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Page 1
PT Rukun Raharja Tbk




BERSAMA MEMBANGUN
KEUNGGULAN UNTUK
PERTUMBUHAN
BERKELANJUTAN
Together Shaping Excellence
for Sustainable Growth




Annual Report




2O25
Laporan Tahunan
Page 2

          
Page 3
Sanggahan Dan Batasan
Tanggung Jawab
Disclaimer and Limitation of Liability




Laporan Tahunan ini memuat sejumlah pernyataan mengenai
kondisi keuangan, hasil operasi, proyeksi, rencana, strategi,
kebijakan, hingga tujuan Perseroan yang digolongkan sebagai
pernyataan ke depan dalam pengertian peraturan dan
perundang-undangan yang berlaku. Pernyataan-pernyataan
tersebut bersifat prospektif serta memiliki risiko dan
ketidakpastian, sehingga dapat menghadirkan perbedaan
material terhadap perkembangan aktual.

Seluruh pernyataan prospektif di dalam laporan tahunan ini
disusun berdasarkan kondisi terkini dan berbagai asumsi
mengenai kondisi mendatang terkait lingkungan bisnis
Perseroan. Oleh karena itu, Perseroan menghimbau agar
pemangku kepentingan dapat menggunakan informasi
tersebut secara bijak dalam pengambilan keputusan. Laporan
ini memuat kata “Perusahaan”, “Perseroan”, “PT Rukun
Raharja Tbk”,” Rukun Raharja” serta “RAJA” yang seluruhnya
merujuk pada PT Rukun Raharja Tbk.


This Annual Report contains statements regarding the
Company’s financial condition, operating results, projections,
plans, strategies, policies, and objectives that are classified
as forward-looking statements under applicable laws and
regulations. These statements are prospective in nature
and involve risks and uncertainties, which may cause actual
developments to differ materially from those anticipated.

All forward-looking statements herein are prepared based
on current conditions and various assumptions concerning
the Company’s future business environment. Accordingly,
stakeholders are advised to exercise prudence in using such
information for decision-making purposes. Throughout this
Annual Report, the terms “Corporate,” “Company,” “PT Rukun
Raharja Tbk,” “Rukun Raharja,” and “RAJA” all refer to PT
Rukun Raharja Tbk.
Page 4
2025    Annual Report
        PT Rukun Raharja Tbk




Penjelasan Tema
Theme Explanation




Bersama Membangun Keunggulan untuk
Pertumbuhan Berkelanjutan
Together Shaping Excellence for Sustainable Growth


Seiring pertumbuhan PT Rukun Raharja Tbk menjadi               As PT Rukun Raharja Tbk continues to evolve into a respected
Perusahaan investasi yang disegani dalam pengadaan energi      investment company in the procurement of clean energy for
bersih bagi kepentingan bangsa dan masyarakat, ekspansi        the benefit of the nation and society, business expansion
bisnis menjadi kunci dalam memperkuat ketahanan energi.        remains a key driver in strengthening energy resilience. In
Pada 2025, akselerasi transformasi menjadi fokus utama         2025, accelerating transformation became the primary focus
untuk memperkuat daya saing dan mendorong pertumbuhan          to enhance competitiveness and foster sustainable growth.
berkelanjutan.

Melalui fondasi bisnis yang solid, governansi yang kuat, dan   RAJA’s core strengths lie in its solid business foundation,
strategi investasi berkelanjutan merupakan kekuatan utama      strong governance, and sustainable investment strategy.
RAJA. Dengan kontrak jangka panjang, profil keuangan yang      Supported by long-term contracts, a sound financial profile,
sehat, dan tim manajemen berpengalaman, RAJA optimistis        and an experienced management team, RAJA is confident in
menjaga pertumbuhan yang stabil dan kredibel.                  sustaining stable and credible growth.
Page 5
                                                                                                                                               Laporan Tahunan
                                                                                                                                           PT Rukun Raharja Tbk       2025




Kesinambungan Tema
Continuity of Themes




 ESG COMMITMENT TO MAINTAIN                                      ELEVATING PERFORMANCE,                                   DRIVING SUSTAINABLE GROWTH
  BUSINESS AND OPERATIONAL                                        POWERING THE FUTURE                                     THROUGH BUSINESS EXPANSION
        EXCELLENCE                                                                                                            AND DIVERSIFICATION
                                                                                     2024
                        2023                                                                                                                     2022
Pada tahun 2023, PT Rukun Raharja Tbk (“Perseroan”           Pada tahun 2024, PT Rukun Raharja Tbk (“Perseroan”           Tahun 2022 merupakan tahun di mana RAJA
atau “Rukun Raharja”) kinerja operasional bertumbuh,         atau “Rukun Raharja”) kembali menunjukkan                    kembali berfokus pada ekspansi usaha melalui visi
laba bersih mengalami kenaikan sekitar 150,47% jika          peningkatan kinerja yang solid dan berkesinambungan.         pembangunan yang berkelanjutan. Kinerja Perseroan
dibandingkan dengan perolehan laba di periode yang           Perseroan berhasil menjaga pertumbuhan positif di            menunjukkan penguatan yang signifikan. Perseroan telah
sama pada tahun sebelumnya. Pencapaian positif ini           tengah dinamika industri energi, dengan mencatat             mengembangkan langkah adaptif guna peningkatan
diyakini akan semakin memantapkan posisi Perseroan           peningkatan pendapatan dan kontribusi yang signifikan        kinerja usaha di masa depan. Di samping itu dalam
dalam merealisasikan visinya “Menjadi perusahaan             dari anak usaha, terutama di segmen perdagangan dan          mendukung diversifikasi usaha, Perseroan berhasil
investasi yang disegani dalam pengadaan energi bersih        pengangkutan gas.                                            meningkatkan pendapatan dan kinerja usaha dari
bagi kepentingan bangsa dan masyarakat.”                                                                                  kegiatan Perdagangan, Pengangkutan, Kompresi Gas,
                                                             Pencapaian ini mencerminkan keberhasilan Perseroan           dan serangkaian diversifikasi usaha lain.
Untuk menjaga stabilitas bisnis, Perseroan telah             dalam Meningkatkan Kinerja, melalui penguatan
berinvestasi pada berbagai aspek untuk menjamin              operasional dan pengelolaan aset yang efisien. Di saat       Perseroan terus berkomitmen menjalankan prinsip best
kelancaran kegiatan operasional. Ada beberapa faktor         yang sama, langkah-langkah konsisten untuk menjaga           practice Good Corporate Governance dalam mendukung
yang mempengaruhi kenaikan ini, di antaranya adalah          pertumbuhan dan stabilitas usaha menjadi fondasi             pembangunan berkelanjutan serta peningkatan operasi
penambahan customer baru sehingga adanya kenaikan            dalam Menggerakkan Masa Depan Perseroan—baik                 Perseroan. Ke depan, Perseroan tetap melakukan
penjualan gas, dan kenaikan pendapatan atas kenaikan         dalam menjawab kebutuhan energi saat ini maupun              diversifikasi usaha dengan berfokus pada praktik bisnis
volume pengaliran pada pipa Perseroan. Dengan                mempersiapkan arah bisnis ke depan.                          yang berkelanjutan dan mencapai target net zero carbon
menerapkan berbagai inisiatif strategis, Perseroan                                                                        emission dengan menerapkan efisiensi energi dalam
optimis dapat meraih pertumbuhan kinerja unggul              Dengan berpegang pada visi “Menjadi perusahaan               seluruh kegiatan operasinya.
yang berkelanjutan secara konsisten.                         investasi yang disegani dalam pengadaan energi bersih
                                                             bagi kepentingan bangsa dan masyarakat,” Perseroan
                                                             akan terus menjalankan strategi pertumbuhan
                                                             berkelanjutan yang mampu menciptakan nilai jangka            2022 is the year in which RAJA re-focused on business
In 2023, PT Rukun Raharja Tbk (“the Company” or              panjang bagi seluruh pemangku kepentingan.                   expansion through a vision of sustainable development.
“Rukun Raharja”) achieved significant operational
                                                                                                                          The Company’s performance showed a significant
growth, with net profit increasing by approximately
                                                                                                                          strengthening. The Company established adaptive steps to
150,47% compared to the same period in the previous
                                                                                                                          improve business performance in the future. Additionally,
year. This positive achievement is believed to further       In 2024, PT Rukun Raharja Tbk (“the Company” or “Rukun
                                                                                                                          in supporting business diversification, the Company
solidify the Company’s position in realizing its vision of   Raharja”) continued to show solid and sustainable
                                                                                                                          thrived in increasing revenue and business performance
“Becoming a respected investment company in providing        performance improvement. The Company managed
                                                                                                                          from trading, transportation, gas compression and a
clean energy for the interest of the nation and society.”    to maintain growth amid the dynamics of the energy
                                                                                                                          series of other business diversifications.
                                                             industry, recording an increase in revenue and significant
The Company has invested in various aspects to               contributions from its subsidiaries, especially in the
                                                                                                                          The Company continues to be committed to implementing
ensure smooth operational activities and maintain            gas trading and transportation segment.
                                                                                                                          the best practice principles of Good Corporate Governance
business stability. Several factors have contributed to
                                                                                                                          in supporting sustainable development and improving
this increase, including the addition of new customers,      This achievement reflects the Company’s success
                                                                                                                          the Company’s operations. Going forward, the Company
which has led to increased gas sales and revenue growth      in Improving Performance, through strengthening
                                                                                                                          will remain diversifying its business by focusing on
resulting from the expanded flow volume through the          operations and efficient asset management. At the same
                                                                                                                          sustainable business practices and achieving a net
Company’s pipelines. Through the implementation of           time, consistent steps to maintain business growth and
                                                                                                                          zero carbon emission target by implementing energy
various strategic initiatives, the Company is optimistic     stability are the foundation for Driving the Future of the
                                                                                                                          efficiency in all its operational activities
about consistently achieving sustainable superior            Company— both in meeting current energy needs and
performance growth.                                          preparing the future direction of the business.

