                         PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                                    NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                            FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                              as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                             and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                                   on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                  (Expressed in Rupiah, unless otherwise stated)

5. PIUTANG USAHA                                                             5. ACCOUNTS RECEIVABLE

   Akun ini terdiri dari:                                                      This account consists of:
                                                      30 Juni 2026/            31 Desember 2025/
                                                      June 30, 2026            December 31, 2025

    Pihak Ketiga                                                                                                                      Third Parties
      PT Wira Pamungkas Pariwara                           13.738.946.439             11.219.081.565              PT Wira Pamungkas Pariwara
      PT Anak Indomedia                                    11.835.787.905             11.835.787.905                         PT Anak Indomedia
      PT Atom Media Indonesia                               6.532.100.000              6.532.100.000                  PT Atom Media Indonesia
      PT Vidio Dot Com                                      5.223.529.412                          -                           PT Vidio Dot Com
      Image Future Investment (HK) Limited                  5.142.528.000                          -       Image Future Investment (HK) Limited
      PT Nusantara Sejahtera Raya Tbk                       4.284.157.704              7.405.738.431          PT Nusantara Sejahtera Raya Tbk
      PT Netlink World Indonesia                            3.352.279.263                881.922.909                 PT Netlink World Indonesia
      PT Graha Layar Prima Tbk                              3.123.662.184              2.204.139.319                 PT Graha Layar Prima Tbk
      PT Hato Films Indonesia                               2.631.503.900              2.731.503.900                    PT Hato Films Indonesia
      PT Rajawali Citra Televisi Indonesia                  2.562.000.000              2.562.000.000         PT Rajawali Citra Televisi Indonesia
      PT Citra Komunika Pariwara                            1.642.800.000                          -                PT Citra Komunika Pariwara
      PT Duta Visual Nusantara Tivi Tujuh                   1.599.705.880                          -         PT Duta Visual Nusantara Tivi Tujuh
      PT Bintang Multi Mediathama                           1.470.750.000                305.250.000               PT Bintang Multi Mediathama
      PT Anugrah Cipta Karyatama                            1.116.567.450                          -               PT Anugrah Cipta Karyatama
      PT Star Reachers Indonesia                            1.110.724.303              1.973.619.936                PT Star Reachers Indonesia
      PT Lestari Mitra Sembada                              1.101.918.209              1.523.679.569                  PT Lestari Mitra Sembada
      PT Asia Media Prisma                                  1.047.418.200                200.438.250                      PT Asia Media Prisma
      PT Suara Multimedia Pertama                           1.026.000.000              1.026.000.000              PT Suara Multimedia Pertama
      PT Mediate Indonesia                                  1.010.655.000                          -                      PT Mediate Indonesia
      PT Armananta Eka Putra                                1.002.330.000                584.634.225                    PT Armananta Eka Putra
      Lain-lain (dibawah Rp1.000.000.000)                  12.635.396.477             14.659.115.732            Others (below Rp1,000,000,000)
    Sub total                                              78.002.438.917             62.310.259.697                                        Sub total
    Cadangan penurunan nilai                              (23.881.096.018)           (22.124.474.266)                      Allowance for impairment
    Neto                                                   54.121.342.899             40.185.785.430                                              Net

    Pihak Berelasi                                                                                                                Related Parties
      PT MD Now Tech (d.h PT Mox Digital Indonesia)        15.556.008.641             15.556.008.641     PT MD Now Tech (d.h PT Mox Digital Indonesia)
      PT Animale Kuliner Indonesia                          2.867.825.013              1.094.777.682             PT Animale Kuliner Indonesia
      PT MDA JPN Kuningan (Wabisabi)                        2.620.562.525              2.628.495.452         PT MDA JPN Kuningan (Wabisabi)
      PT MDA Ironplate Kuningan                             1.586.554.794              1.484.558.800               PT MDA Ironplate Kuningan
      PT MD Animasi Indonesia                                 240.807.138              1.718.972.857                 PT MD Animasi Indonesia
      PT Visi Kreasi Studio                                    74.498.760                          -                     PT Visi Kreasi Studio
      PT MDA ABS Kuningan (Aged Butchered)                     37.767.156                          -    PT MDA ABS Kuningan (Aged Butchered)
    Sub total                                              22.984.024.027             22.482.813.432                                        Sub total
    Cadangan penurunan nilai                              (17.829.214.975)           (16.909.315.611)                      Allowance for impairment
    Neto                                                    5.154.809.052              5.573.497.821                                             Nett
    Total                                                  59.276.151.951             45.759.283.251                                            Total




                                                                                                                                                    42
Page 47
PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                               PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                          NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                  FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                    as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                   and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                         on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                        (Expressed in Rupiah, unless otherwise stated)

5. PIUTANG USAHA (Lanjutan)                                       5. ACCOUNTS RECEIVABLE (Continued)

   Rincian piutang usaha berdasarkan mata uang adalah                Details of accounts receivable based on currencies
   sebagai berikut:                                                  were as follows:

                                            30 Juni 2026/           31 Desember 2025/
                                            June 30, 2026           December 31, 2025

    Rupiah                                       54.013.095.951            43.782.242.878                                Rupiah
    USD                                           5.263.056.000                         -                                  USD
    SGD                                                       -                 3.420.437                                  SGD
    Total                                        59.276.151.951            43.785.663.315                                 Total

   Rincian umur piutang usaha adalah sebagai berikut:                The aging analysis of accounts receivable were as
                                                                     follows:

                                            30 Juni 2026/            31 Desember 2025/
                                            June 30, 2026            December 31, 2025
    Belum jatuh tempo ataupun
      mengalami penurunan nilai                  43.148.717.816             28.978.956.675         Neither past due nor impaired
    Telah jatuh tempo namun tidak                                                                               Past due but not
      mengalami penurunan nilai:                                                                                      impaired:
      1 - 30 hari                                 3.831.168.473              1.896.197.628                         1 - 30 days
      31 - 60 hari                                5.297.353.231              2.908.075.132                        31 - 60 days
      61 - 90 hari                                  441.005.936              2.140.241.179                        61 - 90 days
      91 - 120 hari                                 343.050.939              2.833.214.737                       91 - 120 days
      lebih dari 121 hari                        47.925.166.549             44.062.767.842                      over 121 days
    Total                                       100.986.462.944             82.819.453.193                                 Total
    Dikurangi penyisihan kerugian                                                                             Less allowance for
      atas penurunan nilai                       41.710.310.993             39.033.789.877                  impairment losses
    Total                                        59.276.151.951             43.785.663.315                                Total


   Mutasi untuk cadangan penurunan nilai piutang usaha               allowance for impairment of trade receivables are as
   adalah sebagai berikut:                                           follows:

                                            30 Juni 2026/            31 Desember 2025/
                                            June 30, 2026            December 31, 2025

    Saldo awal tahun                           39.033.789.877             30.394.889.897                      Beginning balance
    Cadangan penurunan nilai                                                                         Allowance for Impairment of
      piutang usaha (Catatan 31)                2.676.521.116              8.638.899.980         account receivables (Note 31)
    Total                                      41.710.310.993             39.033.789.877                                  Total


   Manajemen Grup berkeyakinan bahwa jumlah                          The Group's management believes that the amount of
   penyisihan atas kerugian penurunan nilai piutang usaha            the allowance for impairment losses on trade
   cukup untuk menutup kemungkinan kerugian dari tidak               receivables is adequate to cover possible losses on
   tertagihnya piutang.                                              uncollectible accounts.




                                                                                                                              43
Page 48
PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                           PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                      NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                              FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                               and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                     on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                    (Expressed in Rupiah, unless otherwise stated)

6. PIUTANG LAIN-LAIN                                          6. OTHERS RECEIVABLE

   Akun ini terdiri dari:                                        This account consists of:
                                         30 Juni 2026/         31 Desember 2025/
                                         June 30, 2026         December 31, 2025
    Aset Lancar                                                                                          Current Assets
    Pihak Ketiga                                                                                           Third Parties
      Karyawan                                 339.350.799            310.374.954                          Employees
      Lain-lain                                 41.825.417             90.000.000                              Others
    Total                                      381.176.216            400.374.954                                  Total


7. PERPAJAKAN                                                 7. TAXATION

   a. Pajak Dibayar Dimuka                                       a. Prepaid Taxes

                                           30 Juni 2026/        31 Desember 2025/
                                           June 30, 2026        December 31, 2025
       Pajak Penghasilan                                                                                  Income taxes
         Pasal 21                                44.243.800              55.593.584                         Article 21
         Pasal 23                             2.353.456.258                       -                         Article 23
         Pasal 24                             1.102.665.321                       -                         Article 24
       Pajak Pertambahan Nilai               34.857.605.913          34.887.583.771                    Value Added Tax
       Total                                 38.357.971.292          34.943.177.355                                 Total


        Pajak Penghasilan dibayar dimuka pasal 21                Article 21 prepaid income tax is an excess tax payment
        merupakan kelebihan pembayaran pajak yang                that will be compensated in the following fiscal year.
        akan dikompensasi pada tahun fiscal berikutnya

   b. Utang Pajak                                                b. Tax Payable

                                           30 Juni 2026/        31 Desember 2025/
                                           June 30, 2026        December 31, 2025
       Pajak Penghasilan                                                                                     Income taxes
         Pasal 29                            15.971.770.162           4.029.214.150                            Article 29
         Pasal 21                             1.276.009.520             673.457.540                            Article 21
         Pasal 23                               695.528.858           3.384.782.628                            Article 23
         Pasal 26                                73.790.698             254.997.410                            Article 26
         Pasal 4 ayat (2)                        51.020.657             360.192.451             Article 4 paragraph (2)
         PP 23/2018                               6.695.657              23.523.027                         PP 23/2018
         Denda dan tagihan pajak                122.443.462               5.224.469                  Fines and tax bills
       Total                                 18.197.259.014           8.731.391.675                                Total




                                                                                                                        44
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                               PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                          NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                  FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                    as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                   and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                         on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                        (Expressed in Rupiah, unless otherwise stated)

7. PERPAJAKAN (Lanjutan)                                         7. TAXATION (Continued)

   c. Pajak Penghasilan Kini                                         c. Current Income Tax

                                                       30 Juni / June, 30
                                                2026                         2025
       Perusahaan                              15.667.120.260               13.435.205.960                        The Company
       Entitas Anak                               304.649.902                            -                         Subsidiaries
       Total                                   15.971.770.162               13.435.205.960                                 Total


      Rekonsiliasi antara laba (rugi) sebelum pajak                         Reconciliation between income before income tax,
      penghasilan, seperti yang disajikan dalam laba rugi                   as shown in profit (loss) and the taxable income of
      dan taksiran penghasilan kena pajak Perusahaan                        the Company for the six-month periods ended
      untuk periode enam bulan yang berakhir pada                           June 30, 2026 and 2025 were as follows:
      tanggal-tanggal 30 Juni 2026 dan 2025 adalah
      sebagai berikut:

                                                       30 Juni / June, 30
                                                2026                         2025
       Laba sebelum pajak                                                                                Profit before income tax
         penghasilan menurut laporan                                                                 according to consolidated
         laba rugi dan penghasilan                                                             statements of profit or loss and
         komprehensif lain konsolidasian       19.035.780.015           (68.915.006.341)         other comprehensive income
       Rugi sebelum                                                                                                   Loss before
         pajak penghasilan entitas anak        53.997.688.034               93.846.181.348          income tax of subsidiaries
       Laba sebelum pajak                                                                               Profit before income tax
         penghasilan - Perusahaan              73.033.468.049               24.931.175.007                    of the Company
       Beda temporer                            1.984.362.610                4.592.548.722                Temporary difference
       Beda tetap                              (3.803.647.048)              31.545.394.584                Permanent difference
       Penyesuaian fiskal                      (1.819.284.439)              36.137.943.306                   Fiscal adjustments
       Penghasilan kena pajak -                                                                               Taxable Income of
         Perusahaan                            71.214.183.000               61.069.118.000                      the Company
       Beban pajak penghasilan kini -                                                             Current income tax expense
         Perusahaan                            15.667.120.260               13.435.205.960                  of the Company
       Beban pajak penghasilan kini                                                                 Current income tax expense
         entitas anak                            304.649.902                             -                    of the Company
       Beban pajak penghasilan kini                                                                 Current income tax expense
         konsolidasi                           15.971.770.162               13.435.205.960                    of the Company




                                                                                                                                    45
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                                        PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                                   NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                           FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                             as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                            and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                                  on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                 (Expressed in Rupiah, unless otherwise stated)

7. PERPAJAKAN (Lanjutan)                                                  7. TAXATION (Continued)

   d. Aset (Liabilitas) Pajak Tangguhan                                      d. Deferred Tax Assets (Liabilities)

                                                                             Dikreditkan ke
                                                                              Penghasilan
                                                      Dikreditkan ke       Komprehensif Lain/
                                                        Laba Rugi/          Credited to Other
                                  1 Januari 2026/     Expenses to           Comprehensive             30 Juni 2026/
                                 January 1, 2026      Profit or Loss            Iincome               June 30, 2026
       Perusahaan                                                                                                                               Company
         Imbalan kerja               1.080.868.111        (130.503.054)             (5.205.700)            945.159.357                 Employee benefits
         Piutang                     3.955.854.024        (345.656.720)                      -           3.610.197.304                      Receivables
       Aset (Liabilitas) Pajak                                                                                           Deferred Tax Assets (Liabilities) -
         Tangguhan - Neto            5.036.722.135        (476.159.774)             (5.205.700)          4.555.356.661                               Net
       Entitas anak                                                                                                                          Subsidiaries
         Piutang                     4.631.579.749        (372.141.524)                         -        4.259.438.225                      Receivables
         Kerugian fiskal           111.148.813.688                   -                          -      111.148.813.688                     Fiscal losses
         Imbalan kerja               3.816.689.679        (448.178.271)                         -        3.368.511.407                 Employee benefits
                                   119.597.083.116        (820.319.795)                         -      118.776.763.320
                                                        (1.296.479.570)             (5.205.700)        123.332.119.981


                                                                             Dikreditkan ke
                                                                              Penghasilan
                                                      Dikreditkan ke       Komprehensif Lain/
                                                        Laba Rugi/          Credited to Other
                                  1 Januari 2025/     Expenses to           Comprehensive           31 Desember 2025/
                                 January 1, 2025      Profit or Loss            Iincome             December 31, 2025
       Perusahaan                                                                                                                               Company
         Imbalan kerja                 717.016.908         334.231.430              29.619.773           1.080.868.111                 Employee benefits
         Aset film                 (25.528.485.482)     25.528.485.482                       -                       -                        Film Aset
         Piutang                     2.053.616.421       1.902.237.603                       -           3.955.854.024                      Receivables
       Aset (Liabilitas) Pajak                                                                                           Deferred Tax Assets (Liabilities) -
         Tangguhan - Neto          (22.757.852.153)     27.764.954.515              29.619.773           5.036.722.135                               Net
       Entitas anak                                                                                                                          Subsidiaries
         Piutang                     4.633.318.659          (1.738.910)                      -           4.631.579.749                      Receivables
         Kerugian fiskal           117.581.067.479      (6.432.253.791)                      -         111.148.813.688                     Fiscal losses
         Imbalan kerja               6.030.140.945      (2.199.448.593)            (14.002.673)          3.816.689.679                 Employee benefits
                                   128.244.527.083      (8.633.441.294)            (14.002.673)        119.597.083.116
                                                        19.131.513.221              15.617.100         124.633.805.251



      Manajemen berkeyakinan bahwa laba kena pajak                                The Company management believed that future
      masa depan akan tersedia untuk memulihkan aset                              taxable income will be available to recover deferred
      pajak tangguhan.                                                            tax assets.

   e. Pemeriksaan Pajak                                                      e. Tax Assessments

      Pada tahun 2025 otoritas pajak melakukan                                    In 2025, the tax authorities will conduct a tax audit of
      pemeriksaan pajak Perseroan untuk tahun pajak                               the Company for the 2021 and 2022 tax years.
      2021 dan 2022. Atas pemeriksaan tersebut otoritas                           Upon this inspection, the tax authority issues Tax
      pajak menerbitkan Surat Ketetapan Pajak (SKP) dan                           Determination Letters (SKP) and Tax Bill Letters
      Surat Tagihan Pajak (STP) sebagai berikut :                                 (STP) as follows:




                                                                                                                                                          46
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                                 PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                            NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                    FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                      as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                     and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                           on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                          (Expressed in Rupiah, unless otherwise stated)

7. PERPAJAKAN (Lanjutan)                                            7. TAXATION (Continued)

      Daftar SKP dan STP tahun pajak 2021                                              List of SKP and STP for the 2021 tax year

