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Page 1
             PT PEGADAIAN DAN ENTITAS ANAKNYA                                                                           PT PEGADAIAN AND ITS SUBSIDIARIES
             LAPORAN POSISI KEUANGAN                                                                                                 INTERIM CONSOLIDATED
             KONSOLIDASIAN INTERIM                                                                                      STATEMENTS OF FINANCIAL POSITION
             30 JUNI 2024 DAN 31 DESEMBER 2023                                                                           30 JUNE 2024 AND 31 DECEMBER 2023

             (Dinyatakan dalam jutaan Rupiah, kecuali dinyatakan lain)                                          (Expressed in millions of Rupiah, unless otherwise stated)

                                                                 30 Juni 2024          Catatan/      31 Desember 2023
                                                                (Tidak Diaudit)         Notes            (Diaudit)

             ASET                                                                                                                                                 ASSETS
             Kas dan setara kas                                                        2d,2e,4,37                                              Cash and cash equivalents
              - pihak berelasi                                              252.040                           180.586                                 related parties -
              - pihak ketiga                                                147.494                            83.045                                    third parties -
             Efek-efek                                                      630.000      2d,2f,5                    -                                            Securities
             Pinjaman yang diberikan                                     77.027.162    2d,2g,6,34          67.573.563                                                Loans
             Dikurangi : cadangan kerugian                                                                                                           Less : allowance for
                penurunan nilai                                          (3.393.851)   2d,2g,6,34          (3.117.267)                               impairment losses
             Pinjaman yang diberikan - bersih                            73.633.311     2d,2g,34           64.456.296                                          Loans - net
             Piutang lain-lain - bersih                                     834.419    2d,7,34,38             496.523                             Other receivables - net
             Persediaan                                                     787.691       2h,8                508.781                                           Inventories
             Pendapatan yang masih harus diterima                         2.562.578       2d,9              2.264.818                                     Accrued income
             Pajak dibayar di muka                                           99.364       17a                  45.490                                        Prepaid taxes
             Beban dibayar di muka                                          133.500      2n,10                 63.827                                  Prepaid expenses
             Aset hak guna                                                  402.497     2j,2l,12              414.913                                 Right of use assets
             Penyertaan langsung                                             20.657       2d,2i                17.384                                  Direct participation
             Properti investasi                                             181.246      2m,11                181.246                               Invesment properties
             Aset tetap - bersih                                         12.164.881       2j,12            12.127.278                                   Fixed assets - net
             Aset takberwujud - bersih                                      158.343      2k,13                163.133                              Intangible assets - net
             Aset pajak tangguhan                                         1.597.652      2u,17d             1.578.126                                 Deferred tax assets
             Aset lain-lain - bersih                                          3.364     2d,2o,14                3.985                                   Other assets - net
             JUMLAH ASET                                                 93.609.037                        82.585.431                                    TOTAL ASSETS

             LIABILITAS                                                                                                                                        LIABILITY
             Utang kepada nasabah                                           337.903     2d,2p,16              242.831                             Payables to customers
             Utang usaha                                                  1.057.225     2d,2p,15              645.359                                     Trade payables
             Utang pajak                                                                 2u,17b                                                            Taxes payable
              - Pajak penghasilan badan                                     539.353                           309.775                          Corporate income tax -
              - Pajak lain-lain                                              65.772                           137.927                                   Other taxes -
             Akrual                                                       2.194.829     2d,2q,18            2.848.250                                            Accruals
             Pendapatan diterima di muka                                     41.105        2v                  48.647                                 Unearned revenue
             Liabilitas sewa                                                  2.632        2l                   1.860                                     Lease liabilities
             Liabilitas lain-lain                                           664.301     2d,2q,19              745.717                                      Other liabilities
             Pinjaman bank                                                             2d,2r,20,38                                                            Bank loans
              - pihak berelasi                                           27.789.117                        20.587.827                                related parties -
              - pihak ketiga                                             20.450.068                        14.436.961                                   third parties -
             Surat berharga yang diterbitkan                              5.518.736     2d,2t,21            8.198.004                                   Securities issued
             Pinjaman dari pemerintah                                         2.333      2d,22                 26.593                            Loans from government
             Liabilitas imbalan kerja                                     1.845.539       2r,23             1.720.089                          Employee benefit liabilities
             JUMLAH LIABILITAS                                           60.508.913                        49.949.840                                TOTAL LIABILITIES