                                                             By adhering to the vision of “Becoming a respected
                                                             investment company in the procurement of clean energy
                                                             for the benefit of the nation and society,” the Company
                                                             will continue to pursue a sustainable growth strategy
                                                             capable of creating long-term value for all stakeholders.
Page 6
2025       Annual Report
           PT Rukun Raharja Tbk
                                                                                              Together Shaping Excellence For Sustainable Growth




Pencapaian Kinerja 2025
2025 Performance Achievement




                       dari USD254,48 juta di tahun 2024
                       menjadi USD266,67 juta di tahun 2025.
                       from USD254.48 million in 2024
                       to USD266.67 million in 2025.
                                                                                4,79 %
                                                                                Pendapatan Bersih
                                                                                Net Revenue




20,42 %
Laba Tahun Berjalan
                                                             dari USD29,08 juta di tahun 2024
                                                             menjadi USD35,02 juta di tahun 2025.
                                                             from USD29.08 million in 2024
                                                             to USD35.02 million in 2025.
Profit for the Year




                                     6,89 %
                                      Volume Jasa Kompresi
                                                                                 dari 7,64 juta MFCF di tahun 2024
                                                                                 menjadi 8,17 juta MFCF di tahun 2025.
                                                                                 from 7.64 million MFCF in 2024
                                                                                 to 8.17 million MFCF in 2025.
                                      Compression Service Volume
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                                                                                                  Laporan Tahunan
                                                                                              PT Rukun Raharja Tbk   2025




                                3,82 %
                                Pendapatan dari Pedagangan Gas
                                                                 dari USD136,47 juta di tahun 2024
                                                                 menjadi USD141,69 juta di tahun 2025.
                                                                 from USD136,47 million in 2024
                                                                 to USD141.69 million in 2025.
                                Revenue from Trading Gas




                                 44,15 %
                                  Total Aset
                                  Total Assets
                                                                            dari USD331,35 juta di tahun 2024
                                                                            menjadi USD477,63 juta di tahun 2025.
                                                                            from USD331.35 million in 2024
                                                                            to USD477.63 million in 2025.
Page 8
2025       Annual Report
           PT Rukun Raharja Tbk
                                                                                                  Together Shaping Excellence For Sustainable Growth




Daftar Isi
Table of Contents


 2        Sanggahan Dan Batasan Tanggung Jawab                               53    Nilai Perusahaan
          Disclaimer and Limitation of Liability                                   Corporate Values

 4        Penjelasan Tema                                                    54    Bidang Usaha, Produk, dan Layanan
          Theme Explanation                                                        Line of Business, Products and Services

 6        Pencapaian Kinerja 2025                                            56    Wilayah Operasional
          2025 Performance Achievement                                             Operational Area

 8        Daftar Isi                                                         59    Keanggotaan Asosiasi
          Table of Contents                                                        Association Membership




     01
                                                                             59    Struktur Organisasi
                     Ikhtisar Kinerja                                              Organizational Structure

                     Performance Highlights                                  60    Profil Dewan Komisaris
                                                                                   Board of Commissioners Profile

     12     Ikhtisar Kinerja Keuangan                                        68    Profil Direksi
            Financial Performance Highlights                                       Board of Directors Profile

     16     Ikhtisar Kinerja Operasi                                         72    Demografi Karyawan dan Pengembangan Kompetensi
            Operational Performances Highlights                                    Employee Demographics and Competency Development

     19     Ikhtisar Saham dan/atau Efek Lainnya                             76    Pemegang Saham & Informasi Kepemilikan Saham
            Stock and/or Other Securities Highlights                               Shareholders & Shareholding Information

     20     Aksi Korporasi dan Perdagangan Saham                             78    Struktur Grup dan Kelompok Usaha
            Corporate Actions and Stock Trading                                    Group Structure and Business Groups

     21     Ikhtisar Dividen                                                 82    Entitas Anak dan/atau Entitas Asosiasi
            Dividend Highlights                                                    List of Subsidiaries, Associates and Joint Ventures

     21     Informasi Tentang Penerbitan Obligasi, Sukuk atau Obligasi       118   Informasi tentang Kronologis Penerbitan dan Pencatatan
            Konversi, serta Pendanaan Lainnya                                      Saham Serta Kronologis Penerbitan dan Pencatatan Efek
            Information on the Issuance of Bonds, Sukuk, Convertible               Lainnya
            Bonds, or Other Financing Instruments                                  Information on the Chronology of Issuance and Listing of
                                                                                   Shares and the Chronology of Issuance and Listing of Other
                                                                                   Securities
     22     Penghargaan dan Sertifikasi
            Awards and Certifications
                                                                             119   Audit Eksternal
                                                                                   External Audit
     24     Kilas Peristiwa 2025
            2025 Event Flash
                                                                             120   Lembaga dan Profesi Penunjang




     02
                                                                                   Supporting Institutions and Professions

                     Laporan Manajemen                                       122   Informasi pada Situs Web Perusahaan
                     Management Reports                                            Information on the Company’s Website




                                                                             04
     28     Laporan Dewan Komisaris
            Board of Commissioners Report                                                   Analisis dan Pembahasan
     34     Laporan Direksi
                                                                                            Manajemen
            Board of Directors Report                                                       Management Discussion
                                                                                            and Analysis

     03              Profil Perusahaan
                     Company Profile                                         126   Tinjauan Ekonomi
                                                                                   Economic Review

                                                                             127   Tinjauan Industri
     46     Informasi Umum dan Identitas Perusahaan
                                                                                   Industrial Review
            General Information and Company Identity
                                                                             128   Tinjauan Operasional
     48     Riwayat Singkat Perseroan
                                                                                   Operational Review
            Brief History of the Company
                                                                             133   Tinjauan Keuangan
     50     Jejak Langkah
                                                                                   Financial Review
            Company History
                                                                             138   Laporan Laba Rugi dan Penghasilan Komprehensif Lain
     52     Visi, Misi, dan Nilai-Nilai Budaya Perusahaan
                                                                                   Statement of Profit or Loss and Other Comprehensive
            Vision, Mission, and Cultural Values of the Company
                                                                                   Income