             Tanggal Terbit/      Nomor Surat/       Jenis Surat/       Jenis Pajak/        Masa Pajak/             Nilai/
       No.   Issuance Date       Letter Number       Letter Type         Tax Type           Tax Period             Amount
        1      09/12/2025      00019/206/21/054/25       SKP            PPH Badan          Jan - Des 2021          10.053.498.737
        2      09/12/2025      00105/207/21/054/25       SKP               PPN               April - 2021              11.065.553
        3      09/12/2025      00106/207/21/054/25       SKP               PPN             Oktober - 2021             175.875.000
        4      09/12/2025      00107/207/21/054/25       SKP               PPN            November - 2021              83.125.000
        5      09/12/2025      00108/207/21/054/25       SKP               PPN            Desember - 2021              91.612.500
        6      09/12/2025      00037/106/21/054/25       STP            PPH Badan          Jan - Des 2021               1.000.000
        7      09/12/2025      00132/107/21/054/25       STP               PPN               April - 2021                  810.000
        8      09/12/2025      00133/107/21/054/25       STP               PPN             Oktober - 2021              10.050.000
        9      09/12/2025      00134/107/21/054/25       STP               PPN            November - 2021               4.750.000
       10      09/12/2025      00135/107/21/054/25       STP               PPN            Desember - 2021               5.235.000
                                                                                              Jumlah               10.437.021.790


      Daftar SKP dan STP tahun pajak 2022                                              List of SKP and STP for the 2022 tax year

             Tanggal Terbit/      Nomor Surat/       Jenis Surat/       Jenis Pajak/        Masa Pajak/             Nilai/
       No.   Issuance Date       Letter Number       Letter Type         Tax Type           Tax Period             Amount
        1      09/12/2025      00015/206/22/054/25       SKP            PPH Badan          Jan - Des 2022           3.364.081.873
        2      09/12/2025      00054/207/22/054/25       SKP               PPN             Januari - 2022             488.980.157
        3      09/12/2025      00055/207/22/054/25       SKP               PPN             Februari - 2022            166.594.493
        4      09/12/2025      00056/207/22/054/25       SKP               PPN              Maret - 2022              484.486.752
        5      09/12/2025      00057/207/22/054/25       SKP               PPN               April - 2022           6.138.547.414
        6      09/12/2025      00058/207/22/054/25       SKP               PPN               Mei - 2022               539.506.998
        7      09/12/2025      00059/207/22/054/25       SKP               PPN               Juni - 2022            1.400.477.119
        8      09/12/2025      00060/207/22/054/25       SKP               PPN               Juli - 2022              762.697.151
        9      09/12/2025      00061/207/22/054/25       SKP               PPN             Agustus - 2022             583.813.216
       10      09/12/2025      00062/207/22/054/25       SKP               PPN            September - 2022            475.819.932
       11      09/12/2025      00063/207/22/054/25       SKP               PPN             Oktober - 2022             254.304.994
       12      09/12/2025      00064/207/22/054/25       SKP               PPN            November - 2022             385.706.479
       13      09/12/2025      00056/207/22/054/25       SKP               PPN            Desember - 2022             480.833.002
       14      09/12/2025      00111/107/22/054/25       STP               PPN              Maret - 2022                   750.000
                                                                                              Jumlah               15.526.599.580


      Perseroan telah melunasi seluruh SKP dan STP                         The Company has paid off all SKP and STP as a
      hasil pemeriksaan pajak tahun 2021 dan 2022                          result of the 2021 and 2022 tax audits on December
      tersebut pada tanggal 12 Desember 2025.                              12, 2025.

   f. Administrasi                                                     f. Administration

      Undang-undang Perpajakan Indonesia mengatur                          Under the taxation laws of Indonesia, companies
      bahwa masing-masing perusahaan menghitung,                           submit tax returns on the basis of self-assessment.
      menetapkan dan membayar sendiri besarnya jumlah
      pajak yang terutang.




                                                                                                                                47
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                                               PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                                          NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                                  FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                                    as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                                   and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                                         on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                        (Expressed in Rupiah, unless otherwise stated)

8. UANG MUKA                                                                    8. ADVANCES

   Akun ini terdiri dari:                                                           This account consists of:

                                                         30 Juni 2026/           31 Desember 2025/
                                                         June 30, 2026           December 31, 2025
    Sutradara dan produksi film                            29.573.925.268               21.913.729.466                  Film director and productions
    Alat dan properti art shooting                          1.670.204.772                2.902.032.677                  Shooting tool and property art
    Artis dan crew                                          1.288.064.630                1.355.064.630                                 Artist and crew
    Penulis                                                 1.322.227.238                1.279.477.238                                          Author
    Program Televisi                                           16.060.949                  473.671.388                            Television program
    Security deposit voucher                                  800.000.000                  800.000.000                      Security deposit voucher
    Operasional                                               622.058.392                  462.661.850                            Building operations
    Corporate                                                 233.664.306                  830.781.082                                      Corporate
    Lain-lain                                                 987.145.365                  385.744.896                                          Others
    Total                                                  36.513.350.920               30.403.163.227                                             Total


9. PERSEDIAAN                                                                   9. INVENTORIES

                                                                                  Dibebankan pada
                                          Saldo                                    tahun berjalan           Saldo
                                     1 Januari 2026/                                (Catatan 29)/       30 Juni 2026/
                                      Balance as of          Penambahan/         Charged in current     Balance as of
                                     January 1, 2026          Additional           year (Note 29)       June 30, 2026
    Materi program                                                                                                                        Program materials
      Produksi in-house               380.868.111.544          4.744.043.045          8.670.608.911      376.941.545.678             In-house production
      Program yang diakuisisi          26.579.111.493         12.498.787.562         11.291.511.801       27.786.387.254               Acquired program
    Jumlah materi program             407.447.223.037         17.242.830.607         19.962.120.712      404.727.932.932            Total program materials
    Non-broadcast                       58.827.584.965         2.717.432.009         13.129.987.834       48.415.029.140                    Non-broadcast
    Lain-lain                              430.189.489           355.180.861            369.419.258          415.951.092                           Others
    Total                             466.704.997.491         20.315.443.477         33.461.527.804      453.558.913.164                             Total


                                                                                  Dibebankan pada
                                          Saldo                                    tahun berjalan           Saldo
                                     1 Januari 2025/                                (Catatan 29)/     31 Desember 2025/
                                      Balance as of          Penambahan/         Charged in current     Balance as of
                                     January 1, 2025          Additional           year (Note 29)     December 31, 2025
    Materi program                                                                                                                        Program materials
      Produksi in-house               412.269.815.136         18.677.084.771         50.078.788.363      380.868.111.544             In-house production
      Berita                            5.303.270.441                     (0)         5.303.270.441                    -                           News
      Program yang diakuisisi           2.481.802.280         26.213.909.051          2.116.599.838       26.579.111.493               Acquired program
    Jumlah materi program             420.054.887.858         44.890.993.822         57.498.658.642      407.447.223.037            Total program materials
    Non-broadcast                       84.478.339.607         3.335.633.987         28.986.388.629       58.827.584.965                    Non-broadcast
    Lain-lain                              537.627.790         1.289.077.649          1.396.515.950          430.189.489                           Others
    Total                             505.070.855.255         49.515.705.458         87.881.563.221      466.704.997.491                             Total




                                                                                                                                                         48
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                          PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                     NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                             FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                               as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                              and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                    on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                   (Expressed in Rupiah, unless otherwise stated)

9. PERSEDIAAN (Lanjutan)                                     9. INVENTORIES (Continued)

   Persediaan tidak diasuransikan terhadap risiko               Inventories were not insured against risk of loss from
   kerugian atas kebakaran atau pencurian karena nilai          fire or theft because the fair value of inventories could
   wajar persediaan tidak dapat ditentukan untuk tujuan         not be established for the purpose of insurance. The
   asuransi. Grup melakukan back-up berkala di tempat           Group performs periodic back-up in separate places to
   terpisah untuk mencegah risiko tersebut.                     mitigate such risks.

   Pada tanggal 30 Juni 2026 dan 31 Desember 2025,              As at June 30, 2026 and December 31, 2025 and,
   manajemen berpendapat bahwa tidak ada indikasi               management believes that there was no indication of
   penurunan nilai pada persediaan.                             decline in value of inventories.

10. BIAYA DIBAYAR DIMUKA                                     10. PREPAID EXPENSES

   Akun ini terdiri dari:                                       This account consists of:

                                          30 Juni 2026/       31 Desember 2025/
                                          June 30, 2026       December 31, 2025
    Sewa                                     3.771.053.015          3.143.053.496                                  Rent
    Asuransi                                 1.968.104.196          1.671.869.752                             Insurance
    Lisensi                                    136.934.326             10.037.500                               License
    Lain-lain                                2.060.739.257          1.115.866.818                                Others
    Total                                    7.936.830.794          5.940.827.566                                 Total


11. KAS DI BANK YANG DIBATASI PENGGUNAANNYA                  11. RESTRECTED CASH IN BANK

   Akun ini merupakan                                           This account represent:

                                          30 Juni 2026/       31 Desember 2025/
                                          June 30, 2026       December 31, 2025
    Rupiah                                                                                                       Rupiah
      Rekening Giro Bank BRI               395.059.068.125        393.705.214.838            BRI Bank Current Account
    Total                                  395.059.068.125        393.705.214.838                                  Total


   Kas yang dibatasi penggunaannya merupakan                    Restricted cash represents funds placed as collateral
   penempatan dana sebagai jaminan atas pinjaman bank           for bank loans (Note 20).
   (Catatan 20).




                                                                                                                        49
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                                                  PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                                             NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                                     FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                                       as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                                      and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                                            on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                           (Expressed in Rupiah, unless otherwise stated)

12. ASET TETAP                                                                     12. FIXED ASSETS

   Mutasi aset tetap adalah sebagai berikut:                                          Movements of fixed assets were as follows:
                                          Saldo                                                                    Saldo
                                      1 Januari 2026/                                                          30 Juni 2026/
                                         Balances              Penambahan/           Pengurangan/                Balances
                                      January 1, 2026            Addition             Disposals                June 30, 2026
    Biaya Perolehan                                                                                                                                   Acquisition Cost
    Kepemilikan langsung                                                                                                                               Direct ownership
      Tanah                                  602.072.805.999                   -                    -                602.072.805.999                              Land
      Bangunan                               105.890.370.452                   -                    -                105.890.370.452                          Building
      Kendaraan                               41.377.268.668                              438.000.000                 40.939.268.668                           Vehicle
      Perabotan dan                                                                                                                                 Office fixture and
        perlengkapan kantor                   87.595.457.102        910.297.273            63.754.684                 88.441.999.691                     equipment
      Peralatan studio dan shooting           34.960.050.353         19.000.000                                       34.979.050.353   Studio and shooting equipment
      Perlatan penyiaran                      94.855.469.677        446.673.650           143.605.000                 95.158.538.327          Broadcasting equipment
      Mesin                                   22.651.491.475                  -                     -                 22.651.491.475                      Machineries
    Total Biaya Perolehan                   989.402.913.727       1.375.970.923           645.359.684    -           990.133.524.966              Total Acquisition Cost

    Akumulasi Penyusutan                                                                                                                    Accumulated Depreciation
    Kepemilikan langsung                                                                                                                               Direct ownership
      Bangunan                                27.494.302.909      1.768.299.664                     -                 29.262.602.572                          Building
      Kendaraan                               19.345.901.301      2.040.119.391            63.875.000                 21.322.145.691                           Vehicle
      Perabotan dan                                                                                                                                 Office fixture and
        perlengkapan kantor                   25.910.406.802      4.906.660.489            51.465.601                 30.765.601.690                     equipment
      Peralatan studio dan shooting           24.916.534.326      2.244.010.374                                       27.160.544.699   Studio and shooting equipment
      Peralatan penyiaran                        716.158.087      1.356.261.247           143.605.000                  1.928.814.334          Broadcasting equipment
      Mesin                                   21.786.339.909        498.217.679                     -                 22.284.557.588                      Machineries
    Total Akumulasi Penyusutan              120.169.643.334      12.813.568.843           258.945.601                132.724.266.575    Total Accumulated Depreciation
    Jumlah Tercatat                         869.233.270.393                                                          857.409.258.391                 Carrying Amount


                                          Saldo                                                                    Saldo
                                      1 Januari 2025/                                                        31 Desember 2025/
                                         Balances              Penambahan/           Pengurangan/                Balances
                                      January 1, 2025            Addition             Disposals              December 31, 2025
    Biaya Perolehan                                                                                                                                   Acquisition Cost
    Kepemilikan langsung                                                                                                                               Direct ownership
      Tanah                                  605.425.289.944         63.063.555          3.415.547.500               602.072.805.999                              Land
      Bangunan                               116.636.006.184      1.414.833.332         12.160.469.064               105.890.370.452                          Building
      Kendaraan                               34.331.021.237     10.492.293.069          3.446.045.638                41.377.268.668                           Vehicle
      Perabotan dan                                                                                                                                 Office fixture and
        perlengkapan kantor                   75.502.979.379     15.199.167.890          3.106.690.167                87.595.457.102                     equipment
      Peralatan studio dan shooting           27.667.079.477      7.292.970.876                      -                34.960.050.353   Studio and shooting equipment
      Perlatan penyiaran                     167.888.714.346      3.518.257.500         76.551.502.169                94.855.469.677          Broadcasting equipment
      Mesin                                   22.442.491.475        209.000.000                      -                22.651.491.475                      Machineries
    Total Biaya Perolehan                  1.049.893.582.042     38.189.586.223         98.680.254.538   -           989.402.913.727              Total Acquisition Cost

    Akumulasi Penyusutan                                                                                                                    Accumulated Depreciation
    Kepemilikan langsung                                                                                                                               Direct ownership
      Bangunan                                22.226.536.349       5.896.835.308           629.068.748                27.494.302.909                          Building
      Kendaraan                               17.410.502.940       4.732.521.546         2.797.123.185                19.345.901.301                           Vehicle
      Perabotan dan                                                                                                                                 Office fixture and
        perlengkapan kantor                   16.017.957.221      11.093.704.797         1.201.255.216                25.910.406.802                     equipment
      Peralatan studio dan shooting           18.806.150.032       6.110.384.294                     -                24.916.534.326   Studio and shooting equipment
      Peralatan penyiaran                     27.264.929.958       2.106.339.819        28.655.111.690                   716.158.087          Broadcasting equipment
      Mesin                                   18.961.202.053       2.825.137.856                     -                21.786.339.909                      Machineries
      Renovasi                                             -                   -                     -                             -                      Renovation
    Total Akumulasi Penyusutan               120.687.278.553      32.764.923.619        33.282.558.839               120.169.643.334     Total Accumulated Depreciation
    Jumlah Tercatat                          929.206.303.489                                                         869.233.270.393                  Carrying Amount




                                                                                                                                                                     50
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                             PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                        NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                  as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                 and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                       on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                      (Expressed in Rupiah, unless otherwise stated)

12. ASET TETAP (Lanjutan))                                      12. FIXED ASSETS (Continued)

   Beban penyusutan untuk periode yang berakhir pada               Depreciation expense for the period ended June 30,
   tanggal 30 Juni 2026 dibebankan ke beban usaha                  2026 is charged to operating expenses of
   sebesar Rp12.779.866.784 dan ke beban materi                    Rp12,779,866,784 and to program material expenses of
   program sebesar Rp.33.702.058. Beban penyusutan                 Rp.33,702,058.       Depreciation    expenses     of
   sebesar Rp32.764.923.619 dibebankan ke beban                    Rp32,764,923,619 are charged to operating expenses
   usaha untuk periode yang berakhir pada tanggal 31               for the period ending December 31, 2025.
   Desember 2025.