             EKUITAS                                                                                                                                             EQUITY
             Ekuitas yang diatribusikan                                                                                                            Equity attributable to
              kepada pemilik entitas induk                                                                                               owners of the parents entity
             Modal saham                                                                                                                                    Share capital
              Modal saham - Nilai nominal                                                                                             Shared capital - Nominal amount
              Rp. 1.000.000 (nilai penuh)                                                                                                    Rp1,000,000 (full amount)
              per lembar saham                                                                                                                         at par per share
             Modal dasar                                                                                                                               Authorised capital
              - 1 lembar saham seri A Dwiwarna                                                                                        1 share of series A Dwiwarna -
              - 24.999.999 lembar saham seri B                                                                                       24,999,999 shares of series B -
                masing-masing per 30 Juni 2024                                                                                              as at 30 June 2024 and
                dan 31 Desember 2023                                                                                                31 December 2023 respectively
             Modal ditempatkan dan disetor penuh                                                                                             Issued and fully paid capital
              - 1 lembar saham seri A Dwiwarna                                                                                        1 share of series A Dwiwarna -
              - 6.249.999 lembar saham seri B                                                                                          6,249,999 shares of series B -
                masing-masing per 30 Juni 2024                            6.250.000       24a               6.250.000                       as at 30 June 2024 and
                dan 31 Desember 2023                                                                                                31 December 2023 respectively
             Cadangan revaluasi aset                                      7.669.436     2j,12,24d           7.699.743                        Assets revaluation reserves
             Pengukuran kembali imbalan                                                                                                        Remeasurements of post-
              pasca kerja                                                  (860.228)     2s,23               (824.656)                            employment benefits
             Saldo laba yang telah dicadangkan                           16.754.749                        14.785.543                     Appropriated retained earnings
             Saldo laba yang belum dicadangkan                            3.282.359                         4.721.438                   Unppropriated retained earnings
                                                                         33.096.316                        32.632.068
              Kepentingan non-pengendali                                      3.808        25                   3.523                             Non-controlling interests
             TOTAL EKUITAS                                               33.100.124                        32.635.591                                     TOTAL EQUITY
             TOTAL LIABILITAS DAN EKUITAS                                93.609.037                        82.585.431                 TOTAL LIABILITIES AND EQUITY




Catatan atas laporan keuangan konsolidasian merupakan bagian                                                                          The accompanying notes form an integral part of these
yang tidak terpisahkan dari laporan keuangan konsolidasian                                   1                                                           consolidated financial statements
Page 2
     PT PEGADAIAN DAN ENTITAS ANAKNYA                                                         PT PEGADAIAN AND ITS SUBSIDIARIES
     LAPORAN LABA RUGI DAN PENGHASILAN                                                 INTERIM CONSOLIDATED STATEMENTS OF PROFIT
     KOMPREHENSIF LAIN KONSOLIDASIAN INTERIM                                             OR LOSS AND OTHER COMPREHENSIVE INCOME
     UNTUK PERIODE ENAM BULAN YANG BERAKHIR                                                       FOR THE SIX-MONTH PERIODS ENDED
     30 JUNI 2024 DAN 2023                                                                                     30 JUNE 2024 AND 2023

     (Dinyatakan dalam jutaan Rupiah, kecuali dinyatakan lain)                            (Exressed in millions of Rupiah, unless otherwise stated)

                                                           Periode yang berakhir pada tanggal
                                                                      30 Juni/June
                                                          2024          Catatan/          2023
                                                   (6 bulan/months )      Notes    (6 bulan/months )

     Pendapatan usaha                                                                                                            Operating revenues
     Pendapatan sewa modal                                                                                                                Interest and
      dan administrasi                                         9.553.567     2w,26          7.692.431                       administration revenues
     Pendapatan penjualan emas                                 6.338.467     2w,27          3.954.284                         Revenue from gold sold
     Pendapatan usaha lainnya                                   184.358      2w,28           186.316                        Other operating revenues
     Jumlah pendapatan usaha                              16.076.392                       11.833.031                     Total operating revenues