                                                                             142   Laporan Arus Kas Konsolidasian
                                                                                   Consolidated Statement of Cash Flows



                                                                         8
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                                                                                                               Laporan Tahunan
                                                                                                           PT Rukun Raharja Tbk   2025




  144    Rasio Keuangan                                                   190   Komite Audit
         Financial Ratios                                                       Audit Committee

  145    Kemampuan Membayar Utang                                         188   Komite Nominasi, Remunerasi, dan GCG
         Debt Servicing Capacity                                                Nomination, Remuneration, and GCG Committee

  146    Struktur Modal                                                   204   Sekretaris Perusahaan
         Capital Structure                                                      Corporate Secretary

  147    Informasi Tentang Ikatan yang Material Untuk                     208   Unit Audit Internal
         Investasi Barang Modal                                                 Internal Audit Unit
         Information on Material Commitments for Capital Investment
                                                                          212   Sistem Pengendalian Internal
  148    Investasi Barang Modal                                                 Internal Control System
         Capital Goods Investment
                                                                          216   Manajemen Risiko
  148    Informasi dan Fakta Material yang Terjadi Setelah                      Risk Management
         Tanggal Laporan Akuntan
         Material Information and Facts After the Accountant’s            220   Perkara Penting
         Reporting Date                                                         Material Matters

  149    Prospek Usaha                                                    220   Sanksi Administratif
         Business Prospects                                                     Administrative Sanctions

  150    Target dan Realisasi 2025 Serta Proyeksi 2026                    220   Kode Etik
         2025 Target Achievement and 2026 Projection                            Code of Ethics

  149    Aspek Pemasaran                                                  223   Program Kepemilikan Saham oleh Karyawan dan
         Marketing Aspects                                                      Manajemen
                                                                                Employee and Management Stock Ownership Program
  151    Dividen dan Kebijakan Dividen
         Dividends and Dividend Policy                                    223   Kebijakan Pengungkapan Informasi
                                                                                Information Disclosure Policy
  152    Realisasi Penggunaan Dana Hasil Penawaran Umum
         Realization of Use of Proceeds from Public Offering
                                                                          224   Akses dan Keterbukaan Informasi
                                                                                Access and Transparency of Information
  153    Informasi Material Terkait Investasi, Ekspansi,
         Divestasi, Akuisisi, Restrukturisasi Utang dan/atau
                                                                          225   Kebijakan Pengadaan Barang Dan Jasa
         Modal
                                                                                Goods and Services Procurement Policy
         Material Information Related to Investment, Expansion,
         Divestment, Acquisition, Debt and/or Capital
         Restructuring                                                    225   Sistem Pelaporan Pelanggaran
                                                                                Whistleblowing System
  154    Transaksi-Transaksi dan Saldo dengan Pihak-Pihak
         Transactions and Balances with Related Parties                   227   Pengendalian Gratifikasi dan Anti Korupsi
                                                                                Gratuity Control and Anti-Corruption
  157    Perubahan Peraturan Perundang-Undangan yang
         Berpengaruh Signifikan Terhadap Perusahaan                       228   Penerapan atas Pedoman Tata Kelola Perusahaan
                                                                                Implementation of Good Corporate Governance Guidelines
         Changes in Laws and Regulations Affecting the Company

  157    Perubahan Kebijakan Akuntansi




                                                                          06
         Changes in Accounting Policies
                                                                                      Tanggung Jawab


    05
                                                                                      Sosial Perusahaan
                    Tata Kelola Perusahaan
                                                                                      Corporate Social
                    Corporate Governance
                                                                                      Responsibility
 160     Struktur Tata Kelola Perusahaan
         Corporate Governance Structure                                   233   Penerapan atas Pedoman Tata Kelola Perusahaan
                                                                                Implementation of Good Corporate Governance Guidelines
 161     Rapat Umum Pemegang Saham (RUPS)
         General Meeting of Shareholders (GMS)

 170


 176
         Dewan Komisaris
         Board of Commissioners

         Direksi
                                                                          07          Laporan Keuangan
                                                                                      Financial Statements
         Board of Directors
                                                                          237   Laporan Keuangan
 181     Nominasi dan Remunerasi Direksi dan Dewan Komisaris                    Financial Reports
         Nomination and Remuneration of the Board of Directors and
         Board of Commissioners

 184     Transparansi Informasi Dewan Komisaris
         dan Direksi
         Information Transparency of The Board of Commissioners
         and Board of Directors


                                                                      9
Page 10
2025   Annual Report
       PT Rukun Raharja Tbk
                                   Together Shaping Excellence For Sustainable Growth




                              10
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                                                                                           Laporan Tahunan
                                                                                       PT Rukun Raharja Tbk   2025




                                                       O1      IKHTISAR KINERJA
                                                               Performance Highlight




                                                                    11
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2025       Annual Report
           PT Rukun Raharja Tbk
                                                                                                                        Together Shaping Excellence For Sustainable Growth




Ikhtisar Kinerja Keuangan
Financial Performance Highlight


Laporan Laba (Rugi) dan Penghasilan Komprehensif Lain
Statement of Income (Loss) and Other Comprehensive Income                                                                                  (Dalam USD | In USD)


                                                                                                                                                  YoY 2024-2025
                            Uraian
                                                                 2025           2024           2023           2022              2021
                          Description
                                                                                                                                             Nominal            %

 Pendapatan Bersih
                                                             266.667.002     254.476.931    203.745.960    126.686.088       98.146.630     12.190.071        4,79%
 Net Revenue

 Beban Pokok Pendapatan
                                                             (194.510.070)   (185.226.881) (137.806.002) (101.627.297)      (82.725.743)    (9.283.189)       5,01%
 Cost of Revenue

 Laba Bruto
                                                              72.156.932      69.250.050    65.939.958     25.058.791        15.420.887      2.906.882        4,20%
 Gross Profit

 Beban Umum dan Administrasi
                                                             (25.311.928)    (19.865.164)   (17.894.728)   (12.733.529)     (10.810.082)    (5.446.764)       27,42%
 General and Administrative Expenses

 Laba/(Rugi) Selisih Kurs – Bersih
                                                              (2.220.348)     (331.908)       318.175      (2.081.620)         98.548       (1.888.440)      568,96%
 Gain/(Loss) Foreign Exchange – Net

 Bagian Laba Entitas Asosiasi
                                                              19.747.573      6.154.687      7.479.071      6.960.148        3.058.997      13.592.886       220,85%
 Share of Profit from Associates

 Pendapatan (Beban) Lain - Lain
                                                              (4.757.598)     (672.532)     (5.492.247)    (1.473.854)       (657.178)      (4.085.066)      607,42%
 Other Income (Expenses)

 Laba Usaha Sebelum Beban Keuangan dan Pajak
 Penghasilan                                                  59.614.631      54.535.133    50.350.229     15.729.936        7.111.172       5.079.498        9,31%
 Profit Before Financing and Income Tax Expense

 Beban Keuangan/Bunga
                                                             (10.071.435)    (10.316.208)   (9.703.752)    (2.706.056)      (2.459.506)       244.773         (2,37%)
 Finance/interest costs

 Laba Sebelum Pajak Penghasilan
                                                              49.543.196      44.218.925    40.646.477     13.023.880        4.651.666       5.324.271        12,04%
 Profit Before Income Tax

 Beban Pajak Penghasilan
                                                             (14.523.451)    (15.136.415)   (13.496.997)   (2.184.537)      (1.254.935)       612.964         (4,05%)
 Income Tax Expense

 Laba Tahun Berjalan
                                                              35.019.745      29.082.510    27.149.480     10.839.343        3.396.731       5.937.235        20,42%
 Profit for the Year

 Penghasilan/(Kerugian) Komprehensif Lain
                                                              (1.400.982)      (24.380)      (131.859)       24.483           130.287       (1.376.602)     5.646,44%
 Other Comprehensive Income/(Loss)