   Rincian penjualan aset tetap adalah sebagai berikut:            The details of the sale of fixed assets were as follows:

                                             30 Juni 2026/       31 Desember 2025/
                                             June 30, 2026       December 31, 2025
    Jumlah tercatat                               386.414.083         16.094.196.078                        Carrying amount
    Hasil penjualan neto                          447.691.448         11.622.398.199                           Net proceeds
    Keuntungan (Kerugian) Penjualan                                                                   Gain (Loss) on Sale of
      Aset Tetap                                   61.277.365         (4.471.797.879)                        Fixed Assets


   Pada tanggal 30 Juni 2026 dan 31 Desember 2025,                 As of June 30, 2026 and December 31, 2025, the
   aset tetap dan properti investasi Grup berupa bangunan          Group's fixed assets and investment properties in the
   dan aset tetap kendaraan dan mesin telah                        form of buildings and fixed assets of vehicles and
   diasuransikan kepada beberapa perusahaan asuransi               machineries were insured by several insurance
   yaitu PT Asuransi Candi Utama, PT Asuransi Multi                companies, namely PT Asuransi Candi Utama, PT
   Artha Guna Tbk, PT Malaca Trust Wuwungan                        Asuransi Multi Artha Guna Tbk, PT Malaca Trust
   Insurance, PT Asuransi Harta Aman Pratama, PT                   Wuwungan Insurance, PT Asuransi Harta Aman
   Asuransi FPG Indonesia, PT Asuransi Etiqa                       Pratama, PT Asuransi FPG Indonesia, PT Asuransi
   Internasional dengan total nilai pertanggungan sebesar          Etiqa International, with the total sum insured
   Rp738.976.500.000          dan       Rp763.247.000.000          Rp738,976,500,000       and      Rp763,247,000,000.
   Manajemen berkeyakinan bahwa nilai pertanggungan                Management believes that the insurance coverage is
   tersebut adalah cukup untuk menutup kemungkinan                 adequate to cover possible losses from the risk of
   kerugian atas resiko kerusakan atas aset-aset tersebut.         damage to these assets.

   Berdasarkan evaluasi manajemen, tidak terdapat                  Based on management evaluation, there are no events
   kejadian-kejadian atau perubahan keadaan yang                   or changes in circumstances that indicate an
   mengindikasikan adanya penurunan nilai aset tetap.              impairment in the value of fixed assets.




                                                                                                                              51
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                                                           PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                                                      NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                                              FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                                                as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                                               and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                                                     on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                                    (Expressed in Rupiah, unless otherwise stated)

13. PROPERTI INVESTASI                                                                13. INVESTMENT PROPERTY

   Mutasi properti investasi adalah sebagai berikut:                                           Movements of investment property were as follows:

                                           Saldo                                                                                Saldo
                                       1 Januari 2026/                                                                      30 Juni 2026/
                                          Balances               Penambahan/              Pengurangan/                        Balances
                                       January 1, 2026             Addition                Disposals                        June 30, 2026
    Biaya Perolehan                                                                                                                                             Acquisition Cost
      Bangunan                            122.601.154.551                         -                             -            122.601.154.551                          Building
    Akumulasi Penyusutan                                                                                                                             Accumulated Depreciation
      Bangunan                             48.018.785.532            3.065.028.864                              -             51.083.814.396                       Building
    Jumlah Tercatat                        74.582.369.019                                                                     71.517.340.155                   Carrying Amount


                                           Saldo                                                                              Saldo
                                       1 Januari 2025/                                                                  31 Desember 2025/
                                          Balances                Penambahan/                 Pengurangan/                  Balances
                                       January 1, 2025              Addition                   Disposals                December 31, 2025
    Biaya Perolehan                                                                                                                                              Acquisition Cost
      Bangunan                            122.601.154.551                         -                             -            122.601.154.551                           Building
    Akumulasi Penyusutan                                                                                                                             Accumulated Depreciation
      Bangunan                             41.888.727.804             6.130.057.728                             -             48.018.785.532                       Building
    Jumlah Tercatat                        80.712.426.747                                                                     74.582.369.019                    Carrying Amount


14. ASET FILM                                                                         14. FILM ASSETS

                                                            30 Juni 2026/                 31 Desember 2025/
                                                            June 30, 2026                 December 31, 2025
    Film                                                      380.772.795.601                      385.796.545.508                                                                Film


   Mutasi aset film adalah sebagai berikut:                                                    Movement of film assets is as follows:
                                       Saldo                                                                                          Saldo
                                   1 Januari 2026/                                                                                30 Juni 2026/
                                      Balances              Penambahan/        Pengurangan/           Reklasifikasi/                Balances
                                   January 1, 2026            Addition          Disposals            Reclassification             June 30, 2026
    Biaya Perolehan                                                                                                                                                  Acquisition Costs
    Produksi langsung                                                                                                                                                 Direct production
      Film                             1.202.526.592.561                   -                   -        122.185.452.336              1.324.712.044.897                           Film
      Film dalam penyelesaian            205.590.860.781      76.190.868.468                   -       (122.185.452.336)               159.596.276.913               Film in progress
    Produksi tidak langsung -                                                                                                                                       Indirect production -
      Kerja sama operasi                                                                                                                                               Joint operation
      Film                                11.559.147.236                   -                   -                        -               11.559.147.236                            Film
    Total Biaya Perolehan              1.419.676.600.578      76.190.868.468                   -                        -            1.495.867.469.046           Total Acquisition Costs

    Akumulasi Amortisasi                                                                                                                                    Accumulated Amortization
    Produksi film langsung             1.026.539.586.320      80.762.617.109                   -                        -            1.107.302.203.430            Direct film production
    Produksi film tidak langsung           7.340.468.750         452.001.266                   -                        -                7.792.470.016          Indirect film production
    Total Akumulasi Amortisasi         1.033.880.055.070      81.214.618.376                   -                        -            1.115.094.673.446   Total Accumulated Amortization
    Jumlah Tercatat                      385.796.545.508                                                                               380.772.795.601               Carrying Amount




                                                                                                                                                                                      52
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                                                          PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                                                     NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                                             FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                                               as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                                              and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                                                    on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                                   (Expressed in Rupiah, unless otherwise stated)

14. ASET FILM (Lanjutan)                                                             14. FILM ASSETS (Continued)
                                       Saldo                                                                                     Saldo
                                   1 Januari 2025/                                                                         31 Desember 2025/
                                      Balances             Penambahan/        Pengurangan/           Reklasifikasi/            Balances
                                   January 1, 2025           Addition          Disposals            Reclassification       December 31, 2025
    Biaya Perolehan                                                                                                                                             Acquisition Costs
    Produksi langsung                                                                                                                                            Direct production
      Film                             1.053.722.388.560                  -                  -         148.804.204.001          1.202.526.592.561                           Film
      Film dalam penyelesaian            137.732.089.800    216.662.974.983                  -        (148.804.204.001)           205.590.860.781               Film in progress
    Produksi tidak langsung -                                                                                                                                  Indirect production -
      Kerja sama operasi                                                                                                                                          Joint operation
      Film                                11.559.147.236                  -                  -                         -           11.559.147.236                            Film
    Total Biaya Perolehan              1.203.013.625.596    216.662.974.983                  -                         -        1.419.676.600.578           Total Acquisition Costs

    Akumulasi Amortisasi                                                                                                                               Accumulated Amortization
    Produksi film langsung               847.270.141.444    179.269.444.877                  -                         -        1.026.539.586.320            Direct film production
    Produksi film tidak langsung           6.436.466.217        904.002.533                  -                         -            7.340.468.750          Indirect film production
    Total Akumulasi Amortisasi           853.706.607.661    180.173.447.409                  -                         -        1.033.880.055.070   Total Accumulated Amortization
    Jumlah Tercatat                      349.307.017.935                                                                          385.796.545.508               Carrying Amount



   Manajemen berpendapat bahwa nilai neto aset film                                          Management believes that the net value of film assets
   dapat direalisasi sepenuhnya, sehingga tidak                                              can be fully realized, so no allowance for impairment in
   diperlukan penyisihan penurunan nilai aset film pada                                      value of film assets is required on June 30, 2026 and
   tanggal 30 Juni 2026 and 31 Desember 2025.                                                December 31 2025.

   Amortisasi aset film untuk tahun yang berakhir                                            Amortization of film assets for the years ended of June
   pada tanggal-tanggal 30 Juni 2026 dan 31 Desember                                         30, 2026 and December 31, 2025 amounted to
   2025 masing-masing sebesar Rp80.712.292.537 dan                                           Rp80,712,292,537 and Rp180,173,447,409 were
   Rp180.173.447.409 dibebankan ke beban pokok                                               charged to cost of sales (Note 29).
   penjualan (Catatan 29).

15. ASET TAK BERWUJUD                                                                15. INTAGIBLE ASSET

                                                           30 Juni 2026/               31 Desember 2025/
                                                           June 30, 2026               December 31, 2025
    Aset tak berwujud dari                                                                                                             Intangible assets from
    kombinasi bisnis                                                                                                                 business combinations
      PT MDTV Media Technologies Tbk                         914.658.610.803                     914.658.610.803           PT MDTV Media Technologies Tbk
      PT Net Mediatama Televisi                               41.728.938.844                      41.728.938.844                  PT Net Mediatama Televisi
      PT Alam Bali Semesta Televisi                           27.568.898.810                      27.568.898.810              PT Alam Bali Semesta Televisi
      PT Semenanjung Televisi Batam                           11.851.442.451                      11.851.442.451             PT Semenanjung Televisi Batam
      PT Televisi Anak Surabaya                               11.007.140.060                      11.007.140.060                  PT Televisi Anak Surabaya
      PT Favorit Mitra Media Televisi                          9.357.755.165                       9.357.755.165              PT Favorit Mitra Media Televisi
      PT Tiara Lestari Televisi                                7.017.711.624                       7.017.711.624                    PT Tiara Lestari Televisi
      PT Borneo Global Media                                   6.729.742.718                       6.729.742.718                    PT Borneo Global Media
      PT Televisi Anak Medan                                   5.330.278.915                       5.330.278.915                    PT Televisi Anak Medan
      PT Cakrawala Adyswara Media                              5.271.228.759                       5.271.228.759              PT Cakrawala Adyswara Media
      PT Anugrah Media Televisi                                5.206.563.113                       5.206.563.113                  PT Anugrah Media Televisi
      PT Televisi Anak Bandung                                 4.703.292.836                       4.703.292.836                  PT Televisi Anak Bandung




                                                                                                                                                                                 53
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                                          PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                                     NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                             FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                               as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                              and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                                    on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                   (Expressed in Rupiah, unless otherwise stated)

15. ASET TAK BERWUJUD (Lanjutan)                                            15. INTAGIBLE ASSET (Continued)

                                                     30 Juni 2026/           31 Desember 2025/
                                                     June 30, 2026           December 31, 2025
    Aset tak berwujud dari                                                                                               Intangible assets from
    kombinasi bisnis                                                                                                    business combinations
      PT Sentani Televisi                                2.975.478.755             2.975.478.755                        PT Sentani Televisi
      PT Televisi Anak Garut                             2.415.122.320             2.415.122.320                     PT Televisi Anak Garut
      PT Televisi Anak Madiun                            2.050.938.207             2.050.938.207                   PT Televisi Anak Madiun
      PT Televisi Anak Kediri                            1.900.217.833             1.900.217.833                    PT Televisi Anak Kediri
      PT Televisi Top Mimika Damai Abadi                 1.817.397.410             1.817.397.410       PT Televisi Top Mimika Damai Abadi
      PT Televisi Anak Kota Malang                       1.781.407.037             1.781.407.037             PT Televisi Anak Kota Malang
      PT Televisi Anak Jember                            1.409.911.331             1.409.911.331                   PT Televisi Anak Jember
      PT Bahana Commercial                               1.289.743.379             1.289.743.379                    PT Bahana Commercial
      PT White Tiger Studios                                         -               255.355.998                     PT White Tiger Studios
    Subtotal                                         1.066.071.820.370         1.066.327.176.368                                      Subtotal

    Situs web dan aplikasi telepon genggam             15.968.749.991             20.622.165.407                   Website and mobile application
    Total                                            1.082.040.570.361         1.086.949.341.775                                             Total


   Situs Web dan aplikasi telepon genggam.                                     Website and mobile application

                                 1 Januari 2026/          Penambahan/         Pengurangan/         30 Juni 2026/
                                 January 1, 2026           Additions           Deduction           June 30, 2026
    Biaya perolehan:                                                                                                             Acquisition Costs:
      Situs web dan aplikasi                                                                                                    Website and mobile
         telepon genggam            68.585.248.801                                                   68.585.248.801                   application

    Akumulasi amortisasi:                                                                                                  Accumulated amortization:
      Situs web dan aplikasi                                                                                                    Website and mobile
         telepon genggam            47.963.083.395          4.653.415.415                    -       52.616.498.810                   application
    Nilai buku neto                 47.963.083.395                                                   15.968.749.991                 Net book value


                                 1 Januari 2025/         Penambahan/          Pengurangan/       31 Desember 2025/
                                 January 1, 2025          Additions            Deduction         December 31, 2025
    Biaya perolehan:                                                                                                             Acquisition Costs:
      Situs web dan aplikasi                                                                                                    Website and mobile
         telepon genggam            68.585.248.801                                                   68.585.248.801                   application

    Akumulasi amortisasi:                                                                                                  Accumulated amortization:
      Situs web dan aplikasi                                                                                                    Website and mobile
         telepon genggam            38.292.817.575          9.670.265.820                    -       47.963.083.395                   application
    Nilai buku neto                 38.292.817.575                                                   20.622.165.406                 Net book value




                                                                                                                                                     54
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                           PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                      NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                              FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                               and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                     on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                    (Expressed in Rupiah, unless otherwise stated)

15. ASET TAK BERWUJUD (Lanjutan)                             15. INTAGIBLE ASSET (Continued)

   Beban amortisasi sepenuhnya dialokasikan di beban             Amortization expense is fully allocated to general and
   umum dan administrasi (Catatan 30).                           administrative expenses (Note 30).

   Pada tanggal 30 Juni 2026 dan 31 Desember 2025,               As at June 30, 2026 and December 31, 2025,
   manajemen berpendapat bahwa tidak ada kejadian                management believes that there are no events or
   atau perubahan keadaan yang mengindikasikan adanya            changes in circumstances which might indicate an
   penurunan nilai aset tak berwujud.                            impairment in the value of intangible assets.

16. ASET LAIN-LAIN                                           16. OTHER ASSETS

   Akun ini terdiri dari:                                     This account consists of:
                                          30 Juni 2026/      31 Desember 2025/
                                          June 30, 2026      December 31, 2025
    Aset lain-lain                                                                                           Other assets
     Jaminan gas                                53.182.800            53.182.800                           Gas guarantee
     Jaminan sewa                               32.000.000            52.000.000                          Rent guarantee
     Jaminan pembelian                          35.000.000            30.000.000                      Purchase guarantee
     Jaminan lainnya                             4.100.000             4.100.000                        Others guarantee
     Lain-lain                                  20.536.481            25.981.481                                  Others
    Total                                      144.819.281           165.264.281                                     Total

17. UTANG USAHA                                              17. ACCOUNTS PAYABLE

   Akun ini terdiri dari:                                        This account consists of:

                                         30 Juni 2026/        31 Desember 2025/
                                         June 30, 2026        December 31, 2025
    Pihak Ketiga                                                                                             Third Parties
      LPP Televisi Republik Indonesia        4.615.482.120                      -
      ESPN Inc.                              4.391.874.280          4.127.899.247                              ESPN Inc.
      PT Lativi Mediakarya                   2.733.234.262            921.568.656                   PT Lativi Mediakarya
      PT Indika Siar Sarana                  2.589.989.699          2.915.203.298                 PT Indika Siar Sarana
      PT Media Televisi Indonesia            1.853.085.463          3.665.069.782           PT Media Televisi Indonesia
      PT Cakrawala Andalas Televisi          1.595.472.833            953.178.575         PT Cakrawala Andalas Televisi
      PT Nielsen Audience Measurement        1.234.624.742          1.122.555.576     PT Nielsen Audience Measurement
      PT Askara Multi Media                  1.164.545.000                      -                 PT Askara Multi Media
      PT Nusantara Sejahtera Raya Tbk          489.760.001          3.199.115.000      PT Nusantara Sejahtera Raya Tbk
      PT Baraka Film Indonesia                           -          3.082.100.000              PT Baraka Film Indonesia
      CV Kunci Studio                                    -          1.424.346.939                       CV Kunci Studio
      PT Artujuh Kreasi Bersama                          -          1.162.030.612             PT Artujuh Kreasi Bersama
      Lain-lain                                                                                                   Others
        (dibawah Rp1.000.000.000)          35.065.536.857          36.981.469.983            (below Rp1,000,000,000)
    Total                                   55.733.605.257         59.554.537.668                                    Total




                                                                                                                           55
Page 60
PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                            PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                       NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                               FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                 as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                      on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                     (Expressed in Rupiah, unless otherwise stated)

17. UTANG USAHA (Lanjutan)                                     17. ACCOUNTS PAYABLE (Continued)

                                           30 Juni 2026/        31 Desember 2025/
                                           June 30, 2026        December 31, 2025
    Pihak Berelasi                                                                                      Related Parties
      PT MD Animasi Indonesia                  4.347.926.528                        -         PT MD Animasi Indonesia
    Sub total                                  4.347.926.528                        -                           Sub total
    Total                                     60.081.531.785         59.554.537.668                                Total

   Rincian umur utang usaha adalah sebagai berikut:               The aging analysis of accounts payable were as
                                                                  follows:

                                           30 Juni 2026/        31 Desember 2025/
                                           June 30, 2026        December 31, 2025

    Lancar                                     8.011.823.631        20.792.268.182                                Current
    Jatuh Tempo                                                                                             Overdue by:
      1 - 30 hari                              5.121.778.067         1.695.014.285                         1 - 30 days
      31 - 60 hari                             7.902.445.803           933.400.383                       31 - 60 days
      61 - 90 hari                             3.391.957.975         1.024.433.125                       61 - 90 days
      91 - 120 hari                              407.998.224           782.198.988                      91 - 120 days
      lebih dari 121 hari                     35.245.528.085        34.327.222.705                      over 121 days
    Total                                     60.081.531.785        59.554.537.668                                 Total

   Tidak ada jaminan yang diberikan oleh Perseroan atas           There is no guarantee provided by the Company for the
   utang usaha.                                                   accounts payable.