     Beban usaha                                                                                                                Operating expenses
     Beban harga pokok penjualan emas                          6.095.871     2w,29          3.795.494                 Cost of revenue from gold sold
     Beban pegawai                                             2.320.779     2w,30          2.136.945                             Employee expenses
     Beban bunga dan bagi hasil                            1.462.101        2w,31,38        1.127.448           Interest and profit-sharing expenses
     Beban administrasi dan umum                           2.040.058        2w,2x,32        1.658.838          General and administration expenses
     Beban pemasaran                                             94.054      2w,33            47.075                              Marketing expenses
     Cadangan kerugian penurunan nilai                          296.589       34             306.594               Allowances for impairment losses
     Jumlah beban usaha                                   12.309.452                        9.072.394                       Total operating expenses

     Laba usaha                                                3.766.940                    2.760.637                                Operating profit

     Pendapatan lain-lain - bersih                               16.851       2w               (2.509)                              Other income - net

     Laba sebelum pajak penghasilan                            3.783.791                    2.758.128                         Profit before income tax

     Beban pajak penghasilan                                    (879.076)    2u,17c          (651.637)                           Income tax expenses

     Laba bersih periode berjalan                          2.904.715                        2.106.491                       Net profit for the period

     Penghasilan komprehensif lain:                                                                                 Other comprehensive income:
     Pos yang tidak akan                                                                                                         Items that will not be
      direkasifikasikan ke laba rugi:                                                                                    reclassified to profit or loss:
      - Pengukuran kembali                                                                                                     Remeasurement of -
        imbalan pasca kerja                                      (45.610)    2s,23           (333.638)                     post employment benefit
      - Keuntungan revaluasi                                                                                               Gains on revaluation of-
        tanah dan bangunan                                         1.949                             -                           land and buildings
      - Efek pajak terkait                                       10.038       2u              73.438                              Related tax effect-
     Penghasilan komprehensif lain                                                                                     Other comprehensive income
      periode berjalan, setelah pajak                            (33.623)                    (260.200)                     for the period, net of tax

     Jumlah penghasilan                                                                                               Total comprehensive income
      komprehensif periode berjalan                            2.871.092                    1.846.291                                  for the period

     Laba bersih periode berjalan yang                                                                                      Net profit for the period
      diatribusikan kepada:                                                                                                           attributable to:
     Pemilik entitas induk                                     2.904.676                    2.106.195                            Owners of the parent
     Kepentingan non-pengendali                                      39                           296                        Non-controlling interests
                                                               2.904.715                    2.106.491
     Jumlah penghasilan komprehensif                                                                                  Total comprehensive income
      yang dapat diatribusikan kepada:                                                                                                attributable to:
     Pemilik entitas induk                                     2.871.053                    1.845.995                            Owners of the parent
     Kepentingan non-pengendali                                      39                           296                        Non-controlling interests
                                                               2.871.092                    1.846.291
     Laba bersih per saham-                                                                                                      Earnings per share-
      dasar dan dilusian                                                                                                          basic and diluted
      (dalam Rupiah penuh)                                      464.748      2z,35           336.991                          (in full Rupiah amount)




Catatan atas laporan keuangan konsolidasian merupakan bagian                                             The accompanying notes form an integral part of these
yang tidak terpisahkan dari laporan keuangan konsolidasian                     2                                           consolidated financial statements
Page 3
      PT PEGADAIAN DAN ENTITAS ANAKNYA                                                                                                                                          PT PEGADAIAN AND ITS SUBSIDIARIES
      LAPORAN PERUBAHAN EKUITAS KONSOLIDASIAN INTERIM                                                                                                       INTERIM CONSOLIDATED STATEMENTS OF CHANGES IN EQUITY
      UNTUK PERIODE ENAM BULAN YANG BERAKHIR                                                                                                                                     FOR THE SIX-MONTH PERIODS ENDED
      30 JUNI 2024 DAN 2023                                                                                                                                                                   30 JUNE 2024 AND 2023
      (Dinyatakan dalam jutaan Rupiah, kecuali dinyatakan lain)                                                                                                                                (Exressed in millions of Rupiah, unless otherwise stated)