 Jumlah Penghasilan Komprehensif Tahun Berjalan
                                                              33.618.763      29.058.130    27.017.621     10.863.826        3.527.018       4.560.633        15,69%
 Total Comprehensive Income for the Year

 Laba Tahun Berjalan yang Dapat Diatribusikan Kepada:
 Profit for the Year Attributable to :

 Pemilik Entitas Induk
                                                              27.240.089      25.552.112    25.606.534      8.821.573        2.252.268       1.687.977        6,61%
 Owners of the parent entity

 Kepentingan Nonpengendali
                                                              7.779.656       3.530.398      1.542.946      2.017.770        1.144.463       4.249.258       120,36%
 Non-Controlling Interests

 Jumlah Penghasilan Komprehensif Tahun Berjalan yang
 Dapat Diatribusikan Kepada:
 Total Comprehensive Income for the Year Attributable to :

 Pemilik Entitas Induk
                                                              25.894.553      25.527.284    25.510.862      8.854.668        2.366.249        367.269         1,44%
 Owners to the Parent Entity

 Kepentingan Nonpengendali
                                                              7.724.210       3.530.846      1.506.759      2.009.158        1.160.769       4.193.364       118,76%
 Non-Controlling Interest

 Laba per Saham yang Diatribusikan kepada Pemilik Entitas
 Induk Dasar dan Dilusian
                                                               0,00644         0,00604        0,00606        0,00209          0,00053         0,00040         6,61%
 Earnings per Share Attributable to Owners of the Parent
 Entity Basic and Diluted




                                                                               12
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                                                                                                                                          Laporan Tahunan
                                                                                                                                      PT Rukun Raharja Tbk   2025


Pendapatan Bersih                                                             Laba Tahun Berjalan
Net Revenue                                (Dalam USD | In USD)               Profit for the Year                                         (Dalam USD | In USD)




                 2025                2024          2023                                         2025                 2024             2023
               266.667.002         254.476.931   203.745.960                                   35.019.745        29.082.510          27.149.480


EBITDA                                                                        Jumlah Penghasilan Komprehensif
EBITDA                                     (Dalam USD | In USD)               Tahun Berjalan
                                                                              Total Comprehensive Income for the Year                     (Dalam USD | In USD)




                 2025                2024          2023                                         2025                 2024             2023
               81.921.180          74.914.851    70.535.491                                    33.618.763        29.058.130          27.017.621


Laporan Posisi Keuangan Konsolidasian
Consolidated Statements of Financial Position                                                                                             (Dalam USD | In USD)

                                                                                                                                                  YoY 2024-2025
                               Uraian
                                                                  2025          2024          2023            2022            2021
                             Description
                                                                                                                                           Nominal             %

 Aset
 Assets

 Aset Lancar
                                                               137.610.056   90.808.672    80.522.149       58.598.231   64.932.853       46.801.384         51,54%
 Current Assets

 Aset Tidak Lancar
                                                               340.023.021   240.541.987   248.125.979   201.906.344     180.653.299      99.481.034         41,36%
 Non-Current Assets

 Jumlah Aset
                                                               477.633.077   331.350.659   328.648.128   260.504.575     245.586.152      146.282.418        44,15%
 Total Assets

 Liabilitas
 Liabilities

 Liabilitas Jangka Pendek
                                                               95.327.220    58.448.090    56.349.438       26.985.368   19.701.199       36.879.130         63,10%
 Current Liabilities

 Liabilitas Jangka Panjang
                                                               126.368.465   101.039.988   117.756.404   100.463.575     100.767.697      25.328.477         25,07%
 Non-Current Liabilities

 Jumlah Liabilitas
                                                               221.695.685   159.488.078   174.105.842   127.448.943     120.468.896      62.207.607         39,00%
 Total Liabilities

 Ekuitas
 Equity

 Jumlah Ekuitas
                                                               255.937.392   171.862.581   154.542.286   133.055.632     125.117.256      84.074.811         48,92%
 Total Equity

 Jumlah Liabilitas dan Ekuitas
                                                               477.633.077   331.350.659   328.648.128   260.504.575     245.586.152      146.282.418        44,15%
 Total Liabilities and Equity



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Aset                                                                                      Liabilitas
Assets                                   (Dalam USD | In USD)                             Liabilities                                             (Dalam USD | In USD)




               2025                2024            2023                                                   2025               2024             2023
            477.633.077           331.350.659     328.648.128                                           221.695.685     159.488.078          174.105.842


                                                          Ekuitas
                                                          Equity                       (Dalam USD | In USD)




                                                             2025                  2024             2023
                                                           255.937.392            171.862.581     154.542.286



Laporan Arus Kas Konsolidasian
Consolidated Statement of Cash Flows                                                                                                              (Dalam USD | In USD)

                                                                                                                                                           YoY 2024-2025
 Uraian
                                                                      2025             2024             2023          2022            2021
 Description
                                                                                                                                                   Nominal             %

 Arus Kas dari (untuk) Aktivitas Operasi
                                                                   52.814.101       47.837.970     43.644.199     11.788.357      (3.462.616)      4.976.131         10,40%
 Cash Flows from (for) Operating Activities

 Arus Kas dari (untuk) Aktivitas Investasi
                                                                   (41.586.239)     (3.483.512)   (53.323.647)   (18.046.365)     (72.465.029)    (38.102.727)      1093,80%
 Cash Flows from (for) Investing Activities

 Arus Kas dari (untuk) Aktivitas Pendanaan
                                                                   39.841.301      (34.468.505)    14.444.332     (710.186)        74.192.817      74.309.806       (215,59%)
 Cash Flows from (for) Financing Activities

 Kenaikan Bersih Kas dan Setara Kas
                                                                   51.069.163       9.885.953      4.764.884      (6.968.194)     (1.734.828)      41.183.210       416,58%
 Net Increase in Cash and Cash Equivalents

 Kas dan Setara Kas Awal Tahun
                                                                   44.350.787       34.867.986     30.103.102     37.071.296       38.806.124      9.482.801         27,20%
 Cash and Cash Equivalents at the Beginning of the Year

 Dampak Perubahan Kepemilikan Entitas Anak
                                                                   (4.001.697)        15.786             -             -                -         (4.001.697)     (25449,66%)
 Effect of Changes in Ownership of Subsidiaries

 Dampak perubahan selisih kurs
                                                                    (549.817)        (418.938)           -             -                -          (130.879)         31,24%
 Effect of Exchange Rate Changes

 Kas dan Setara Kas Akhir Tahun
                                                                   90.868.436       44.350.787     34.867.986     30.103.102       37.071.296      46.517.649       104,89%
 Cash and Cash Equivalents at the End of Year




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                            Kas dan Setara Kas Akhir Tahun:
                            Cash and Cash Equivalents at the End of Year        (Dalam USD | In USD)




                                                        2025        2024          2023
                                                      90.868.436   44.350.787    34.867.986




Rasio-rasio Keuangan
Financial Ratios


                                                                                                                       Kenaikan (Penurunan)
 Uraian
                                                        2025         2024          2023        2022    2021             Increase (Decrease)
 Description
                                                                                                                             2024-2025

 Rasio Profitabilitas
 Profitability Ratios

 Imbalan Atas Aset (%)
                                                         7,33        8,78          8,26        4,16     1,38                   (1,45)
 Return on Assets (%)

 Imbalan Kepada Pemegang Saham (%)
                                                        13,68       16,92         17,57        8,15     2,71                   (3,24)
 Return on Equity (%)

 Margin Laba Bersih (%)
                                                        13,13       11,43         13,33        8,56     3,46                    1,7
 Net Profit Margin (%)

 Margin EBITDA (%)
                                                        30,72       29,44         34,62       20,52    15,84                   1,28
 EBITDA Margin (%)

 Rasio Likuiditas
 Liquidity Ratios

 Rasio Lancar (%)
                                                        144,36      155,37        142,90      217,15   329,59                 (11,01)
 Current Ratio (%)