18. BEBAN MASIH HARUS DIBAYAR                                  18. ACCRUED EXPENSES

   Akun ini terdiri dari:                                         This account consists of:
                                           30 Juni 2026/        31 Desember 2025/
                                           June 30, 2026        December 31, 2025
    Pajak                                    22.890.456.035         22.670.882.578                                  Tax
    Biaya operasional                        11.017.145.973          4.338.981.620                    Operational costs
    Biaya penyiaran                           1.673.252.292          4.751.091.400                    Broadcasting fees
    BPJS                                        443.568.664            165.702.714                                BPJS
    Bunga pinjaman bank                         124.814.472            136.180.844                    Bank loan interest
    Utilitas                                     11.922.413             92.102.053                                Utility
    Lain-lain                                    61.609.263             25.860.021                               Others
    Total                                     36.222.769.112        32.180.801.230                                 Total




                                                                                                                        56
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                              PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                         NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                 FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                   as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                  and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                        on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                       (Expressed in Rupiah, unless otherwise stated)

19. UANG MUKA PENJUALAN                                         19. SALES ADVANCE

   Akun ini terdiri dari:                                          This account consists of:

                                             30 Juni 2026/       31 Desember 2025/
                                             June 30, 2026       December 31, 2025
    Image Future Investment (HK)                                                                Image Future Investment (HK)
      Limited                                  29.569.536.000          27.790.992.000                               Limited
    PT Dentsu Inter Admark Media                                                                PT Dentsu Inter Admark Media
      Group Indonesia                           2.355.652.356                      -                        Group Indonesia
    PT Dentsu Isopost Indonesia                   694.750.045                      -              PT Dentsu Isopost Indonesia
    PT Wira Pamungkas Pariwara                    133.734.000            133.734.000             PT Wira Pamungkas Pariwara
    PT Bank Mandiri (Persero) Tbk                           -            417.312.000           PT Bank Mandiri (Persero) Tbk
    PT Totalindo Sukses Komunikatama                        -            108.000.000       PT Totalindo Sukses Komunikatama
    Lain-lain                                     563.244.329            113.495.592                                   Others
    Total                                      33.316.916.730          28.563.533.592                                    Total


   Uang muka penjualan berasal dari kontrak konten/film             Sales advance comes from digital content/film contracts
   digital yang diterima di muka dari pelanggan. Uang               received in advance from customers. This advance
   muka ini mencerminkan kewajiban Perseroan untuk                  reflects the Company's obligation to provide services or
   menyediakan layanan atau produk di masa mendatang                products in the future in accordance with the
   sesuai perjanjian. Realisasi uang muka penjualan                 agreement. The realization of the sales advance is
   dilakukan ketika Perseroan menyerahkan konten/film ke            carried out when the Company submits content/films to
   pelanggan. Selain itu terdapat uang muka dari                    customers. In addition, there is an advance payment
   perjanjian iklan spot tv dengan pelanggan.                       from the spot tv advertising agreement with customers.

20. UTANG BANK                                                  20. BANK LOAN

   Utang bank jangka pendek                                        Short-term bank loan

                                             30 Juni 2026/       31 Desember 2025/
                                             June 30, 2026       December 31, 2025
    PT Bank Rakyat Indonesia (Persero) Tbk    389.220.000.000       389.220.000.000     PT Bank Rakyat Indonesia (Persero) Tbk

   Entitas Anak                                                    Subsidiaries
   MDTV                                                            MDTV

   MDTV Fasilitas kredit yang diperoleh berdasarkan                MDTV The credit facility obtained based on Credit
   Perjanjian Kredit No. B.61/SH-01/12/2024 tanggal 20             Agreement No. B.61/SH-01/12/2024 dated December
   Desember 2024 telah jatuh tempo pada tanggal 20                 20, 2024 has matured on December 20, 2025 and was
   Desember 2025 dan selanjutnya diperbaharui dengan               subsequently renewed with a new Credit Agreement
   Perjanjian Kredit baru melalui Perjanjian Kredit No.            through Credit Agreement No. B.32/SH-01/12/2025
   B.32/SH01/12/2025 tanggal 18 Desember 2025.                     dated December 18, 2025.




                                                                                                                            57
Page 62
PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                           PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                      NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                              FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                               and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                     on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                    (Expressed in Rupiah, unless otherwise stated)

20. UTANG BANK (Lanjutan)                                     20. BANK LOAN (Continued)

   Berdasarkan perjanjian tersebut, MDTV memperoleh              Based on this agreement, MDTV obtained a fully cash
   fasilitas kredit modal kerja fully cash collateral untuk      collateral working capital credit facility for additional
   tambahan modal kerja dari BRI dengan fasilitas kredit         working capital from BRI with a maximum credit facility
   maksimum sebesar Rp49.940.000.000 dan berjangka               of Rp49,940,000,000 and a term of 12 (twelve) months
   waktu 12 (dua belas) bulan sejak jatuh tempo kredit           from the credit maturity date of December 20, 2025 to
   tanggal 20 Desember 2025 sampai dengan 20                     December 20, 2026.
   Desember 2026.

   Fasilitas ini dikenakan bunga sebesar 1,22% per tahun         This facility bears interest at 1.22% per annum and is
   dan tidak dikenakan biaya provisi administrasi. Jaminan       free of administration fee. The collateral for this facility
   atas fasilitas ini berupa rekening Giro BRI sebesar           is in the form of BRI Giro account amounting to
   Rp50.000.000.000 milik Perusahaan sekaligus sebagai           Rp50,000,000,000 owned by the Company as well as
   penjamin atas fasilitas kredit ini.                           the guarantor of this credit facility.

   MMTV                                                          MMTV

   Berdasarkan No. 24/SH-01/11/2025 Perjanjian Kredit            Based on Credit Agreement No. 24/SH-01/ 11/2025
   tanggal 12 November 2025, MMTV memperoleh                     dated November 12, 2025, MMTV obtained a fully cash
   fasilitas kredit modal kerja fully cash collateral untuk      collateral working capital credit facility for additional
   tambahan modal kerja dari BRI dengan fasilitas kredit         working capital from BRI with a maximum credit facility
   maksimum sebesar Rp16.400.000.000 dan berjangka               of Rp16,400,000,000 and a term of 12 (twelve) months
   waktu 12 (dua belas) bulan sejak jatuh tempo kredit           from the credit maturity date of November 12, 2025 to
   tanggal 12 November 2025 sampai dengan 12                     November 12, 2026.
   November 2026.

   Fasilitas ini dikenakan bunga sebesar 1,22% per tahun         This facility bears interest at 1.22% per annum and is
   dan tidak dikenakan biaya provisi administrasi. Jaminan       free of administration fee. The collateral for this facility
   atas fasilitas ini berupa rekening giro BRI sebesar           is in the form of BRI Giro account amounting to
   Rp16.500.000.000 milik Perusahaan sekaligus sebagai           Rp16,500,000,000 owned the Company as well as the
   penjamin atas fasilitas kredit ini.                           guarantor of this credit facility.


   Berdasarkan No. 27/SH-01/12/2025 Perjanjian Kredit            Based on Credit Agreement No. 27/SH-01/12/2025
   tanggal 18 Desember 2025, MMTV memperoleh                     dated December 18, 2025, MMTV obtained a fully cash
   fasilitas kredit modal kerja fully cash collateral untuk      collateral working capital credit facility for additional
   tambahan modal kerja dari BRI dengan fasilitas kredit         working capital from BRI with a maximum credit facility
   maksimum sebesar Rp74.250.000.000 dan berjangka               of Rp74,250,000,000 and a term of 12 (twelve) months
   waktu 12 (dua belas) bulan sejak jatuh tempo kredit           from the credit maturity date of December 18, 2025 to
   tanggal 18 Desember 2025 sampai dengan 18                     December 18, 2026.
   Desember 2026.

   Fasilitas ini dikenakan bunga sebesar 1,22% per tahun         This facility bears interest at 1.22% per annum and is
   dan tidak dikenakan biaya provisi administrasi. Jaminan       free of administration fee. The collateral for this facility
   atas fasilitas ini berupa rekening giro BRI sebesar           is in the form of BRI Giro account amounting to
   Rp75.000.000.000 milik Perusahaan sekaligus sebagai           Rp75,000,000,000 owned the Company as well as the
   penjamin atas fasilitas kredit ini.                           guarantor of this credit facility.



                                                                                                                          58
Page 63
PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                           PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                      NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                              FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                               and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                     on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                    (Expressed in Rupiah, unless otherwise stated)

20. UTANG BANK (Lanjutan)                                     20. BANK LOAN (Continued)

   Berdasarkan No. 28/SH-01/12/2025 Perjanjian Kredit            Based on Credit Agreement No. 28/SH-01/ 12/2025
   tanggal 18 Desember 2025, MMTV memperoleh                     dated December 18, 2025, MMTV obtained a fully cash
   fasilitas kredit modal kerja fully cash collateral untuk      collateral working capital credit facility for additional
   tambahan modal kerja dari BRI dengan fasilitas kredit         working capital from BRI with a maximum credit facility
   maksimum sebesar Rp74.250.000.000 dan berjangka               of Rp74,250,000,000 and a term of 12 (twelve) months
   waktu 12 (dua belas) bulan sejak jatuh tempo kredit           from the credit maturity date of December 18, 2025 to
   tanggal 18 Desember 2025 sampai dengan 18                     December 18, 2026.
   Desember 2026.

   Fasilitas ini dikenakan bunga sebesar 1,22% per tahun         This facility bears interest at 1.22% per annum and is
   dan tidak dikenakan biaya provisi administrasi. Jaminan       free of administration fee. The collateral for this facility
   atas fasilitas ini berupa rekening giro BRI sebesar           is in the form of BRI Giro account amounting to
   Rp75.000.000.000 milik Perusahaan sekaligus sebagai           Rp75,000,000,000 owned by the Company as well as
   penjamin atas fasilitas kredit ini.                           the guarantor of this credit facility.

   Fasilitas kredit yang diperoleh berdasarkan Perjanjian        The credit facility obtained based on Credit Agreement
   Kredit No. B.64/SH-01/12/2024 tanggal 23 Desember             No. B.64/SH-01/12/2024 dated December 23, 2024 has
   2024 telah jatuh tempo pada tanggal 23 Desember               matured on December 23, 2025 and was subsequently
   2025 dan selanjutnya diperbaharui dengan Perjanjian           renewed with a new Credit Agreement through Credit
   Kredit baru melalui Perjanjian Kredit No.                     Agreement No. 33/SH-01/12/2025 dated December 18,
   33/SH01/12/2025 tanggal 18 Desember 2025, MMTV                2025, MMTV obtained a fully cash collateral working
   memperoleh fasilitas kredit modal kerja fully cash            capital credit facility for additional working capital from
   collateral untuk tambahan modal kerja dari BRI dengan         BRI with a maximum credit facility of Rp94,500,000,000
   fasilitas kredit maksimum sebesar Rp94.500.000.000            and a term of 12 (twelve) months from the credit
   dan berjangka waktu 12 (dua belas) bulan sejak jatuh          maturity date of December 23, 2025 to December 23,
   tempo kredit tanggal 23 Desember 2025 sampai                  2026.
   dengan 23 Desember 2026.

   Fasilitas ini dikenakan bunga sebesar 1,22% per tahun         This facility bears interest at 1.22% per annum and is
   dan tidak dikenakan biaya provisi administrasi. Jaminan       free of administration fee. The collateral for this facility
   atas fasilitas ini berupa rekening Giro BRI sebesar           is in the form of BRI Giro account amounting to
   Rp95.000.000.000 milik Perusahaan sekaligus sebagai           Rp95,000,000,000 owned by the Company as well as
   penjamin atas fasilitas kredit ini.                           the guarantor of this credit facility.

   Fasilitas kredit yang diperoleh berdasarkan Perjanjian        The credit facility obtained based on Credit Agreement
   Kredit No. B.63/SH-01/12/2024 tanggal 24 Desember             No. B.63/SH-01/12/2024 dated December 24, 2024 has
   2024 telah jatuh tempo pada tanggal 24 Desember               matured on December 24, 2025 and was subsequently
   2025 dan selanjutnya diperbaharui dengan Perjanjian           renewed with a new Credit Agreement through Credit
   Kredit baru melalui Perjanjian Kredit No.                     Agreement No. 34/SH-01/12/2025 dated December 18,
   34/SH01/12/2025 tanggal 18 Desember 2025, MMTV                2025, MMTV obtained a fully cash collateral working
   memperoleh fasilitas kredit modal kerja fully cash            capital credit facility for additional working capital from
   collateral untuk tambahan modal kerja dari BRI dengan         BRI with a maximum credit facility of Rp69,900,000,000
   fasilitas kredit maksimum sebesar Rp69.900.000.000            and a term of 12 (twelve) months from the credit
   dan berjangka waktu 12 (dua belas) bulan sejak jatuh          maturity date of December 24, 2025 to December 24,
   tempo kredit tanggal 24 Desember 2025 sampai                  2026.
   dengan 24 Desember 2026.



                                                                                                                          59
Page 64
PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                             PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                        NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                  as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                 and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                       on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                      (Expressed in Rupiah, unless otherwise stated)

20. UTANG BANK (Lanjutan)                                       20. BANK LOAN (Continued)

   Fasilitas ini dikenakan bunga sebesar 1,22% per tahun           This facility bears interest at 1.22% per annum and is
   dan tidak dikenakan biaya provisi administrasi. Jaminan         free of administration fee. The collateral for this facility
   atas fasilitas ini berupa rekening Giro BRI sebesar             is in the form of BRI Giro account amounting to
   Rp70.000.000.000 milik Perusahaan sekaligus sebagai             Rp70,000,000,000 owned by the Company as well as
   penjamin atas fasilitas kredit ini.                             the guarantor of this credit facility.

   MMD                                                             MMD

   Fasilitas kredit yang diperoleh berdasarkan Perjanjian          The credit facility obtained based on Credit Agreement
   Kredit No. B.62/SH-01/12/2024 tanggal 20 Desember               No. B.62/SH-01/12/2024 dated December 20, 2024 has
   2024 telah jatuh tempo pada tanggal 20 Desember                 matured on December 20, 2025 and was subsequently
   2025 dan selanjutnya diperbaharui dengan Perjanjian             renewed with a new Credit Agreement through Credit
   Kredit baru melalui Perjanjian Kredit No.                       Agreement No. 31/SH-01/12/2025 dated December 18,
   31/SH01/12/2025 tanggal 18 Desember 2025, MMD                   2025, MMD obtained a fully cash collateral working
   memperoleh fasilitas kredit modal kerja fully cash              capital credit facility for additional working capital from
   collateral untuk tambahan modal kerja dari BRI dengan           BRI with a maximum credit facility of Rp9,980,000,000
   fasilitas kredit maksimum sebesar Rp9.980.000.000               and a term of 12 (twelve) months from the credit
   dan berjangka waktu 12 (dua belas) bulan sejak jatuh            maturity date of December 20, 2025 to December 20,
   tempo kredit tanggal 20 Desember 2025 sampai                    2026.
   dengan 20 Desember 2026.

   Fasilitas ini dikenakan bunga sebesar 1,22% per tahun           This facility bears interest at 1.22% per annum and is
   dan tidak dikenakan biaya provisi administrasi. Jaminan         free of administration fee. The collateral for this facility
   atas fasilitas ini berupa rekening Giro BRI sebesar             is in the form of BRI Giro account amounting to
   Rp10.000.000.000 milik Perusahaan sekaligus sebagai             Rp10,000,000,000 owned by the Company as well as
   penjamin atas fasilitas kredit ini.                             the guarantor of this credit facility.