                                                                                                  Diatribusikan kepada pemilik entitas induk/
                                                                                                     Attributable to owners of the parents                                   Diatribusikan
                                                                                                         Pengukuran                                                              kepada
                                                                                                      kembali imbalan                                                         kepentingan
                                                                                                                                                                                   non-
                                                                                       Cadangan          pasca kerja/
                                                                                                                                                                              pengendali/
                                                                                    revaluasi aset/ Remeasurement          Saldo laba/Retained earnings
                                                                                                                                                                             Attributable to
                                                                                        Assets             of post                             Belum                              non-
                                                                    Modal saham/      revaluation        employment      Dicadangkan/       dicadangkan/       Jumlah/         controlling       Jumlah ekuitas/
                                                                    Share capital      reserves            benefits       Appropriated     Unappropriated       Total           interests          Total equity

      Saldo pada tanggal                                                                                                                                                                                                                    Balance as at
        1 Januari 2023                                                  6.250.000       7.782.152          (658.661)       11.487.231         3.554.555        28.415.277             3.209           28.418.486                        1 January 2023

      Dividen                                              24c                  -                -                 -                 -                -                  -                 -                   -                               Dividend
      Pembentukan cadangan umum                            24b                  -                -                 -                 -                -                  -                 -                   -      Appropriation of general reserves
      Cadangan revaluasi aset                                                   -         (44.572)                 -                 -           44.572                  -                 -                   -            Assets revaluation reserve
      Laba bersih periode berjalan                                              -                -                 -                 -        2.106.195         2.106.195               296            2.106.491             Net income for the period
                                                                                                                                                                                                                         Other comprehensive income:
      Penghasilan komprehensif lain :                                                                                                                                                                                       Remeasurement of post -
      - Pengukuran kembali imbalan pasca kerja                 23               -                -         (333.638)                 -                 -         (333.638)                 -            (333.638)              employment benefit
      - Keuntungan revaluasi aset                              12               -                -                -                  -                 -                -                  -                    -       Gains on revaluation of asset -
      - Efek pajak terkait                                                      -                -           73.438                  -                 -           73.438                  -              73.438                    Related tax effect -

      Jumlah penghasilan komprehensif                                                                                                                                                                                         Total other comprehensive
          periode berjalan                                                      -                -         (260.200)                 -                 -         (260.200)                 -            (260.200)                income current period
      Saldo pada tanggal                                                                                                                                                                                                                   Balance as at
        30 Juni 2023                                                    6.250.000       7.737.580          (918.861)       11.487.231         3.599.127        28.155.077             3.209           28.158.286                         30 June 2023




Catatan atas laporan keuangan konsolidasian merupakan bagian                                                                                                                                                    The accompanying notes form an integral part of these
yang tidak terpisahkan dari laporan keuangan konsolidasian                                                                     3                                                                                                  consolidated financial statements
Page 4
      PT PEGADAIAN DAN ENTITAS ANAKNYA                                                                                                                                          PT PEGADAIAN AND ITS SUBSIDIARIES
      LAPORAN PERUBAHAN EKUITAS KONSOLIDASIAN INTERIM                                                                                                       INTERIM CONSOLIDATED STATEMENTS OF CHANGES IN EQUITY
      UNTUK PERIODE ENAM BULAN YANG BERAKHIR                                                                                                                                     FOR THE SIX-MONTH PERIODS ENDED
      30 JUNI 2024 DAN 2023                                                                                                                                                                   30 JUNE 2024 AND 2023
      (Dinyatakan dalam jutaan Rupiah, kecuali dinyatakan lain)                                                                                                                                 (Exressed in millions of Rupiah, unless otherwise stated)




                                                                                                  Diatribusikan kepada pemilik entitas induk/
                                                                                                     Attributable to owners of the parents                                    Diatribusikan
                                                                                                         Pengukuran                                                               kepada
                                                                                                      kembali imbalan                                                          kepentingan
                                                                                                                                                                                    non-
                                                                                       Cadangan          pasca kerja/
                                                                                                                                                                               pengendali/
                                                                                    revaluasi aset/ Remeasurement          Saldo laba/Retained earnings
                                                                                                                                                                              Attributable to
                                                                                        Assets             of post                             Belum                               non-
                                                                    Modal saham/      revaluation        employment      Dicadangkan/       dicadangkan/       Jumlah/          controlling       Jumlah ekuitas/
                                                                    Share capital      reserves            benefits       Appropriated     Unappropriated       Total            interests          Total equity