 Rasio Kas (%)
                                                        95,32       75,88         61,88       111,55   188,17                  19,44
 Cash Ratio (%)

 Rasio Solvabilitas
 Solvency Ratios

 Rasio Utang Terhadap Aset (%)
                                                        46,42       48,13         52,98       48,92    49,05                   (1,71)
 Debt to Assets Ratio (%)

 Rasio Utang Terhadap Ekuitas (%)
                                                        86,62       92,80         112,66      95,79    96,28                   (6,18)
 Debt to Equity Ratio (%)




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                              16
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Bersama Membangun
Mewujudkan Transisi Energi
                     Keunggulan
                           Berkelanjutan
                                Untuk Pertumbuhan
                                         Melalui Optimalisasi
                                                     Berkelanjutan
                                                              Kinerja
                                                                                                                                                 Laporan Tahunan
                                                                                                                                             PT Rukun Raharja Tbk   2025


Imbalan Atas Aset (%)                                                                  Imbalan Kepada Pemegang Saham (%)
Return on Assets (%)                                                                   Return on Equity (%)




                2025                2024                2023                                         2025               2024                 2023
                   7,33               8,78              8,26                                          13,68              16,92                17,57


Margin Laba Bersih (%)                                                                 Margin EBITDA (%)
Net Profit Margin (%)                                                                  EBITDA Margin (%)




                2025                2024                2023                                         2025               2024                 2023
                 13,13               11,43              13,33                                         30,72              29,44                34,62




Ikhtisar Kinerja Operasi
Financial Performance Highlight
Produktivitas Per Segmen
Productivity Per Segment


                                                                                                                                                         YoY 2024-2025
         Segmen                            Uraian                       Satuan
                                                                                    2025          2024           2023              2022
         Segment                         Description                     Unit
                                                                                                                                                  Nominal             %

                             Crude Oil                                   BBL       62.346        70.581         64.307               -             (8.235)          (11.67)


                             Condensate                                  BBL       78.402        99.829         82.832               -             (21.427)         (21,46)
  UPSTREAM*
                             Gas                                        MSCF      2.579.237     2.813.730      2.312.194             -            (234.493)          8,33


                             LPG                                        MMBTU     448.578       459.687        133.256               -             (11.109)         (2,42)

                             Jasa Kompresi dan Transmisi Gas:
                             Gas Compression and Transmission           MSCF      8.167.843     7.641.034     10.037.307     12.252.056            526.808           6,89
                             Services

                             Penyaluran Air Bersih
                                                                         M3       1.352.897     1.353.186      1.351.411         1.454.812            (289)         (0,02)
                             Clean Water Distribution
  MIDSTREAM
                             Jasa Pengangkutan Gas
                                                                        MMBTU     8.857.688    12.440.788     11.500.412     12.056.189          (3.583.100)        (28,80)
                             Gas Transportation

                             Terminal LPG
                                                                         Kg      244.075.440   266.271.210    175.847.190    165.203.310         (22.195.770)       (8,34)
                             LPG Terminal




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                                                                                                                 Together Shaping Excellence For Sustainable Growth




                                                                                                                                             YoY 2024-2025
        Segmen                           Uraian                Satuan
                                                                          2025          2024           2023             2022
        Segment                        Description              Unit
                                                                                                                                      Nominal             %

                           Perdagangan Natural Gas**)
                                                               MMBTU    16.004.168   16.980.308      13.100.904      14.066.537       (976.140)         (5,75)
                           Natural Gas Trading**)

                           Perdagangan CNG**)
 DOWNSTREAM                                                    MMBTU    1.500.942     1.303.344       744.744          444.827         197.218          15,13
                           CNG Trading**)

                           Jasa Pengangkutan Gas
                                                               MMBTU    14.399.797   13.485.030      9.028.619        9.677.651        914.767          6,78
                           Gas Transportation Services


*) 8% dari Jumlah Volume Blok Jabung
   8% from Total Jabung Block Volume
**)diakui sebagai pendapatan perdagangan gas
   recognized as gas trading revenue


Volume Operasional
Operational Volume


Jasa Pengangkutan Gas                                                         Jasa Kompresi dan Transmisi Gas
Gas Transportation Services                 MMBTU | MMBTU                     Gas Compression and Transmission Services                         MSCF | MSCF




               2025                 2024             2023                                 2025                2024                2023
              23.257.485          25.925.818     20.529.031                              8.167.843         7.641.034           10.037.307


Terminal LPG                                                                  Distribusi Air Bersih
LPG Terminal                                             Kg | Kg              Clean Water Distribution                                          m3 | m3




               2025                 2024             2023                                 2025                2024                2023
             244.075.440          266.271.210    175.847.190                             1.352.897         1.353.186             1.351.411




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                                                                                                               Laporan Tahunan
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Perdagangan Natural Gas*)                      MMBTU | MMBTU        Perdagangan CNG                        MMBTU | MMBTU
Natural Gas Trading*)                                               CNG Trading




                2025               2024        2023                            2025           2024         2023
               16.004.168        16.980.308   13.100.904                       1.500.942     1.303.344     744.744


*)diakui sebagai pendapatan perdagangan gas
  recognized as gas trading revenue




Ikhtisar Saham dan/atau Efek Lainnya
Stock and/or Other Securities Highlights

                                                                                  2025
 Uraian
 Description
                                                   Q1                Q2                         Q3                        Q4

 Harga Pembukaan
                                                  2.720             1.700                     2.410                      3.240
 Opening Price

 Harga Tertinggi
                                                  4.440             2.950                     3.270                      7.300
 Highest Price

 Harga Terendah
                                                  1.660             1.455                     2.250                      2.960
 Lowest Price

 Harga Penutupan
                                                  1.970             2.410                     3.170                      6.100
 Closing Price

 Volume Perdagangan (dalam ribuan)
                                                50.584.483      47.676.078                  51.709.844                84.653.226
 Trading Volume (in thousands)

 Saham Beredar
                                               4.227.082.500   4.227.082.500               4.227.082.500             4.227.082.500
 Outstanding Shares

 Kapitalisasi Pasar (dalam jutaan)
                                                 8.327.353      10.187.269                  13.399.852                25.785.203
 Market Capitalization (in millions)




                                                                                  2024
 Uraian
 Description
                                                    Q1               Q2                         Q3                        Q4

 Harga Pembukaan
                                                   1.410            1.360                     1.155                      1.285
 Opening Price

 Harga Tertinggi
                                                   1.620            1.495                     1.390                      2.970
 Highest Price

 Harga Terendah
                                                   1.140            1.140                     1.005                      1.230
 Lowest Price

 Harga Penutupan
                                                   1.365            1.155                     1.280                      2.720
 Closing Price

 Volume Perdagangan (dalam ribuan)
                                                12.010.041       6.824.271                  5.972.943                 39.869.392
 Trading Volume (in thousands)

 Saham Beredar
                                               4.227.082.500   4.227.082.500               4.227.082.500             4.227.082.500
 Outstanding Shares

 Kapitalisasi Pasar (dalam jutaan)
                                                 5.769.968       4.882.280                  5.410.666                 11.497.664
 Market Capitalization (in millions)



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                                                                                                                     Together Shaping Excellence For Sustainable Growth




Aksi Korporasi dan Perdagangan Saham
Corporate Actions and Stock Trading

Pada tahun 2025, Perseroan melakukan aksi korporasi. Perseroan                      In 2025, the Company undertook a corporate action by announcing
menyampaikan rencana pembagian Dividen Tunai untuk periode                          its plan to distribute Cash Dividends for the 2024 fiscal year, in
tahun buku 2024 sesuai dengan hasil RUPS Tahunan tanggal                            accordance with the resolutions of the Annual General Meeting
30 April 2025 dengan rincian Dividen tahun buku 2024 yang                           of Shareholders (AGMS) held on April 30, 2025. The details of
akan dibayar sebagai berikut:                                                       the dividends for the 2024 fiscal year to be paid are as follows:

Total nilai dividen sudah ditentukan:                                               The total dividend amount has been determined:

 Total Nilai Dividen
                                                                              IDR                                        253.624.950.000
 Total Dividend Amount


 Efek Bersifat Ekuitas Selain Saham yang bisa dikonversi menjadi
                                                                             Tidak
 saham
                                                                             None
 Equity Securities Other Than Shares convertible into shares

 Dividen Per Saham (Jika sudah ada kepastian jumlah saham yang
 akan dibagi)
                                                                              IDR                                              60
 Dividend Per Share (if the number of shares to be distributed has
 been determined)

 Total Nilai Dividen sekurang-kurangnya
                                                                              IDR                                        253.624.950.000
 Total Dividend Amount at Least

 Total Nilai Dividen setinggi-tingginya
                                                                              IDR                                        253.624.950.000
 Total Dividend Amount at Most

 Efek Bersifat Ekuitas selain saham yang bisa dikonversi menjadi
                                                                             Tidak
 saham
                                                                             None
 Equity Securities other than shares convertible into shares

 Dividen per saham
                                                                              IDR                                              60
 Dividend per share




Jadwal pembagian dividen:                                                           Schedule of dividend distribution:

 Tanggal Efektif                                                     30 April 2025
 Effective Date                                                      April 30, 2025

                                                                     09 Mei 2025
 Tanggal Cum Dividen di Pasar Reguler dan Pasar Negosiasi            2 HB sebelum recording date
 Cum Dividend Date in the Regular and Negotiated Market              May 9, 2025
                                                                     2 Trading Days prior to the Recording Date

                                                                     14 Mei 2025
 Tanggal Ex Dividen di Pasar Reguler dan Pasar Negosiasi             1 HB setelah Cum dividen di Pasar Reguler & Negosiasi
 Ex Dividend Date in the Regular and Negotiated Market               May 14, 2025
                                                                     1 Trading Day after Cum dividend in the Regular and Negotiated Market

                                                                     15 Mei 2025
 Tanggal Cum Dividen di Pasar Tunai                                  HB yang sama dengan tanggal recording date (DPS)
 Cum Dividend Date in Cash Market                                    May 15, 2025
                                                                     Trading Day coinciding with the Recording Date (Shareholders Register)

                                                                     16 Mei 2025
 Tanggal Ex Dividen di Pasar Tunai                                   1 HB setelah Cum dividen di Pasar Tunai
 Ex Dividend Date in Cash Market                                     May 16, 2025
                                                                     1 Trading Day after Cum dividend in Cash Market

                                                                     5 Mei 2025 Waktu 16:00
 Tanggal Daftar Pemegang Saham (DPS) yang berhak atas dividen
                                                                     Paling cepat 16 HB sejak pengumuman
 tunai
                                                                     May 5, 2025 at 16.00
 Recording Date of Shareholders entitled to cash dividend
                                                                     At the earliest, 16 Trading Days after the announcement

                                                                     04 Juni 2025
 Tanggal Pembayaran Dividen                                          Selambat-lambatnya 10 HB setelah recording date
 Dividend Payment Date                                               June 4, 2025
                                                                     No later than 10 Trading Days after the recording date




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                                                                                                                                        Laporan Tahunan
                                                                                                                                    PT Rukun Raharja Tbk   2025


Data Keuangan per 31 Desember 2024 yang mendasari pembagian                        The Financial Data as of December 31, 2024, underlying the
Dividen adalah sebagai berikut:                                                    Dividend distribution is as follows:


 Laba bersih yang didapat diatribusikan kepada entitas induk
                                                                             USD                                           25.552.112
 Net income attributable to the owners of the parent entity

 Saldo laba ditahan yang tidak dibatasi penggunaannya
                                                                             USD                                          105.467.404
 Retained earnings not restricted for use

 Total ekuitas
                                                                             IDR                                          171.862.581
 Total equity




Ikhtisar Dividen
Dividend Highlights

Berdasarkan Keputusan Rapat Umum Pemegang Saham (RUPS)                             Based on the resolution of the Annual General Meeting of
tanggal 30 April 2025, para pemegang saham menyetujui                              Shareholders (AGMS) dated April 30, 2025, the shareholders
pembagian dividen sebesar USD15,02 juta ekuivalen Rp253,62                         approved the distribution of dividends amounting to USD15.02
miliar.                                                                            million, equivalent to Rp 253.62 billion.

Adapun dividen yang diberikan Perseroan kepada Pemegang                            The dividends distributed by the Company to the Shareholders
Saham dalam 3 tahun terakhir adalah sebagai berikut:                               in the last three (3) years are as follows

                                                                                                           Tahun Buku
 Uraian                                                                                                     Fiscal Year
 Description
                                                                            2024                              2023                               2022

 Laba Bersih yang dapat Diatribusikan kepada Pemilik Entitas
 Induk (dalam USD)
                                                                       USD25.552.112                     USD25.606.534                      USD8.821.573
 Net Income Attributable to the Owners of the Parent Entity
 (in USD)

 Jumlah Dividen                                                        USD15.021.615/                   USD10.000.000/                      USD4.500.000/
 Total Dividend                                                       Rp253.624.950.000                Rp160.629.135.000                   Rp67.083.799.275

 Dividen per Saham (dalam Rp)
                                                                            Rp60                              Rp38                             Rp15,87
 Dividend per Share (in Rp)


 Payout Ratio (%)                                                          58,79%                            39,05%                             51,01%


                                                               Akta No. 32 tanggal 30 April 2025 Akta No. 122 tanggal 29 Mei 2024   Akta No.69 tanggal 29 Mei 2023
 Dasar Hukum
                                                               Deed Number 32 dated April 30, Deed Number 122 dated May 29,         Deed Number 69 dated May 29,
 Legal Basis
                                                                            of 2025                            2024                              2023

 Tanggal Pengumuman                                                     15 Mei 2025                        1 Juni 2024                       31 Mei 2023
 Announcement Date                                                      May 15, 2025                      June 1, 2024                       May 31, 2023

 Tanggal Pembayaran                                                       4 Juni 2025                      26 Juni 2024                       27 Juni 2023
 Payment Date                                                            June 4, 2025                     June 26, 2024                      June 27, 2023




Informasi Tentang Penerbitan Obligasi, Sukuk atau
Obligasi Konversi, serta Pendanaan Lainnya
Information on the Issuance of Bonds, Sukuk or Convertible Bonds, and other Financing Instruments

Hingga akhir tahun 2025, Perseroan tidak menerbitkan obligasi,                     As of the end of 2025, the Company had not issued any bonds,
sukuk, obligasi konversi, maupun efek lainnya, serta bentuk                        sukuk, convertible bonds, or other securities, nor had it
pendanaan lainnya. Dengan demikian, tidak terdapat informasi                       undertaken any other forms of financing. Consequently, there
terkait obligasi, sukuk, obligasi konversi yang beredar, maupun                    is no information to report regarding outstanding bonds, sukuk,
pendanaan lainnya                                                                  convertible bonds, or other financing instruments.




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                                                                                                     Together Shaping Excellence For Sustainable Growth




Penghargaan dan Sertifikasi
Awards and Certifications



Penghargaan
Awards




  Anugerah Utama Sektor Energi dengan program ESG:                        Strategi transformasi untuk memperkuat portofolio bisnis
  Kontribusi Pendidikan Melalui Program Pintar Raharja                     Business Portfolio Strengthening Through Transformation Strategy
   Main Award in the Energy Sector for ESG Program: Educational
         Contribution through the Pintar Raharja Program

                               5 Juli 2025                                                       10 Oktober 2025
                               July 5, 2025                                                      October 10, 2025

    Acara : ESG Anugerah                                               Acara : Anugerah Inovasi Indonesia 2025
    Event                                                              Event
    Penyelenggara : IDX Channel                                        Penyelenggara : IDX Channel
    Organizer                                                          Organizer




                                                Excellence in Energy infrastructure Expansion
                                                           11 November 2025
                                                           November 11, 2025

                                              Acara : CNBC Awards 2025
                                              Event
                                              Penyelenggara : CNBC Indonesia
                                              Organizer




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                                                                                                                                   PT Rukun Raharja Tbk   2025


Sertifikasi
Certifications


                                                               SNI ISO 9001:2015 Sistem Manajemen Mutu
                                                               SNI ISO 9001: 2015 Quality Management System

                                                               PT Energasindo Heksa Karya telah menerapkan          PT Energasindo Heksa Karya has implemented
                                                               sistem manajemen mutu yang memenuhi persyaratan      a quality management system that meets the
                                                               SNI ISO 9001:2015 Sistem Manajemen Mutu.             requirements of SNI ISO 9001; 2015 Quality
                                                                                                                    Management System.