21. UTANG LAIN-LAIN                                             21. OTHERS PAYABLE

   Akun ini terdiri dari:                                          This account consists of:

                                            30 Juni 2026/        31 Desember 2025/
                                            June 30, 2026        December 31, 2025
    Liabilitas Jangka Pendek                                                                                Current Liabilities
    Pihak ketiga                                                                                                  Third parties
      PT Buana prima Investindo                 3.356.640.000          3.356.640.000              PT Buana prima Investindo
      Talisman Insurance Broker                             -            375.656.361              Talisman Insurance Broker
      Lain-lain                                   199.620.178             73.786.287                                 Others
    Sub total                                   3.556.260.178          3.806.082.648                                  Sub total




                                                                                                                             60
Page 65
PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                           PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                      NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                              FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                               and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                     on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                    (Expressed in Rupiah, unless otherwise stated)

21. UTANG LAIN-LAIN (Lanjutan)                                21. OTHERS PAYABLE (Continued)

                                          30 Juni 2026/        31 Desember 2025/
                                          June 30, 2026        December 31, 2025
    Uang jaminan sewa                                                                               Security rental deposit
      PT Westcon Group                         594.343.750            594.343.750                    PT Westcon Group
      PT MDA JPN Kuningan                      493.160.000            493.160.000              PT MDA JPN Kuningan
      PT MDA Ironplate Kuningan                490.160.000            490.160.000          PT MDA Ironplate Kuningan
      PT Bank of India Indonesia Tbk           451.534.400            451.534.400       PT Bank of India Indonesia Tbk
      PT Animale Kuliner Indonesia             434.370.800            434.370.800         PT Animale Kuliner Indonesia
      PT MDA ABS Kuningan                      426.033.200            426.033.200              PT MDA ABS Kuningan
      PT Gila Makan Enak                       400.880.400            400.880.400                  PT Gila Makan Enak
      PT Bank Rakyat Indonesia                                                              PT Bank Rakyat Indonesia
        (Persero) Tbk                          230.767.200            230.767.200                      (Persero) Tbk
      PT Westcon Solutions                     157.747.500            157.747.500                PT Westcon Solutions
      PT Dentina Sanata Indonesia              191.038.950            191.038.950         PT Dentina Sanata Indonesia
      PT Bank Mandiri (Persero) Tbk            178.848.000            178.848.000       PT Bank Mandiri (Persero) Tbk
      PT Indomarco Prismatama                  154.980.000            154.980.000           PT Indomarco Prismatama
      PT MD Animasi Indonesia                  103.871.250            103.871.250            PT MD Animasi Indonesia
      Yayasan Inisiatif Dagang Hijau            95.025.300             95.025.300        Yayasan Inisiatif Dagang Hijau
      PT Film Halal Indonesia                   72.864.000             72.864.000              PT Film Halal Indonesia
      PT Mox Digital Indonesia                  60.708.000             60.708.000             PT Mox Digital Indonesia
      Lain-lain (dibawah Rp50.000.000)         229.190.500            229.190.500         Others (below Rp50,000,000)
    Sub total                                 4.765.523.250         4.765.523.250                                Sub total

      Distribusi lainnya                    17.420.716.100         11.906.474.767                    Others distribution
    Total Liabilitas Jangka Pendek          25.742.499.528         20.478.080.666                Total Current Liabilities

    Liabilitas Jangka Panjang                                                                     Non-Current Liabilities
    Pihak berelasi                                                                                       Related parties
      Direksi dan Komisaris                    992.889.813            992.889.813       Directors and Comminissioners
    Total                                   26.735.389.341         21.470.970.479                                    Total


   Pada tanggal 23 dan 24 Oktober 2024, MMTV dan PT              On October 23 and 24, 2024, MMTV and PT Televisi
   Televisi Anak Kota Malang, menandatangani perjanjian          Anak Kota Malang entered into a loan agreement with
   pinjaman dengan PT Buana Prima Investindo, dengan             PT Buana Prima Investindo, by pledging several land
   menjaminkan beberapa tanah dan bangunan dengan                and buildings with total cost amounting to
   total nilai perolehan adalah sebesar Rp6.651.105.394          Rp6,651,105,394 with maturities on October 31, 2024.
   yang jatuh tempo pada tanggal 31 Oktober 2024.                This loan is non-interest bearing.
   Pinjaman ini tidak dikenakan bunga.




                                                                                                                           61
Page 66
PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                          PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                     NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                             FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                               as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                              and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                    on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                   (Expressed in Rupiah, unless otherwise stated)

21. UTANG LAIN-LAIN (Lanjutan)                             21. OTHERS PAYABLE (Continued)

   Ketentuan pelunasan atas pinjaman ini melalui dua           The terms of repayment of this loan are through two
   metode, antara:                                             methods, between:
   • Pelunasan secara tunai yang jatuh tempo pada               • Cash settlements with maturities on October 31,
       tanggal 31 Oktober 2024; atau                               2024; or
   • Pelunasan melalui pengalihan hak atas seluruh              • Settlement through transfer of rights to all land and
       tanah dan bangunan yang telah dijaminkan.                   buildings that have been pledged.

   Entitas anak telah memilih opsi pelunasan melalui           The Subsidiaries have chosen settlement throught
   pengalihan hak atas seluruh tanah dan bangunan yang         transfer or rights to all land and buildings that have
   telah dijaminkan.                                           been pledged.

   Sepanjang tahun 2025, MMTV dan TA Malang telah              During 2025, MMTV and TA Malang has completed the
   menyelesaikan proses pengalihan sejumlah hak atas           transfer process of several land and building rights
   tanah dan bangunan sebesar Rp4.673.600.000.                 amounting to Rp4,673,600,000

   Untuk sisa pinjaman sebesar Rp3.356.640.000, saat ini       For the remaining loan amounting to Rp3,356,640,000,
   sedang dalam proses pembuatan akta jual beli atas           it is currently in the process of preparing the sale and
   pengalihan hak atas tanah dan bangunan oleh Notaris         purchase deed for the transfer of land and building
   Pejabat Pembuat Akta Tanah (PPAT) di wilayah                rights by a Notary Land Deed Official (PPAT) in the
   setempat.                                                   respective areas.

22. LIABILITAS IMBALAN KERJA                               22. EMPLOYEE BENEFITS LIABILITY

   Liabilitas imbalan kerja karyawan pada tanggal              The employee benefits liability as of December 31,
   31 Desember 2025 dihitung oleh aktuaris independen          2025 is calculated by an independent actuary KKA
   KKA Tubagus Syafrial & Amran Nangasan 25 Februari           Tubagus Syafrial & Amran Nangasan February 25,
   2025 dengan menggunakan metode “Projected Unit              2025 using the “Projected Unit Credit” method with the
   Credit” dengan mempertimbangkan beberapa asumsi             following assumptions:
   sebagai berikut:
                                         30 Juni 2026/     31 Desember 2025/
                                         June 30, 2026     December 31, 2025
    Tingkat mortalitas                        TMI IV              TMI IV                                    Mortality rate
    Tingkat diskonto                     7,09% - 7,25%       7,09% - 7,25%                                  Discount rate
    Tingkat kenaikan gaji                   5% - 7%             5% - 7%                              Salary increase rate
    Umur pensiun normal                  55 tahun/years      55 tahun/years                              Retirement age




                                                                                                                        62
Page 67
PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                               PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                          NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                  FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                    as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                   and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                         on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                        (Expressed in Rupiah, unless otherwise stated)

22. LIABILITAS IMBALAN KERJA (Lanjutan)                          22. EMPLOYEE BENEFITS LIABILITY (Continued)

   Mutasi liabilitas imbalan kerja adalah sebagai berikut:           Movements of employee benefits liability were as
                                                                     follows:

                                             30 Juni 2026/       31 Desember 2025/
                                             June 30, 2026       December 31, 2025
    Saldo awal tahun                           22.261.626.319         30.668.899.331                         Beginning balance
    Beban tahun berjalan                        2.630.369.663          6.024.096.139                       Expense for the year
    Realisasi pembayaran manfaat                 (180.000.000)       (14.502.355.970)              Realization benefits payment
    Penghasilan komprehensif lain                  23.662.273             70.986.819               Other comprehensive income
    Saldo Akhir Tahun                          24.735.658.255         22.261.626.319                            Ending Balance


   Jumlah yang diakui dalam laba rugi sehubungan                     Amounts recognized in profit or loss in respect to this
   dengan liabilitas imbalan kerja adalah sebagai berikut:           employee benefits liability were as follows:

                                             30 Juni 2026/       31 Desember 2025/
                                             June 30, 2026       December 31, 2025
    Beban jasa kini                             1.658.703.312         3.730.889.493                          Current service cost
    Biaya bunga                                   971.666.351         2.185.550.455                         Net interest expense
    Biaya jasa lalu dan (keuntungan)/                                                             Past service cost and (gain)/
      kerugian atas penyelesaian                             -          107.656.192              losses on settlement
    Total                                       2.630.369.663         6.024.096.140                                        Total


   Pengukuran kembali liabilitas imbalan kerja yang diakui           Remeasurements of employee benefit liability
   dalam penghasilan komprehensif lain adalah sebagai                recognized in other comprehensive income are as
   berikut:                                                          follows:
                                             30 Juni 2026/       31 Desember 2025/
                                             June 30, 2026       December 31, 2025
    Kerugian (keuntungan) aktuarial                                                                    Actuarial losses (gains)
      yang timbul dari:                                                                                         a rising from:
      Perubahan asumsi keuangan                   (97.307.712)         (291.923.135)          Change in financial assumption
      Penyesuaian pengalaman                      120.969.985           362.909.954                 Experience adjusments
    Total                                          23.662.273            70.986.819                                        Total




                                                                                                                               63
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                                             PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                                        NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                                FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                                  as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                                 and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                                       on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                      (Expressed in Rupiah, unless otherwise stated)

22. LIABILITAS IMBALAN KERJA (Lanjutan)                                      22. EMPLOYEE BENEFITS LIABILITY (Continued)

   Analisa sensitivitas kuantitatif kewajiban imbalan pasti                       The quantitative sensitivity analyses of the defined
   terhadap perubahan asumsi utama adalah sebagai                                 benefit obligation to the changes in the assumptions
   berikut:                                                                       were as follows:

                                                          31 Desember 2025 / December 31, 2025
                                                                                        Tingkat Kenaikan Gaji/
                                              Discount rate                              Salary increase rate
                                                             Pengaruh                                      Pengaruh
                                                           Nilai Kini atas                              Nilai Kini atas
                                                       Kewajiban Imbalan                              Kewajiban Imbalan
                                                           Pasca Kerja/                                  Pasca Kerja/
                                                         Influence of the                              Influence of the
                                                         present value of                              present value of
                                    Persentase/         post-employment          Persentase/          post-employment
                                    Percentage         benefit obligations       Percentage           benefit obligations

        Kenaikan                        1%                    (4.146.368.939)                1%                        5.155.269.894             Increase
        Penurunan                       1%                     5.163.223.461                 1%                       (4.144.160.902)           Decrease


23. MODAL SAHAM                                                              23. SHARE CAPITAL

   Susunan pemegang saham Perusahaan adalah                                       The composition of the Company's shareholders was as
   sebagai berikut:                                                               follows:

                                                              30 Juni 2026 / June 30, 2026
                                        Total Saham Ditempatkan           Persentase
                                              Disetor Penuh/             Kepemilikan/
                                           Number of Shares             Percentage of                 Total/
    Pemegang Saham                       Issued and Fully Paid            Ownership                  Amount                                Shareholders
    PT MD Corp Enterprises                         4.803.164.585           44,12%                  480.316.458.500                PT MD Corp Enterprises
    Manoj Dhamoo Punjabi -                                                                                                       Manoj Dhamoo Punjabi -
      Direktur Utama                               1.379.704.058           12,67%                  137.970.405.800                   President Director
    PT Samuel Sekuritas Indonesia                  1.561.134.300           14,34%                  156.113.430.000         PT Samuel Sekuritas Indonesia
    Morgan Stanley and Co Intl                     1.135.568.700           10,43%                  113.556.870.000             Morgan Stanley and Co Intl
    Shania Manoj Punjabi -                                                                                                         Shania Manoj Punjabi -
      Komisaris Utama                                 18.955.400            0,17%                    1.895.540.000             President Commissioner
    Sanjeva Advani - Komisaris                         2.700.079            0,02%                      270.007.900         Sanjeva Advani - Commissioner
    Masyarakat (di bawah 5,00%)                    1.986.339.636           18,24%                  198.633.963.600                   Public (below 5.00%)
    Total                                         10.887.566.758           100,00%                1.088.756.675.800                                Total




                                                                                                                                                       64
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                                        PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                                   NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                           FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                             as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                            and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                                  on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                 (Expressed in Rupiah, unless otherwise stated)

23. MODAL SAHAM (Lanjutan)                                             23. SHARE CAPITAL (Continued)

                                                     31 Desember 2025 / December 31, 2025
                                    Total Saham Ditempatkan          Persentase
                                          Disetor Penuh/            Kepemilikan/
                                       Number of Shares            Percentage of                Total/
    Pemegang Saham                   Issued and Fully Paid           Ownership                 Amount                           Shareholders
    PT MD Corp Enterprises                     4.803.164.585          44,12%                 480.316.458.500           PT MD Corp Enterprises
    Manoj Dhamoo Punjabi -                                                                                            Manoj Dhamoo Punjabi -
      Direktur Utama                           1.379.704.058          12,67%                 137.970.405.800              President Director
    Morgan Stanley and Co Intl                 1.139.283.000          10,46%                 113.928.300.000        Morgan Stanley and Co Intl
    Shania Manoj Punjabi -                                                                                              Shania Manoj Punjabi -
      Komisaris Utama                             18.955.400           0,17%                   1.895.540.000        President Commissioner
    Sanjeva Advani - Komisaris                     3.100.079           0,03%                     310.007.900    Sanjeva Advani - Commissioner
    Masyarakat (di bawah 5,00%)                3.543.359.636          32,55%                 354.335.963.600              Public (below 5.00%)
    Total                                     10.887.566.758         100,00%                1.088.756.675.800                            Total


24. TAMBAHAN MODAL DISETOR                                             24. ADDITIONAL PAID-IN CAPITAL

                                                30 Juni 2026/             31 Desember 2025/
                                                June 30, 2026             December 31, 2025
    Saldo awal                                  2.046.685.919.617              1.359.045.514.857                        Beginning balance
    Agio saham                                                  -                692.845.157.200                           Share premium
    Biaya emisi saham                                           -                 (5.204.752.440)                     Share issuance costs
    Saldo akhir                                 2.046.685.919.617              2.046.685.919.617                           Ending balance


25. SALDO LABA                                                         25. RETAINED EARNINGS

   Saldo laba Perusahaan adalah sebagai berikut:                            The Company's profit balance is as follows:
                                      Dicadangkan/         Belum dicadangkan/
                                      Appropriated           Unappropriated                     Total
    Saldo pada tanggal                                                                                                     Balance as at
      31 Desember 2024                  22.100.000.000          206.671.481.461             228.771.481.461          December 31, 2024
    Laba neto tahun berjalan yang                                                                                      Net profit for the year
      dapat diatribusikan kepada                                                                                    attributable to owners
      pemilik entitas induk                           -        (257.020.514.084)         (257.020.514.084)             of the parent entity
    Saldo pada tanggal                                                                                                        Balance as at
      31 Desember 2025                  22.100.000.000          (50.349.032.623)            (28.249.032.623)         December 31, 2025
    Laba neto tahun berjalan yang                                                                                      Net profit for the year
      dapat diatribusikan kepada                                                                                    attributable to owners
      pemilik entitas induk                           -          10.640.820.931              10.640.820.931            of the parent entity
    Saldo pada tanggal                                                                                                        Balance as at
      30 Juni 2026                      22.100.000.000          (39.708.211.693)            (17.608.211.693)                June 30, 2026




                                                                                                                                             65
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                                   PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                              NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                      FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                        as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                       and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                             on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                            (Expressed in Rupiah, unless otherwise stated)

26. KEPENTINGAN NONPENGENDALI                                       26. NON-CONTROLLING INTEREST

   Mutasi non pengendali adalah sebagai berikut:                        Movements of non-controlling interest are as follows:
                                           30 Juni 2026/              31 Desember 2025/
                                           June 30, 2026              December 31, 2025
    Saldo awal                                80.456.908.636              138.536.553.603                             Opening balance
    Bagian laba (rugi) tahun berjalan         (8.873.290.647)             (58.087.672.510)            Profit (loss) for the current year
    Bagian penghasilan komprehensif                                                                              Other comprehensive
      lain tahun berjalan                                  -                    8.027.543                       income current year
    Saldo akhir                               71.583.617.989               80.456.908.636                              Ending balance