      Saldo pada tanggal                                                                                                                                                                                                                     Balance as at
        1 Januari 2024                                                  6.250.000       7.699.743          (824.656)       14.785.543         4.721.438        32.632.068              3.523           32.635.591                        1 January 2024

      Dividen                                              24c                  -                -                 -                -         (2.406.806)       (2.406.806)                 -          (2.406.806)                              Dividend
      Pembentukan cadangan umum                            24b                  -                -                 -        1.969.206         (1.969.206)                -                  -                   -      Appropriation of general reserves
      Cadangan revaluasi aset                                                   -          (32.257)                -                -             32.257                 -                  -                   -            Assets revaluation reserve
      Perubahan kepentingan non pengendali                                                                                                                                                                             Movements in the non-controlling
         pada entitas anak                                                      -                -                 -                 -                -                 -                246                  246                       in subsidiaries
      Laba bersih periode berjalan                                              -                -                 -                 -        2.904.676         2.904.676                 39            2.904.715             Net income for the period
                                                                                                                                                                                                                          Other comprehensive income:
      Penghasilan komprehensif lain :                                                                                                                                                                                        Remeasurement of post -
      - Pengukuran kembali imbalan pasca kerja                 23               -               -            (45.610)                -                 -          (45.610)                  -             (45.610)              employment benefit
      - Keuntungan revaluasi aset                              12               -           1.950                  -                 -                 -            1.950                   -               1.950        Gains on revaluation of asset -
      - Efek pajak terkait                                                      -               -             10.038                 -                 -           10.038                   -              10.038                    Related tax effect -

      Jumlah penghasilan komprehensif                                                                                                                                                                                          Total other comprehensive
        periode berjalan                                                        -           1.950            (35.572)                -                 -          (33.622)                  -             (33.622)                income current period
      Saldo pada tanggal                                                                                                                                                                                                                    Balance as at
        30 Juni 2024                                                    6.250.000       7.669.436          (860.228)       16.754.749         3.282.359        33.096.316              3.808           33.100.124                         30 June 2024
                                                                        6.250.000       7.669.436          (860.228)       16.754.749         3.282.359        33.096.316              3.808           33.100.124




Catatan atas laporan keuangan konsolidasian merupakan bagian                                                                                                                                                     The accompanying notes form an integral part of these
yang tidak terpisahkan dari laporan keuangan konsolidasian                                                                     4                                                                                                   consolidated financial statements
Page 5
      PT PEGADAIAN DAN ENTITAS ANAKNYA                                                                        PT PEGADAIAN AND ITS SUBSIDIARIES
      LAPORAN ARUS KAS KONSOLIDASIAN INTERIM                                                   INTERIM CONSOLIDATED STATEMENTS OF CASH FLOWS
      UNTUK PERIODE ENAM BULAN YANG BERAKHIR                                                                   FOR THE SIX-MONTH PERIODS ENDED
      30 JUNI 2024 DAN 2023                                                                                                 30 JUNE 2024 AND 2023
      (Dinyatakan dalam jutaan Rupiah, kecuali dinyatakan lain)                                           (Expressed in millions of Rupiah, unless otherwise stated)

                                                                                   30 Juni/June
                                                                      2024                               2023
                                                               (6 bulan/months )                  (6 bulan/months )