                                                               Ruang Lingkup Sertifikasi:                           Certification Scope:
                                                               Distribusi dan Transmisi Gas Alam Melalui Jaringan   Distribution and Transmission of Natural Gas
                                                               Pipa Gas, terdiri dari:                              through Gas Pipelines, consisting of:
                                                               Jawa Barat Banten Operation – Cibitung, Tegalgede,   West Java Banten Operation - Cibitung, Tegalgede,
                                                               Bitung, Cilegon Gas Meter Station.                   Bitung, Cilegon Gas Meter Station.
                                                               Area Jambi dan Tanjung Jabung Barat Operation        Jambi and Tanjung Jabung Barat Operation Area
                                                               – Payo Selincah, Sei Gelam, LPPI, Purwodadi Gas      - Payo Selincah, Sei Gelam, LPPI, Purwodadi
                                                               Meter Station.                                       Gas Meter Station.

                                                               Lembaga yang Mengeluarkan Sertifikasi:               Certification Issuing Institution: Sucofindo
                                                               Sucofindo International Certification Services       International Certification Services

                                                               Masa Berlaku:                                        Validity Period:
                                                               30/05/2024 s.d. 03/12/2026                           30/05/2024 to 03/12/2026




                                                               SNI ISO 14001:2015 Sistem Manajemen Lingkungan
                                                               SNI ISO 14001: 2015 Environmental Management System

                                                               PT Energasindo Heksa Karya telah menerapkan          PT Energasindo Heksa Karya has implemented
                                                               sistem manajemen lingkungan yang memenuhi            an environmental management system that
                                                               persyaratan SNI ISO 9001:2015 Sistem Manajemen       meets the requirements of SNI ISO 9001; 2015
                                                               Lingkungan.                                          Environmental Management System.

                                                               Ruang Lingkup Sertifikasi:                           Certification Scope:
                                                               Distribusi dan Transmisi Gas Alam Melalui Jaringan   Distribution and Transmission of Natural Gas
                                                               Pipa Gas, terdiri dari:                              through Gas Pipelines, consisting of:
                                                               Jawa Barat Banten Operation – Cibitung, Tegalgede,   West Java Banten Operation - Cibitung, Tegalgede,
                                                               Bitung, Cilegon Gas Meter Station.                   Bitung, Cilegon Gas Meter Station.
                                                               Area Jambi dan Tanjung Jabung Barat Operation        Jambi and Tanjung Jabung Barat Operation Area
                                                               – Payo Selincah, Sei Gelam, LPPI, Purwodadi Gas      - Payo Selincah, Sei Gelam, LPPI, Purwodadi
                                                               Meter Station.                                       Gas Meter Station.

                                                               Lembaga yang Mengeluarkan Sertifikasi:               Certification Issuing Institution: Sucofindo
                                                               Sucofindo International Certification Services       International Certification Services

                                                               Masa Berlaku:                                        Validity Period:
                                                               30/05/2024 s.d. 03/12/2026                           30/05/2024 to 03/12/2026




                                                               SNI ISO 45001:2018 Sistem Manajemen Kesehatan dan Keselamatan Kerja
                                                               SNI ISO 45001:2018 Occupational Health and Safety Management System

                                                               PT Energasindo Heksa Karya telah menerapkan          PT Energasindo Heksa Karya has implemented
                                                               sistem manajemen lingkungan yang memenuhi            an occupational health and safety management
                                                               persyaratan SNI ISO 9001;2015 Sistem Manajemen       system that meets the requirements of SNI ISO
                                                               Lingkungan.                                          45001:2018 Occupational Health and Safety
                                                                                                                    Management System.

                                                               Ruang Lingkup Sertifikasi:                           Certification Scope:
                                                               Distribusi dan Transmisi Gas Alam Melalui Jaringan   Distribution and Transmission of Natural Gas
                                                               Pipa Gas, terdiri dari:                              through Gas Pipelines, consisting of:
                                                               Jawa Barat Banten Operation – Cibitung, Tegalgede,   West Java Banten Operation - Cibitung, Tegalgede,
                                                               Bitung, Cilegon Gas Meter Station.                   Bitung, Cilegon Gas Meter Station.
                                                               Area Jambi dan Tanjung Jabung Barat Operation        Jambi and Tanjung Jabung Barat Operation Area
                                                               – Payo Selincah, Sei Gelam, LPPI, Purwodadi Gas      - Payo Selincah, Sei Gelam, LPPI, Purwodadi
                                                               Meter Station.                                       Gas Meter Station

                                                               Lembaga yang Mengeluarkan Sertifikasi:               Certification Issuing Institution: Sucofindo
                                                               Sucofindo International Certification Services       International Certification Services

                                                               Masa Berlaku:                                        Validity Period:
                                                               30/05/2024 s.d. 03/12/2026                           30/05/2024 to 03/12/2026


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                                                                                                 Together Shaping Excellence For Sustainable Growth




Peristiwa Penting 2025
Significant Events in 2025




                                                                       15 Agustus 2025 | August 15, 2025
8 Januari 2025 | January 8, 2025
                                                                       PT Rukun Raharja Tbk dan PT Petrosea Tbk secara resmi
Anak usaha Perseroan di bidang hulu, PT Raharja Energi Cepu
                                                                       menyelesaikan akuisisi 100 persen saham Grup Hafar, perusahaan
Tbk (RATU), secara resmi mencatatkan sahamnya di Bursa Efek
                                                                       EPCI (Engineering, Procurement, Construction & Installation)
Indonesia pada Rabu, 8 Januari 2025.
                                                                       dan layanan pelayaran untuk industri migas lepas pantai.
The Company’s upstream subsidiary, PT Raharja Energi Cepu
                                                                       PT Rukun Raharja Tbk and PT Petrosea Tbk officially completed
Tbk (RATU), officially listed its shares on the Indonesia Stock
                                                                       the acquisition of 100 percent of the shares of Hafar Group, an
Exchange on Wednesday, January 8, 2025
                                                                       Engineering, Procurement, Construction & Installation (EPCI)
                                                                       company providing marine services for the offshore oil and
                                                                       gas industry.




                                     13 Oktober 2025 | October 13, 2025
                                     Anak usaha Perseroan dibidang Infrastruktur Energi
                                     PT Triguna Internusa Pratama telah menyelesaikan penyediaan
                                     6 unit Gas Compressor Package dengan kapasitas 52 MMSCFD
                                     untuk Energy Equity Epic (Sengkang) Pty. Ltd. di Sulawesi
                                     Selatan.

                                     The Company’s subsidiary in the Energy Infrastructure sector,
                                     PT Triguna Internusa Pratama, successfully completed the
                                     provision of 6 Gas Compressor Packages with a total capacity
                                     of 52 MMSCFD for Energy Equity Epic (Sengkang) Pty. Ltd.
                                     in South Sulawesi.