27. LABA PER SAHAM                                                  27. EARNINGS PER SHARE

                                                          30 Juni / June, 30
                                                   2026                         2025
    Laba neto yang dapat
      diatribusikan kepada pemilik                                                                          Net income attributable to
      entitas induk                           10.640.820.931               (41.432.774.944)               the owners of the parent
    Rata-rata tertimbang saham yang                                                                 Weight average number of shares
      beredar                                  10.887.566.758                   9.897.787.962                         outstanding
    Laba Neto per Saham Dasar                               0,98                        (4,19)              Basic Earning per Share


28. PENDAPATAN                                                      28. REVENUE

   Akun ini terdiri dari:                                               This account consists of:
                                                          30 Juni / June, 30
                                                   2026                         2025
    Pendapatan film                                                                                                      Film revenue
      Layar Lebar                            116.186.674.414              131.146.589.049                                   Cinema
      Digital                                108.634.480.715              104.868.720.917                                    Digital
      Statiun televisi                         2.499.999.999                4.361.764.707                         Television station
      Lain-lain                                  348.728.765                2.450.914.253                                    Others
    Jumlah pendapatan film                   227.669.883.893              242.827.988.926                           Total film revenue
    Penyiaran televisi                                                                                        Television broadcasting
      Pendapatan iklan                        43.600.298.610                   44.860.137.066                  Advertising revenue
      Pendapatan lainnya                       4.608.870.118                    3.247.029.078                        Other revenue
    Jumlah pendapatan penyiaran televisi      48.209.168.728                   48.107.166.144    Total television broadcast revenue
    Persewaan                                                                                                                  Rental
      Sewa bangunan                           12.177.610.336                   13.219.066.369                       Building rental
      Studio dan sound mixing                    270.000.000                      270.000.000             Studio and sound mixing
      Sewa alat shooting                          57.616.334                       15.175.000            Shooting equipment rental
    Jumlah pendapatan persewaan               12.505.226.670                   13.504.241.369                     Total rental revenue
    Total pendapatan                         288.384.279.291              304.439.396.439                               Total revenue


                                                                                                                                       66
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                                PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                           NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                   FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                     as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                    and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                          on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                         (Expressed in Rupiah, unless otherwise stated)

28. PENDAPATAN (Lanjutan)                                         28. REVENUE (Continued)

   Penjualan kepada pihak pelanggan yang melebihi 10%                Sales to customers that exceed 10% of total sales, as
   dari total penjualan, sebagai berikut :                           follows :

                                                       30 Juni / June, 30
                                                2026                         2025
    Pelanggan                                                                                                       Customers
      Netflix, Inc                            77.662.637.800                44.163.308.750                         Netflix, Inc
      PT Nusantara Sejahtera Raya Tbk         52.427.650.576                60.079.161.549   PT Nusantara Sejahtera Raya Tbk
      Amazon.Com service Llc                  12.616.831.812                53.049.518.994           Amazon.Com service Llc

   Nilai penjualan kepada pihak berelasi dan pihak ketiga            The value of sales to related parties and third parties is
   sebagai berikut :                                                 as follows :

                                                       30 Juni / June, 30
                                                2026                         2025
    Pendapatan dari                                                                                             Revenue from
      Pihak berelasi                           5.144.547.619             6.728.986.269                        Related Parties
      Pihak ketiga                           283.239.731.672           297.710.410.170                          Third Parties

29. BEBAN POKOK PENDAPATAN                                       29. COST OF REVENUE

   Akun ini terdiri dari:                                            This account consists of:

                                                       30 Juni / June, 30
                                                2026                         2025
    Perusahaan                                                                                                    The Company
      Amortisasi aset film                    81.214.618.376                67.206.749.863          Amortization of film assets
      Beban materi program                    19.962.120.712                27.823.046.281         Program material expenses
      Non-broadcast                           13.129.987.834                14.882.829.980                     Non-broadcast
      Beban lain-lain penyiaran               12.721.160.572                16.539.535.674          Other broadcast expenses
      Beban operasional gedung                 7.327.619.239                 6.891.845.329        Building operating expenses
      Beban produksi                           1.673.087.750                             -                 Production expense
      Beban sewa alat                            529.533.856                   713.739.539          Equipment rental expense
      Lainnya                                  1.232.033.643                 2.426.232.865                               Others
    Total                                    137.790.161.981            136.483.979.531                                   Total


   Tidak ada pembelian kepada pihak pemasok yang                     No purchase to the supplier exceeds 10% of the total
   melebihi 10% dari total Beban Pokok Pendapatan.                   Cost of Revenue.




                                                                                                                              67
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                             PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                        NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                  as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                 and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                       on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                      (Expressed in Rupiah, unless otherwise stated)

30. BEBAN USAHA                                              30. OPERATING EXPENSES

   Akun ini terdiri dari:                                         This account consists of:

                                                    30 Juni / June, 30
                                             2026                         2025
    Penjualan                                                                                                          Selling
      Promosi                              38.379.831.341                50.489.209.926                            Promotion

    Umum dan Administrasi                                                                         General and Administrative
     Gaji dan tunjangan                    42.172.099.501                46.728.708.366                    Salary and benefits
     Penyusutan aset tetap                 12.779.866.785                15.543.517.974          Depreciation of fixed assets
     Amortisasi aset tak berwujud           4.653.415.415                 4.835.132.910     Amortization of intangible assets
     Pajak                                  4.305.199.918                 6.184.095.981                                      Tax
     Jasa manajemen                         3.647.152.330                 3.445.320.240                Management Services
     Perjalanan dinas                       3.327.330.972                 2.633.992.025                            Official trips
     Jasa profesional                       3.069.539.901                 3.196.406.229                 Professional Services
     Penyusutan properti investasi          3.065.028.864                 3.065.028.864   Depreciation of investment property
     Asuransi                               2.693.547.368                 2.807.750.147                              Insurance
     Imbalan kerja                          2.630.369.663                10.404.335.407                     Employee Benefit
     BPJS Ketenagakerjaan                   2.167.002.955                 2.264.729.044                    BPJS Employment
     Jamuan                                 1.828.603.410                 2.865.132.157                          Entertainment
     Perbaikan dan pemeliharaan             1.564.123.677                 2.139.811.789              Repair and maintenance
     Pajak bumi dan bangunan                1.287.817.452                 1.265.533.972                 Land and building tax
     Keperluan kantor                       1.190.662.720                 3.110.027.822                        Office supplies
     Telepon, internet dan komputer         1.032.532.309                 1.020.184.626    Telephone, internet and computer
     Listrik dan air                        1.018.298.344                 1.697.126.004                  Electricity and water
     Beban pajak final                        998.324.099                 1.758.101.779                    Final tax expenses
     Pengangkutan                             503.969.342                   499.491.546                             Expedition
     Asuransi kesehatan                       446.689.870                   344.483.270                      Health insurance
     Iuran keanggotaan                        330.628.544                 1.283.224.038                     Membership fees
     Legal                                    299.697.870                 1.452.900.040                                   Legal
     Sewa                                     252.615.836                   221.276.240                                    Rent
     Sumbangan dan hadiah                     133.767.007                   180.771.600                   Donations and gifts
     Transportasi                             132.149.711                   265.921.034                        Transportation
     Sensor film                              106.242.632                   168.970.888                            Sensor film
     Peralatan dan perlengkapan kantor         44.902.632                   122.255.365       Office equipment and supplies
     Lain-lain                                199.815.731                   271.586.436                                 Others
    Sub total                              95.881.394.857           119.775.815.791                                    Sub total
    Total                                 134.261.226.198           170.265.025.718                                        Total




                                                                                                                               68
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                                       PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                                  NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                          FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                            as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                           and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                                 on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                (Expressed in Rupiah, unless otherwise stated)

31. PENGHASILAN (BEBAN) LAIN-LAIN                                         31. OTHER INCOME (EXPENSES)

   Akun ini terdiri dari:                                                    This account consists of:

                                                                30 Juni / June, 30
                                                         2026                         2025
    Penghasilan Lain-lain                                                                                                 Others Income
      Penghasilan bunga bank                            4.759.069.478                 5.967.002.710               Bank interest income
      Selisih kurs                                      1.356.130.237                 1.146.055.247                  Foreign exchange
      Keuntungan penjualan aset tetap                      61.277.365                             -         Gain on sale of fixed assets
      Lain-lain                                         2.071.774.754                11.131.810.299                               Others
    Sub total                                           8.248.251.834                18.244.868.256                             Sub total

    Beban Lain-lain                                                                                                     Others Expenses
      Cadangan penurunan                                                                                     Allowance for Impairment of
        nilai piutang usaha (Catatan 5)                 (2.676.521.116)           (4.592.548.722)         account receivables (Note 5)
      Beban keuangan                                    (2.387.406.022)          (37.142.645.269)                    Financial expenses
      Administrasi bank                                   (112.144.168)             (200.190.765)                    Bank administration
      Rugi penjualan aset tetap                                      -            (4.731.752.641)        Loss on disposal of fixed assets
      Selisih kurs                                                   -              (190.625.247)                     Foreign exchange
      Lain-lain                                           (369.291.625)             (517.095.352)                                  Others
    Sub total                                           (5.545.362.931)          (47.374.857.996)                               Sub total

    Provisi Pajak                                                                                                         Tax Provision
        Sengketa Pajak Tahun 2019                                     -          (37.475.383.791)                      2019 Tax Disputes
    Neto                                                2.702.888.903            (66.605.373.531)                                    Net


32. SALDO, TRANSAKSI DAN SIFAT HUBUNGAN                                   32. BALANCE, TRANSACTION AND NATURE OF
    PIHAK-PIHAK BERELASI                                                      RELATIONSHOP WITH RELATED PARTIES

   a. Sifat dari hubungan dengan pihak-pihak berelasi                        a. Nature of relationship with related parties were as
      sebagai:                                                                  follows:

                                                               Sifat Hubungan /                                Transaksi /
        Entitas / Entity                                     Nature of Relationship                            Transaction

        PT MD Now Tech (d.h PT Mox Digital Indonesia)          Entitas sepengendali/                             Piutang/
                                                          Entities under common control                         Receivable
        PT MDA Ironplate Kuningan                              Entitas sepengendali/                             Piutang/
                                                          Entities under common control                         Receivable
        PT MDA JPN Kuningan                                    Entitas sepengendali/                             Piutang/
                                                          Entities under common control                         Receivable
        PT Animale Kuliner Indonesia                           Entitas sepengendali/                             Piutang/
                                                          Entities under common control                         Receivable
        PT MDA ABS Kuningan                                    Entitas sepengendali/                             Piutang/
                                                          Entities under common control                         Receivable


                                                                                                                                       69
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                                           PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                                      NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                              FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                                as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                               and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                                     on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                    (Expressed in Rupiah, unless otherwise stated)

32. SALDO, TRANSAKSI DAN SIFAT HUBUNGAN                                       32. BALANCE, TRANSACTION AND NATURE OF
    PIHAK-PIHAK BERELASI (Lanjutan)                                               RELATIONSHOP WITH RELATED PARTIES
                                                                                  (Continued)

                                                                     Sifat Hubungan /                               Transaksi /
       Entitas / Entity                                          Nature of Relationship                             Transaction
       PT Visi Kreasi Studio                                       Entitas sepengendali/                              Piutang/
                                                              Entities under common control                          Receivable
       PT MD Animasi Indonesia                                     Entitas sepengendali/                              Piutang/
                                                              Entities under common control                          Receivable

      Entitas sepengendali merupakan entitas yang                                   Entities under common control are entities that have
      memiliki pemegang saham dan/atau anggota direksi                              shareholders and/or members of the board of
      dan dewan komisaris yang sama dengan                                          directors and board of commissioners that are the
      Perusahaan atau Entitas Anak.                                                 same as the Company or Subsidiaries.

      Entitas asosiasi adalah entitas yang mana Grup                                An associate is an entity, over which the Group has
      memiliki pengaruh signifikan dan bukan merupakan                              significant influence but is neither a subsidiary nor
      entitas anak maupun bagian partisipasi dalam                                  an interest in a joint venture.
      ventura bersama.

   b. Saldo-saldo akun dengan pihak berelasi dan                                 b. Account balances with related parties and the
      persentase terhadap total aset dan liabilitas adalah                          percentage of total assets and liabilities are as
      sebagai berikut:                                                              follows:

                                                         30 Juni 2026/          31 Desember 2025/
                                                         June 30, 2026          December 31, 2025
       Piutang Usaha                                                                                               Accounts Receivable
         PT MD Now Tech (d.h PT Mox Digital Indonesia)     15.556.008.641            15.556.008.641    PT MD Now Tech (d.h PT Mox Digital Indonesia)
         PT Animale Kuliner Indonesia                       2.867.825.013             1.094.777.682        PT Animale Kuliner Indonesia
         PT MDA JPN Kuningan (Wabisabi)                     2.620.562.525             2.628.495.452    PT MDA JPN Kuningan (Wabisabi)
         PT MDA Ironplate Kuningan                          1.586.554.794             1.484.558.800         PT MDA Ironplate Kuningan
         PT MD Animasi Indonesia                              240.807.138             1.718.972.857           PT MD Animasi Indonesia
         PT Visi Kreasi Studio                                 74.498.760                         -               PT Visi Kreasi Studio
         PT MDA ABS Kuningan                                   37.767.156                         -             PT MDA ABS Kuningan
       Sub total                                            22.984.024.027           22.482.813.432                                  Sub total
       Cadangan penurunan nilai                            (17.829.214.975)         (16.909.315.611)                 Allowance for impairment
       Neto                                                 5.154.809.052             5.573.497.821                                            Net
       Persentase terhadap total aset                                0,14%                    0,15%               Percentage of total assets




                                                                                                                                                  70
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                              PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                         NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                 FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                   as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                  and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                        on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                       (Expressed in Rupiah, unless otherwise stated)

32. SALDO, TRANSAKSI DAN SIFAT HUBUNGAN                          32. BALANCE, TRANSACTION AND NATURE OF
    PIHAK-PIHAK BERELASI (Lanjutan)                                  RELATIONSHOP WITH RELATED PARTIES
                                                                     (Continued)

                                            30 Juni 2026/          31 Desember 2025/
                                            June 30, 2026          December 31, 2025

       Utang pihak berelasi                                                                           Due to related parties
       PT MD Animasi Indonesia                 4.347.926.528                          -            PT MD Animasi Indonesia
       Direksi dan Komisaris                     992.889.813               992.889.813                Direksi dan Komisaris
       Neto                                    5.340.816.341               992.889.813                                    Net
       Persentase terhadap
         total liabilitas                                0,91%                   0,18%         Percentage of total liabilities

      Manajemen Grup berkeyakinan bahwa jumlah                         The Group's management believes that the amount
      penyisihan atas kerugian penurunan nilai piutang                 of the allowance for impairment losses on trade
      usaha cukup untuk menutup kemungkinan                            receivables is adequate to cover possible losses on
      kerugian dari tidak tertagihnya piutang.                         uncollectible accounts.

      Utang pihak berelasi merupakan pinjaman yang                     Due to related parties consist of loan obtained with
      diperoleh tanpa dikenakan bunga dan diberikan                    no interest bearing and collateral
      tanpa jaminan.

      Total remunerasi dan imbalan lainnya yang                        Total remuneration and other benefits given to the
      diberikan kepada Dewan Komisaris dan Direksi                     Boards of Commissioner and Director (key
      (manajemen kunci) untuk tahun yang berakhir pada                 management) for the years ended June 30, 2026
      tanggal 30 Juni 2026 dan 31 Desember 2025 adalah                 and December 31, 2025 are Rp4,541,261,252 and
      Rp4.541.261.252 dan Rp11.480.860.936.                            Rp11,480,860,936 respectively.