      ARUS KAS DARI                                                                                                                           CASH FLOWS FROM
        AKTIVASI OPERASI                                                                                                                OPERATING ACTIVITIES
      Penerimaan kas dari pelanggan:                                                                                                   Cash receipt from customers:
        Pelunasan pinjaman yang diberikan                            109.013.519                         93.965.320                   Loan receivables repayment
        Penerimaan pendapatan sewa modal                                                                                                    Receipt of interest and
          dan administrasi                                             9.255.806                          7.460.792                       administration income
        Pendapatan usaha lainnya                                         416.762                            317.671                      Other operating revenues
                                                                                                                                  Proceeds from sales of supplies
        Hasil penjualan persediaan barang                                  1.916                             18.254                                   inventories
        Penerimaan lainnya                                                97.023                             72.371                                  Others receipt
      Pembayaran kas untuk:                                                                                                                       Cash payment for:
        Penyaluran pinjaman yang diberikan                          (118.467.118)                       (97.766.427)              Loan receivables disbursement
        Pembayaran bunga                                              (1.476.229)                        (1.175.829)                              Interest payment
        Beban pegawai                                                 (2.656.647)                        (2.734.184)                          Employee expenses
        Beban usaha                                                   (1.677.896)                        (1.906.429)                           Operating expenses
        Pembayaran pajak penghasilan                                  (1.383.265)                        (1.121.476)                          Income tax payment

      Arus kas bersih yang digunakan untuk                                                                                                  Net cash flows used in
        aktivitas operasi                                             (6.876.129)                        (2.869.937)                          operating activities

      ARUS KAS DARI                                                                                                                           CASH FLOWS FROM
        AKTIVITAS INVESTASI                                                                                                             INVESTING ACTIVITIES

      Pengeluaran kas untuk:                                                                                                                     Cash payments for:
        Pembelian aset takberwujud                                       (27.331)         13                (42.728)              Purchased for intangible assets
        Pembelian aset tetap                                            (430.921)         12               (490.916)                    Purchased for fixed assets
        Efek-efek                                                       (630.000)                                  -

      Arus kas bersih yang digunakan                                                                                                        Net cash flows used in
        untuk aktivitas investasi                                     (1.088.252)                          (533.644)                          investing activities

      ARUS KAS DARI                                                                                                                           CASH FLOWS FROM
        AKTIVITAS PENDANAAN                                                                                                              FINANCING ACTIVITIES
      Penerimaan kas dari:                                                                                                                        Cash receipt from:
        Pinjaman bank                                                164.081.003          42            129.119.237                                     Bank loans
        Surat beharga yang diterbitkan                                   791.805                          2.600.000                               Securities issued
      Pengeluaran kas untuk:                                                                                                                    Cash payment for:
       Angsuran pinjaman bank                                       (150.866.605)         42           (122.944.506)                      Bank loans installment
       Pelunasan surat beharga yang diterbitkan                       (3.473.300)         42             (5.221.000)                              Bonds payment
       Pembayaran dividen                                             (2.406.807)                                 -                            Dividend payment
       Pembayaran emisi obligasi                                          (1.553)                            (3.079)                          Bond issuance cost
       Pelunasan pinjaman pemerintah                                     (24.259)         42               (206.130)                 Payment for goverment loans

      Arus kas bersih yang diperoleh dari                                                                                           Net cash flows provided from
       aktivitas pendanaan                                             8.100.284                          3.344.522                         financing activities

      (PENURUNAN)/KENAIKAN BERSIH                                                                                                 (DECREASE)/NET INCREASE
        KAS DAN SETARA KAS                                               135.903                            (59.059)          CASH AND CASH EQUIVALENTS

      KAS DAN SETARA KAS                                                                                                        CASH AND CASH EQUIVALENTS
       PADA AWAL TAHUN                                                   263.631                            378.749             AT BEGINNING OF THE YEAR

      KAS DAN SETARA KAS                                                                                                        CASH AND CASH EQUIVALENTS
       PADA AKHIR TAHUN                                                  399.534                            319.690                   AT END OF THE YEAR

      Kas dan setara kas pada                                                                                                        Cash and cash equivalents at
       akhir periode terdiri dari:                                                                                                   end of the year consists of:
       Kas                                                                88.086                             99.871                                         Cash
       Setara kas                                                        311.448                            219.819                              Cash equivalents

      Jumlah kas dan setara kas                                          399.534                            319.690              Total cash and cash equivalents




Catatan atas laporan keuangan konsolidasian merupakan bagian                                                             The accompanying notes form an integral part of these
yang tidak terpisahkan dari laporan keuangan konsolidasian                            5                                                    consolidated financial statements

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