33. INFORMASI SEGMEN                                             33. SEGMENT INFORMATION

   Informasi segmen di bawah ini dilaporkan berdasarkan             The segment information below is reported based on
   informasi yang digunakan oleh manajemen untuk                    information used by management to evaluate the
   mengevaluasi kinerja setiap segmen usaha dan di                  performance of each business segment and in
   dalam mengalokasikan sumber daya. Tidak terdapat                 allocating resources. There is no geographical segment
   segmen geografis karena seluruh kegiatan bisnis Grup             because all of the Group's business activities are in
   berada di Indonesia. Seluruh transaksi antar segmen              Indonesia. All transactions between segments have
   telah dieliminasi. Informasi konsolidasian menurut               been eliminated. Consolidated information according to
   segmen usaha sebagai segmen primer adalah sebagai                business segments as primary segments are as follows:
   berikut:




                                                                                                                            71
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                                                                    PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                                                               NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                                                       FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                                                         as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                                                        and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                                                              on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                                             (Expressed in Rupiah, unless otherwise stated)

33. INFORMASI SEGMEN (Lanjutan)                                                                 33. SEGMENT INFORMATION (Continued)
                                                                                 30 Juni 2026 / June 30, 2026
                                               Film/              Sewa/                   Penyiaran/             Eliminasi/        Konsolidasi/
                                               Film               Rent                  Broadcasting            Elimination       Consolidation
    Penjualan                               227.669.883.893     12.505.226.670            48.209.168.728                      -     288.384.279.291                               Sales
    Beban pokok penjualan                  (104.081.860.480)    (7.857.153.095)          (25.851.148.406)                     -    (137.790.161.981)                       Cost of sales
    Laba (rugi) kotor                      123.588.023.413       4.648.073.575            22.358.020.322                      -     150.594.117.310                   Gross profit (loss)
    Beban usaha                            (81.100.490.152)     (5.945.385.519)          (47.215.350.527)                     -    (134.261.226.198)                 Operating expense
    Laba (rugi) usaha                       42.487.533.261      (1.297.311.944)          (24.857.330.205)                     -     16.332.891.112                Operating profit (loss)
    Penghasilan lain-lain                    5.548.050.842         437.108.708             2.263.092.284                      -      8.248.251.834                        Other income
    Beban lain-lain                         (2.082.268.745)     (1.484.556.463)           (1.978.537.723)                     -     (5.545.362.931)                    Other expenses
    Laba (rugi) sebelum manfaat (beban)                                                                                                                   Profit (loss) before income tax
      pajak penghasilan                                                                                                              19.035.780.015                   benefit (expense)
    Manfaat (beban) pajak penghasilan                                                                                               (17.268.249.732)       Income tax benefit (expense)
    Laba bersih                                                                                                                       1.767.530.283                        Net income
    Komprehensif lain                                                                                                                    18.456.573               Other comprehensive
    Total Penghasilan Komprehensif                                                                                                    1.785.986.856      Total Comprehensive Income

    INFORMASI LAINNYA                                                                                                                                         OTHER INFORMATION
    Penyusutan aset tetap dan                                                                                                                               Depreciation of fixed assets
      properti investasi                     (2.653.211.306)    (6.301.200.142)           (6.894.995.237)                     -     (15.849.406.686)       and investment properties

    LAPORAN POSISI KEUANGAN                                                                                                                            CONSOLIDATED STATEMENTS
       KONSOLIDASIAN                                                                                                                                     OF FINANCIAL POSITION
    Aset segmen                           2.644.477.293.737    303.219.311.826           826.753.625.175                      -   3.774.450.230.738                Segment assets
    Liabilitas segmen                        99.396.744.161      1.799.359.906           487.313.420.170                      -     588.509.524.237               Segment liabilities



                                                                          31 Desember 2025 / December 31, 2025
                                               Film/              Sewa/                Penyiaran/             Eliminasi/           Konsolidasi/
                                               Film               Rent               Broadcasting            Elimination          Consolidation
    Penjualan                               384.772.930.778     28.694.988.466            82.940.382.844                      -     496.408.302.088                               Sales
    Beban pokok penjualan                  (206.410.589.073)   (28.452.825.311)         (117.482.947.970)                     -    (352.346.362.355)                       Cost of sales
    Laba (rugi) kotor                       178.362.341.705        242.163.155           (34.542.565.126)                     -     144.061.939.733                   Gross profit (loss)
    Beban usaha                            (184.253.456.595)   (10.784.566.279)         (112.977.853.374)                     -    (308.015.876.248)                 Operating expense
    Laba (rugi) usaha                        (5.891.114.890)   (10.542.403.124)         (147.520.418.500)                     -    (163.953.936.515)              Operating profit (loss)
    Penghasilan lain-lain                    23.712.692.467        831.057.184             6.419.789.648                      -      30.963.539.299                       Other income
    Beban lain-lain                        (133.454.675.593)       (50.624.554)          (55.677.418.348)                     -    (189.182.718.495)                   Other expenses
    Laba (rugi) sebelum manfaat (beban)                                                                                                                   Profit (loss) before income tax
      pajak penghasilan                                                                                                            (322.173.115.711)                  benefit (expense)
    Manfaat (beban) pajak penghasilan                                                                                                 7.064.929.117        Income tax benefit (expense)
    Laba bersih                                                                                                                    (315.108.186.594)                       Net income
    Komprehensif lain                                                                                                                    86.603.919               Other comprehensive
    Total Penghasilan Komprehensif                                                                                                 (315.021.582.675)     Total Comprehensive Income

    INFORMASI LAINNYA                                                                                                                                         OTHER INFORMATION
    Penyusutan aset tetap dan                                                                                                                               Depreciation of fixed assets
      properti investasi                     (7.259.564.603)   (12.183.844.339)          (17.668.457.007)                     -     (37.111.865.949)       and investment properties

    LAPORAN POSISI KEUANGAN                                                                                                                            CONSOLIDATED STATEMENTS
       KONSOLIDASIAN                                                                                                                                     OF FINANCIAL POSITION
    Aset segmen                           2.584.532.103.391    307.807.642.915           853.797.834.303                      -   3.746.137.580.608                Segment assets
    Liabilitas segmen                        91.823.613.063      1.207.485.949           468.951.761.950                      -     561.982.860.962               Segment liabilities




                                                                                                                                                                                      72
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                                PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                           NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                   FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                     as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                    and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                          on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                         (Expressed in Rupiah, unless otherwise stated)

34. INSTRUMEN KEUANGAN                                           34. FINANCIAL INSTRUMENTS

   Tabel berikut menyajikan jumlah tercatat dari instrumen           The following table presents the carrying amounts of
   keuangan yang dicatat pada laporan posisi keuangan                financial instruments recorded in the consolidated
   konsolidasian dan taksiran nilai wajar:                           statement of financial position and the estimated fair
                                                                     value:

                                                  30 Juni 2026 / June 30, 2026
                                            Nilai Tercatat/            Nilai Wajar/
                                            Carrying Value              Fair Value
    Aset Keuangan                                                                                            Financial Assets
    Kas di bank dan setara kas                268.149.864.505          268.149.864.505      Cash in bank and cash equivalents
    Piutang usaha                              59.276.151.951           59.276.151.951                    Accounts receivable
    Piutang lain-lain - lancar                    381.176.216              381.176.216              Others receivable - current
    Total Aset Keuangan                       327.807.192.672          327.807.192.672                 Total Financial Assets

    Kewajiban Keuangan                                                                                   Financial Liabilities
    Utang usaha                                60.081.531.785           60.081.531.785                      Accounts payable
    Beban yang masih harus dibayar             36.222.769.112           36.222.769.112                       Accrued expense
    Utang lain-lain - lancar                   25.742.499.528           25.742.499.528                Other payables - current
    Utang bank jangka pendek                  389.220.000.000          389.220.000.000                   Short-term bank loan
    Utang lain-lain - tidak lancar                992.889.813              992.889.813            Other payables - non current
    Total Kewajiban Keuangan                  512.259.690.239          512.259.690.239              Total Financial Liabilities


                                            31 Desember 2025 / December 31, 2025
                                            Nilai Tercatat/         Nilai Wajar/
                                            Carrying Value          Fair Value
    Aset Keuangan                                                                                           Financial Assets
    Kas di bank dan setara kas                228.893.565.635          228.893.565.635     Cash in bank and cash equivalents
    Piutang usaha                              43.785.663.315           43.785.663.315                   Accounts receivable
    Piutang lain-lain - lancar                    400.374.954              400.374.954             Others receivable - current
    Total Aset Keuangan                       273.079.603.904          273.079.603.904                Total Financial Assets

    Kewajiban Keuangan                                                                                  Financial Liabilities
    Utang usaha                                59.554.537.668           59.554.537.668                     Accounts payable
    Beban yang masih harus dibayar             32.180.801.230           32.180.801.230                      Accrued expense
    Utang lain-lain - lancar                   20.478.080.666           20.478.080.666               Other payables - current
    Utang bank jangka pendek                  389.220.000.000          389.220.000.000                  Short-term bank loan
    Utang lain-lain - tidak lancar                992.889.813              992.889.813           Other payables - non current
    Total Kewajiban Keuangan                  502.426.309.376          502.426.309.376             Total Financial Liabilities




                                                                                                                             73
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                               PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                          NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                  FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                    as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                   and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                         on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                        (Expressed in Rupiah, unless otherwise stated)

35. MANAJEMEN RISIKO KEUANGAN                                     35. FINANCIAL RISK MANAGEMENT

   Risiko keuangan yang paling signifikan terhadap Grup              The most significant financial risks to the Group are
   dijelaskan di bawah ini.                                          explained below.

   a. Risiko Kredit                                                  a. Credit Risk

      Risiko kredit adalah risiko dimana salah satu pihak               Credit risk is the risk that one party to a financial
      atas instrumen keuangan akan gagal memenuhi                       instrument will fail to discharge its obligation and will
      kewajibannya dan menyebabkan pihak lain                           result in a financial loss to the other party. The
      mengalami kerugian keuangan. Risiko kredit yang                   Group is exposed to credit risk from its operating
      dihadapi Grup berasal dari kegiatan operasi                       activities (primarily for trade receivables from third
      (terutama dari piutang usaha kepada pihak ketiga)                 parties) and from its financing activities, including
      dan dari kegiatan pendanaan, termasuk rekening                    cash in banks and time deposits.
      bank dan deposit berjangka.

      Eksposur risiko kredit Grup terutama adalah dalam                 The Group’s exposure to credit risk arises primarily
      mengelola piutang usaha. Grup melakukan                           from managing its trade receivables. The Group
      pengawasan kolektibilitas piutang sehingga dapat                  monitors its receivables so that these are collected
      diterima penagihannya secara tepat waktu dan juga                 in a timely manner and conducts reviews of
      melakukan penelaahan atas masing-masing piutang                   individual customer accounts on a regular basis to
      pelanggan secara berkala untuk menilai potensi                    assess the potential for collectability and establish
      timbulnya kegagalan penagihan dan membentuk                       reserves based on the results of the review.
      pencadangan berdasarkan hasil penelaahan
      tersebut.

      Eksposur Grup terhadap risiko kredit timbul dari                  The Group’s exposure to credit risk arises from the
      kelalaian pihak lain, dengan eksposur maksimum                    default of other parties, with maximum exposure
      sebesar jumlah tercatat aset keuangan Grup,                       equal the carrying amounts of its financial assets, as
      sebagai berikut:                                                  follows:

                                              30 Juni 2026/         31 Desember 2025/
                                              June 30, 2026         December 31, 2025
       Kas dan setara kas                       268.149.864.505         228.893.565.635              Cash and cash equivalents
       Piutang usaha                             59.276.151.951          43.785.663.315                    Account receivables
       Piutang lain-lain                            381.176.216             400.374.954                      Other receivables
       Total                                    327.807.192.672         273.079.603.904                                     Total


      Tidak ada risiko kredit yang signifikan dalam Grup.               There is no significant credit risk in the Group.




                                                                                                                               74
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                                                                    PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                                                               NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                                                                       FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                                                         as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                                                                        and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                                                              on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                                                             (Expressed in Rupiah, unless otherwise stated)

34. MANAJEMEN RISIKO KEUANGAN (Lanjutan)                                                             34. FINANCIAL RISK MANAGEMENT (Continued)

   b. Risiko Likuiditas                                                                                 b. Liquidity Risk

      Risiko likuiditas didefinisikan sebagai risiko saat                                                     The Group's liquidity needs have historically arisen
      posisi arus kas Grup menunjukkan bahwa                                                                  from the need to finance investments and capital
      penerimaan jangka pendek tidak cukup menutupi                                                           expenditures related to business expansion
      pengeluaran jangka pendek.                                                                              programs. The group needs substantial working
                                                                                                              capital to build new projects and to fund operations.

      Kebutuhan likuiditas Grup secara historis timbul dari                                                   The Group’s liquidity requirements have historically
      kebutuhan untuk membiayai investasi dan                                                                 arisen from the need to finance investments and
      pengeluaran barang modal terkait dengan program                                                         capital expenditures related to the expansion of the
      perluasan usaha. Grup membutuhkan modal kerja                                                           business. The Group’s business requires substantial
      yang substansial untuk membangun proyek-proyek                                                          capital to construct new projects and to fund
      baru dan untuk mendanai operasional.                                                                    operations.

      Dalam mengelola risiko likuiditas, Grup memantau                                                        In managing liquidity risk, the Group monitors and
      dan menjaga tingkat kas yang dianggap memadai                                                           maintains a level of cash deemed adequate to
      untuk membiayai operasional Grup dan untuk                                                              finance the Group’s operations and to mitigate the
      mengatasi dampak dari fluktuasi arus kas. Grup                                                          effects of fluctuations in cash flows. The Group also
      juga secara rutin mengevaluasi proyeksi arus kas                                                        regularly evaluates the projected and actual cash
      dan arus kas aktual, dan terus menelaah kondisi                                                         flows, and continuously assesses conditions in the
      pasar keuangan untuk memelihara fleksibilitas                                                           financial markets to maintain flexibility in funding by
      pendanaan dengan cara menjaga ketersediaan                                                              keeping committed credit facilities available.
      komitmen fasilitas kredit.

      Tabel berikut ini menunjukkan analisis jatuh tempo                                                      The following table shows the maturity analysis of
      liabilitas keuangan Grup:                                                                               the Group's financial liabilities:
                                                                                     30 Juni 2026 / June 30, 2026
                                                                                Periode Jatuh Tempo / Maturity Period
                                         Nilai Tercatat/    Sampai 1 tahun/     > 1 - 2 tahun/          > 2 - 3 tahun/       > 3 - 5 tahun/       Lebih dari 5 tahun/
                                        Carrying Value       Up to 1 year       > 1 - 2 years           > 2 - 3 years        > 3 - 5 years        More than 5 years
       Liabilitas Keuangan                                                                                                                                                     Financial Liabilities
       Utang usaha                         60.081.531.785      60.081.531.785                    -                       -                    -                     -             Account payables
       Beban yang masih harus
         dibayar                           36.222.769.112      36.222.769.112                    -                       -                    -                     -            Accrued expenses
       Utang lain-lain - lancar            25.742.499.528      25.742.499.528                    -                       -                    -                     -       Other payables - current
       Utang bank jangka pendek           389.220.000.000     389.220.000.000                                                                                                  Short-term bank loan
       Utang lain-lain - tidak lancar         992.889.813         992.889.813                    -                       -                    -                     -   Other payables - non current
       Total Liabilitas Keuangan          512.259.690.239     512.259.690.239                    -                       -                    -                     -    Total Financial Liabilities


                                                                                31 Desember 2025 / December 31, 2025
                                                                                Periode Jatuh Tempo / Maturity Period
                                         Nilai Tercatat/    Sampai 1 tahun/     > 1 - 2 tahun/          > 2 - 3 tahun/       > 3 - 5 tahun/       Lebih dari 5 tahun/
                                        Carrying Value       Up to 1 year       > 1 - 2 years           > 2 - 3 years        > 3 - 5 years        More than 5 years
       Liabilitas Keuangan                                                                                                                                                     Financial Liabilities
       Utang usaha                         59.554.537.668      59.554.537.668                    -                       -                    -                     -             Account payables
       Beban yang masih harus
         dibayar                           32.180.801.230      32.180.801.230                    -                       -                    -                     -            Accrued expenses
       Utang lain-lain - lancar            20.478.080.666      20.478.080.666                    -                       -                    -                     -       Other payables - current
       Utang bank jangka pendek           389.220.000.000     389.220.000.000                                                                                                  Short-term bank loan
       Utang lain-lain - tidak lancar         992.889.813                   -        992.889.813                         -                    -                     -   Other payables - non current
       Total Liabilitas Keuangan          502.426.309.376     501.433.419.563        992.889.813                         -                    -                     -    Total Financial Liabilities



      Tidak ada risiko likuiditas yang signifikan dalam                                                       There is no significant liquidity risk in the Group.
      Grup.


                                                                                                                                                                                                 75
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PT MD ENTERTAINMENT Tbk DAN ENTITAS ANAK                           PT MD ENTERTAINMENT Tbk AND SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                      NOTES TO THE CONSOLIDATED
KONSOLIDASIAN                                                                              FINANCIAL STATEMENTS
tanggal 30 Juni 2026 dan 31 Desember 2025                                as of June 30, 2026 and December 31, 2025
serta untuk periode enam bulan yang berakhir pada                               and for the six-month periods ended
tanggal-tanggal 30 Juni 2026 dan 2025                                                     on June 30, 2026 and 2025
(Disajikan dalam Rupiah, kecuali dinyatakan lain)                    (Expressed in Rupiah, unless otherwise stated)

36. PERISTIWA DAN PERJANJIAN PENTING                          36. SIGNIFICANT EVENTS AND AGREEMENTS

   Film Danur: The Last Chapter yang dirilis oleh                The film Danur: The Last Chapter , which was released
   Perseroan pada 18 Maret 2026 telah memberikan                 by the Company on March 18, 2026, has made a
   kontribusi signifikan terhadap pendapatan segmen film         significant contribution to the revenue of the feature film
   layar lebar. Sampai dengan tanggal laporan ini disusun,       segment. As of the date of this report, Danur: The Last
   Danur: The Last Chapter tercatat sebagai salah satu           Chapter is listed as one of the highest-grossing national
   film nasional terlaris tahun 2026 sementara, dengan           films in 2026, with a total audience of more than 3.6
   jumlah penonton yang telah mencapai lebih dari 3,6            million, thus strengthening the Company's position in
   juta, sekaligus memperkuat posisi Perseroan dalam             the Indonesian film industry.
   industri perfilman Indonesia.

   Pada tanggal 9 Juli 2026 Perseroan telah merilis film         On July 9, 2026, the Company has released a film titled
   dengan judul 402 Rumah Sakit Angker Korea. Film ini           402 Korean Haunted Hospital. This film is an adaptation
   merupakan adaptasi dari film Gonjiam: Haunted                 of the film Gonjiam: Haunted Asylum. This film tells the
   Asylum. Film ini mengisahkan tentang sekelompok               story of a group of digital content creators. They were
   kreator konten digital. Mereka nekat melakukan uji nyali      desperate to test their guts in an abandoned mental
   di dalam rumah sakit jiwa terlantar di Korea Selatan.         hospital in South Korea.




                                                                                                                         76

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Published30 Jul 2026
Pages80
Characters418,252
Text sourceEmbedded text layer
OCR confidence—

Names mentioned 260 people and organisations named in the text · linked when the evidence is strong

linked org MD ENTERTAINMENT Tbk p.1 ×452
linked org PT MD Corp Enterprises p.12 ×8
linked person Shania Manoj Punjabi · Komisaris Utama p.12 ×5
linked person Sanjeva Advani · Komisaris p.12 ×6
linked person Dian Adhitama · Komisaris Independen p.12 ×3
linked person Priyadarshi Anand · Direktur p.12
linked person Sajan Lachmandas Mulani · Direktur p.12 ×2
linked person Theodore Yoon Soung Kim · Direktur p.12
linked person Firdauzi Saksono · Direktur p.12
linked person William Hyongmin Kim · Direktur p.12
linked person Richard Antonio · Anggota p.12
linked org PT MDTV Media Technologies Tbk p.14 ×15
linked org PT MDTV Media Televisi p.14
linked person Innayat Haresh p.20 ×2
linked org Bank Central Asia Tbk p.44 ×5
linked org Bank of India Indonesia p.44 ×10
linked org Bank Mandiri Tbk p.44 ×29
linked org Bank CIMB Niaga Tbk p.44 ×11
linked org PT Bank DBS Indonesia p.45 ×2
linked org Nusantara Sejahtera Raya Tbk p.46 ×17
linked org Graha Layar Prima Tbk p.46 ×5
linked org PT Net Mediatama Televisi p.57 ×3
linked org PT Samuel Sekuritas p.68
possible person Supardji · Anggota p.12
possible org Bursa Efek Indonesia p.13 ×2
possible person Shania p.16
possible person Satria p.18
possible org Pemerintah Republik Indonesia p.34
possible org Bank Rakyat Indonesia Tbk p.44 ×40
possible org PT Malaca Trust Insurance p.55
possible org PT Samuel Sekuritas Indonesia p.68 ×2
unresolved org PT MD Media p.11 ×2
unresolved person Frans Elsius Muliawan p.11
unresolved org Menteri Kehakiman p.11
unresolved org Minister of Justice p.11
unresolved org PT MD p.11 ×6
unresolved person Tahir Kamili p.11
unresolved person Kamili p.11
unresolved org Minister of Law and Human Rights p.11 ×3
unresolved person Leolin Jayayanti p.11 ×2
unresolved org Menteri Hukum dan Hak Asasi Manusia p.11 ×2
unresolved org MD Pictures Tbk p.11 ×4
unresolved org Menteri Hukum dan Hak p.11 ×2
unresolved org Minister of Law p.11
unresolved person Jayayanti p.11
unresolved org Minister of Asasi Manusia Republik Indonesia No. AHU- p.11
unresolved org PT MD Global p.12
unresolved org PT MD Global Investment p.12
unresolved org Entertaiment Tbk. p.13
unresolved org PT Jakarta Film Studio p.14 ×4
unresolved org PT Paw Pic Studio Indonesia p.14 ×4
unresolved org PT Takedua Jakarta Film Studio p.14 ×3
unresolved org Media Technologies Tbk p.14 ×8
unresolved org PT MD Produksi Indonesia p.14 ×5
unresolved org PT White Tiger Studios p.14 ×5
unresolved org PT MDTV Media Berita p.14
unresolved org PT MDTV Media Digital p.14
unresolved org PT Kreatif Inti Korpora p.14
unresolved org PT Mitra Media Makassar p.14
unresolved org PT Mitra Media Pekanbaru p.14
unresolved org PT Mitra Media Aceh p.14
unresolved org PT Mitra Media Ambon p.14
unresolved org PT Mitra Media Kalimantan Selatan p.14
unresolved org PT Mitra Media Bengkulu p.14
unresolved org PT Rentalindo Utama Perkasa p.14
unresolved org PT Mitra Media Jambi p.14
unresolved org PT Mitra Media Kendari p.14
unresolved org PT Bhakti Panca Buana p.14
unresolved org PT Mitra Media Lampung p.14
unresolved org PT Mitra Media Manado p.14
unresolved org PT Mitra Media Mataram p.14
unresolved org PT Mitra Media Bangka p.14
unresolved org PT Mitra Media Donggala p.14
unresolved org PT Mitra Media Pontianak p.14
unresolved org PT Mitra Media Purwokerto p.14
unresolved org PT Mitra Media Samarinda p.14
unresolved org PT Mitra Media Semarang p.14
unresolved org PT Mitra Media Sriwijaya p.14
unresolved org PT Mitra Media Tegal p.14
unresolved org PT Mitra Media Ternate p.14
unresolved org PT Mitra Media Yogyakarta p.14
unresolved org PT Mitra Media Palembang p.14
unresolved org PT Mitra Media Padang p.14
unresolved org PT Mitra Media Cirebon p.14
unresolved org PT Mitra Media Semenanjung Batam p.15
unresolved org PT Mitra Media Banjarmasin p.15
unresolved org PT Mitra Media Manokwari p.15
unresolved org PT Mitra Media Timika p.15
unresolved org PT Mitra Media Sentani p.15
unresolved org PT Sarana Media Manado p.15
unresolved org PT Mitra Media Palangkaraya p.15
unresolved org PT Mitra Media Bandung p.15
unresolved org PT Mitra Media Garut p.15
unresolved org PT Mitra Media Jember p.15
unresolved org PT Mitra Media Kediri p.15
unresolved org PT Sarana Media Madiun p.15
unresolved org PT Mitra Media Malang p.15
unresolved org PT Mitra Media Medan p.15
unresolved org PT Mitra Media Surabaya p.15
unresolved org PT Mitra Media Bali p.15
unresolved org PT Bahana Commercial p.15 ×3
unresolved org PT Cakrawala Adyswara Media p.15 ×3
unresolved org PT Anugrah Media Televisi p.15 ×3
unresolved org PT Riau Channel Televisi p.15
unresolved org PT Semenanjung Televisi Batam p.15 ×3
unresolved org PT Tiara Lestari Televisi p.15 ×3
unresolved org PT Favorit Mitra Media Televisi p.15 ×3
unresolved org PT Sentani Televisi p.15 ×3
unresolved org PT Televisi Top Mimika Damai Abadi p.15 ×3
unresolved org PT Borneo Global Media p.15 ×3
unresolved org PT Televisi Anak Garut p.15 ×3
unresolved org PT Televisi Anak Surabaya p.15 ×3
unresolved org PT Televisi Anak Bandung p.15 ×3
unresolved org PT Televisi Anak Medan p.15 ×3
unresolved org PT Alam Bali Semesta Televisi p.15 ×3
unresolved org PT Televisi Anak Kota Malang p.15 ×3
unresolved org PT Televisi Anak Kediri p.15 ×3
unresolved org PT Televisi Anak Jember p.15 ×3
unresolved org PT Televisi Anak Madiun p.15 ×3
unresolved org PT Sarana Media Aceh p.15
unresolved org PT Mitra Televisi Ambon p.15
unresolved org PT Mitra Televisi Kota Bengkulu p.15
unresolved org PT Industri Televisi Semarang p.15
unresolved org PT Industri Televisi Lampung p.15
unresolved org PT Mitra Televisi Kota Jambi p.15
unresolved org PT Mitra Televisi Kendari p.15
unresolved org PT Mitra Televisi Mataram p.15
unresolved org PT Mitra Televisi Manado p.15
unresolved org PT Mitra Televisi Palu p.15
unresolved org PT Mitra Televisi Pangkal Pinang p.15
unresolved org PT Mitra Televisi Pontianak p.15
unresolved org PT Media Televisi Purwokerto p.15
unresolved org PT Mitra Televisi Samarinda p.15
unresolved org PT Mitra Televisi Sriwijaya p.15
unresolved org PT Media Televisi Tegal p.15
unresolved org PT Mitra Televisi Ternate p.15
unresolved org PT Mitra Televisi Yogyakarta p.15
unresolved org PT MDTV Media Gorontalo p.15
unresolved org PT MDTV Media Kupang p.15
unresolved org PT Mitra Televisi Banjarmasin p.15
unresolved org PT Jakarta Film p.16 ×2
unresolved org PT Studio Tujuh p.16 ×5
unresolved org PT Studio p.16 ×2
unresolved person Dhamoo p.16 ×2
unresolved person Sunita Dhamoo Punjabi p.16 ×2
unresolved person Shania Manoj Bapak Manoj Dhamoo Punjabi · Direktur Utama p.16 ×9
unresolved org PT Multi Solusi Studio p.16 ×2
unresolved org PT Wahana Inti Manoj Punjabi p.16
unresolved org PT MD Studios p.16 ×2
unresolved org PT Raya Optima p.16
unresolved org PT Wahana Inti Persada p.16
unresolved org PT Wisma Graha Persada p.16
unresolved org PT Raya Optima Persada p.16
unresolved org PT Wisma Graha p.16
unresolved org Minister of Law and Legislation p.16
unresolved org PT Paw Pic Studio p.16
unresolved org PT Barakuda Film Galeri p.17
unresolved org PT Barakuda Film Galeri Indonesia p.17
unresolved org PT Barakuda Film p.17
unresolved org PT Barakuda Film Galeri Galeri Indonesia p.17
unresolved org PT Demi Gisela Citra p.17
unresolved org PT Demi Gisela Citra Sinema p.17
unresolved person Notary Tri Firdaus Akbarsyah p.18 ×2
unresolved org PT Takedua Jakarta Takedua Jakarta Film Studio. p.18
unresolved org Net Visi Media Tbk p.18 ×4
unresolved org PT Putra Insan Permata p.18 ×2
unresolved person Hasbullah Abdul Rasyid p.18
unresolved person Rasyid p.18
unresolved person Jose Dima Satria p.18
unresolved person South p.18
unresolved org Menteri Hukum dan Hak Asasi p.18
unresolved org PT MDTV Media p.18
unresolved org Visi Media Tbk. p.18
unresolved person Akbarsyah p.19
unresolved org MD Entertaintment Tbk p.19 ×2
unresolved org Entertainment Tbk p.19
unresolved org PT White Tiger p.19
unresolved org PT MD Ritel Utama p.20
unresolved org PT MDA MDA Kuliner Indonesia p.20
unresolved org PT Platinumz Digital p.20
unresolved org PT Platinumz Digital Media p.20
unresolved org Financial Services Authority p.20
unresolved org Bank Indonesia p.29 ×2
unresolved org India Indonesia Tbk p.44 ×8
unresolved org PT Bank SBI Indonesia p.45 ×2
unresolved org PT Bank DBS Indonesia Lain-lain p.45
unresolved org Bank Deposito Berjangka p.45
unresolved org PT Wira Pamungkas Pariwara p.46 ×4
unresolved org PT Anak Indomedia p.46 ×2
unresolved org PT Atom Media Indonesia p.46 ×2
unresolved org PT Vidio Dot Com p.46
unresolved org PT Vidio Dot Com Image Future Investment p.46
unresolved org PT Netlink World Indonesia p.46 ×2
unresolved org PT Hato Films Indonesia p.46 ×2
unresolved org PT Rajawali Citra Televisi Indonesia p.46 ×2
unresolved org PT Citra Komunika Pariwara p.46 ×2
unresolved org PT Duta Visual Nusantara Tivi Tujuh p.46 ×2
unresolved org PT Bintang Multi Mediathama p.46 ×2
unresolved org PT Anugrah Cipta Karyatama p.46 ×2
unresolved org PT Star Reachers Indonesia p.46 ×2
unresolved org PT Lestari Mitra Sembada p.46 ×2
unresolved org PT Asia Media Prisma p.46 ×2
unresolved org PT Suara Multimedia Pertama p.46 ×2
unresolved org PT Mediate Indonesia p.46 ×2
unresolved org PT Armananta Eka Putra p.46
unresolved org PT Armananta Eka Putra Lain-lain p.46
unresolved org PT MD Now Tech p.46 ×5
unresolved org PT Mox Digital Indonesia p.46 ×6
unresolved org PT Animale Kuliner Indonesia p.46 ×7
unresolved org PT MDA JPN Kuningan p.46 ×7
unresolved org PT MDA Ironplate Kuningan p.46 ×7
unresolved org PT MD Animasi Indonesia p.46 ×8
unresolved org PT Visi Kreasi Studio p.46 ×5
unresolved org PT MDA ABS Kuningan p.46 ×6
unresolved org Bank BRI p.53
unresolved org PT Asuransi Candi Utama p.55 ×2
unresolved org PT Asuransi Multi p.55
unresolved org Artha Guna Tbk p.55 ×2
unresolved org PT Malaca Trust Wuwungan p.55
unresolved org PT Asuransi Harta Aman Asuransi FPG Indonesia p.55
unresolved org PT Asuransi Etiqa p.55
unresolved org PT Asuransi FPG Indonesia p.55
unresolved org PT Asuransi Internasional p.55
unresolved org PT White Tiger Studios Subtotal p.58
unresolved org ESPN Inc. p.59 ×2
unresolved org PT Lativi Mediakarya p.59 ×2
unresolved org PT Indika Siar Sarana p.59 ×2
unresolved org PT Media Televisi Indonesia p.59 ×2
unresolved org PT Cakrawala Andalas Televisi p.59 ×2
unresolved org PT Nielsen Audience Measurement p.59 ×2
unresolved org PT Askara Multi Media p.59 ×2
unresolved org PT Baraka Film Indonesia p.59
unresolved org PT Baraka Film Indonesia CV Kunci Studio p.59
unresolved org PT Artujuh Kreasi Bersama p.59
unresolved org PT Artujuh Kreasi Bersama Lain-lain p.59
unresolved org PT MD Animasi Indonesia Sub p.60
unresolved org PT Dentsu Inter Admark Media p.61
unresolved org PT Dentsu Inter Admark Media Group Indonesia p.61
unresolved org PT Dentsu Isopost Indonesia p.61 ×2
unresolved org PT Totalindo Sukses Komunikatama p.61
unresolved org PT Totalindo Sukses Komunikatama Lain-lain p.61
unresolved org PT Buana p.64 ×2
unresolved org PT Westcon Group p.65 ×2
unresolved org PT Gila Makan Enak p.65 ×2
unresolved org PT Westcon Solutions p.65 ×2
unresolved org PT Dentina Sanata Indonesia p.65 ×2
unresolved org PT Indomarco Prismatama p.65 ×2
unresolved org PT MD Animasi Indonesia Yayasan Inisiatif Dagang Hijau p.65
unresolved org PT Film Halal Indonesia p.65 ×2
unresolved org PT Mox Digital Indonesia Lain-lain p.65
unresolved org PT Televisi Televisi Anak Kota Malang p.65
unresolved org PT Buana Prima Investindo p.65 ×2
unresolved org PT MD Corp Enterprises Manoj Dhamoo Punjabi p.68 ×2
unresolved org PT Samuel Sekuritas Indonesia Morgan Stanley p.68
unresolved — Morgan Stanley and Co Intl p.68 ×6
unresolved — Masyarakat (di bawah 5,00%) p.68 ×2
unresolved org PT MDA ABS Kuningan Sub p.74
unresolved org PT MD Animasi Indonesia Direksi p.75

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