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Mewujudkan Transisi Energi
                     Keunggulan
                           Berkelanjutan
                                Untuk Pertumbuhan
                                         Melalui Optimalisasi
                                                     Berkelanjutan
                                                              Kinerja
                                                                                 Laporan Tahunan
                                                                             PT Rukun Raharja Tbk   2025




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                                                                                        Laporan Tahunan
                                                                                    PT Rukun Raharja Tbk   2025




                                                       O2      LAPORAN
                                                               MANAJEMEN
                                                               Management Reports




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                                      Together Shaping Excellence For Sustainable Growth




Rudiantara
Komisaris Utama
President Comissioner
                                    “Dewan Komisaris memandang
                                     bahwa Direksi telah mampu
                                     menjalankan strategi yang
                                     tepat dan efektif untuk
                                     merespon dinamika yang
                                     terjadi atas kondisi makro
                                     ekonomi dan industri yang
                                     berpengaruh terhadap kondisi
                                     Perseroan.
                                     The Board of Commissioners is of the view
                                     that the Board of Directors has successfully
                                     implemented strategies that were both
                                     appropriate and effective in responding to
                                     macroeconomic and industry dynamics that
                                     influenced the Company’s condition.




                                    ““




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                                                                                                                Laporan Tahunan
                                                                                                            PT Rukun Raharja Tbk   2025



Laporan Dewan Komisaris
Board of Commissioners’ Report




“
Pemegang Saham dan Pemangku
Kepentingan yang Kami Hormati,
Dear Respected Shareholders And Stakeholders,


Perkenankanlah kami atas nama Dewan Komisaris mengucap               On behalf of the Board of Commissioners, We extend Our
syukur kehadirat Tuhan Yang Maha Esa atas limpahan karunia-          gratitude to the Almighty God for His blessings, which enabled
Nya, Perseroan dapat menghadapi dinamika global dan nasional         the Company to navigate both global and national dynamics in
tahun 2025 dengan pencapaian kinerja yang solid dan adaptif.         2025 with solid and adaptive performance. This report forms
Laporan ini menjadi bagian dari laporan tugas pengawasan             part of the supervisory and advisory responsibilities of the Board
dan penasehatan Dewan Komisaris kepada Direksi dalam                 of Commissioners to the Board of Directors in overseeing the
menjalankan kegiatan usaha Perseroan sepanjang tahun buku            Company’s operations throughout fiscal year 2025. Within this
2025. Dalam laporan ini, Kami memaparkan pandangan dan               report, We present the Board of Commissioners’ views and
penilaian Dewan Komisaris terhadap kinerja Direksi terkait           assessments of the Directors’ performance in managing the
pengelolaan Perseroan selama tahun 2025 secara obyektif,             Company during 2025, Our perspectives on the formulation
pandangan Kami terhadap perumusan dan implementasi                   and implementation of corporate strategies, Our outlook on
strategi Perseroan yang dijalankan Direksi, pandangan Dewan          business prospects, Our evaluation of governance practices,
Komisaris terhadap prospek usaha, dan penilaian Kami terhadap        and Our review of the performance of Committees under the
penerapan governansi, serta penilaian atas kinerja Komite di         Board of Commissioners.
bawah Dewan Komisaris.

Pandangan Atas Kondisi Makro Ekonomi 2025                            Macroeconomic Outlook 2025
Pada tahun 2025, kebijakan tarif Amerika Serikat dan                 In 2025, U.S. tariff policies and ongoing geopolitical tensions
berlanjutnya ketegangan geopolitik berdampak pada perlambatan        contributed to a slowdown in global economic growth, with
pertumbuhan ekonomi global dengan fragmentasi antarnegara            widening fragmentation among nations. These tariff measures
yang semakin melebar. Kebijakan tarif ini menurunkan volume          reduced the volume and value of global trade and further
dan nilai perdagangan global serta semakin berdampak pada            disrupted global supply chains. As a result, global economic
gangguan rantai pasok dunia. Hal ini pula memberikan dampak          growth was projected to decelerate to 3.3% in 2025.
pada pertumbuhan ekonomi global diprakirakan mengalami
perlambatan menjadi 3,3% pada 2025.

Di tengah tingginya gejolak ekonomi dan geopolitik global,           Amid heightened global economic and geopolitical volatility,
perekonomian Indonesia triwulan IV-2025 masih tetap mengalami        Indonesia’s economy in Q4 2025 continued to expand by 5.39%
pertumbuhan sebesar 5,39% (year on year/yoy). Kenaikan               year‑on‑year. This growth was supported by strong domestic
pertumbuhan ekonomi ini ditopang oleh permintaan domestik,           demand, particularly private investment and the realization of
khususnya investasi swasta dan realisasi sejumlah program            several government priority programs, including the development
prioritas Pemerintah, termasuk pengembangan Kawasan                  of Special Economic Zones (SEZs) across various regions. In Q4
Ekonomi Khusus (KEK) di berbagai daerah. Pertumbuhan PDB             2025, GDP growth was primarily driven by the manufacturing,
triwulan IV-2025 tercatat bahwa sektor industri pengolahan,          trade, and agriculture sectors, which collectively accounted
perdagangan, pertanian masih menjadi pendorong utama PDB             for 45.34% of total GDP.
dengan total share adalah 45,34%.




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Dalam menghadapi dinamika industri yang semakin kompetitif               In facing an increasingly competitive industry landscape and
serta tantangan makroekonomi global, Perseroan menegaskan                global macroeconomic challenges, the Company reaffirmed
komitmennya untuk menjaga kinerja keuangan yang stabil,                  its commitment to maintaining financial performance that is
transparan, dan akuntabel, sekaligus menjadikan strategi ini             stable, transparent, and accountable. This strategy serves as
sebagai enabler dalam memperkuat ekspansi bisnis, memenuhi               an enabler to strengthen business expansion, ensure regulatory
ketentuan regulasi, serta menciptakan nilai tambah bagi                  compliance, and create added value for shareholders and other
pemegang saham dan pemangku kepentingan lainnya.                         stakeholders.

Pengawasan Terhadap Implementasi Strategi Perseroan dan                  Supervision of Corporate Strategy Implementation and Advisory
Pemberian Nasihat Kepada Direksi                                         to the Board of Directors
Dewan Komisaris senantiasa melakukan monitoring terhadap                 The Board of Commissioners consistently monitors the
jalannya pengurusan Perseroan yang dilakukan oleh Direksi.               management of the Company carried out by the Board of
Dewan Komisaris memberikan nasihat kepada Direksi termasuk               Directors. Advisory support includes supervision of the Corporate
pengawasan terhadap Rencana Kerja dan Anggaran Perusahaan                Work Plan and Budget (RKAP), investment plans, and strategic
(RKAP), rencana investasi, dan aksi korporasi strategis serta            corporate actions, ensuring alignment with prevailing laws
kesesuaian dengan peraturan perundang-undangan yang berlaku.             and regulations.

Dewan Komisaris telah menyelenggarakan rapat Dewan Komisaris             The Board of Commissioners convened meetings and joint
dan rapat gabungan dengan mengundang Direksi. Rapat                      sessions with the Board of Directors, which served as a forum
gabungan tersebut menjadi sarana bagi Kami untuk melakukan               for Us to evaluate the realization of operational and financial
evaluasi terhadap realisasi kinerja operasional dan keuangan             performance against established targets, as well as risk
Perseroan dibandingkan dengan target yang ditetapkan, serta              management practices. The Board of Commissioners ensured
manajemen risiko. Dewan Komisaris memastikan bahwa setiap                that every strategic policy was subject to comprehensive review
kebijakan strategis telah melalui kajian yang komprehensif dan           and aligned with governance principles.
sesuai prinsip governansi.

Penilaian Kinerja Direksi                                                Assessment of the Board of Directors’ Performance
Dewan Komisaris memandang bahwa Direksi telah mampu                      The Board of Commissioners is of the view that the Board of
menjalankan strategi yang tepat dan efektif untuk merespon               Directors successfully implemented strategies that were both
dinamika yang terjadi atas kondisi makro ekonomi dan industri            appropriate and effective in responding to macroeconomic and
yang berpengaruh terhadap kondisi Perseroan. Di tengah                   industry dynamics impacting the Company. Amid energy price
volatilitas harga energi, tekanan geopolitik, serta tantangan            volatility, geopolitical pressures, and energy transition challenges,
transisi energi, Direksi mampu menjaga stabilitas operasional,           the Board of Directors maintained operational stability, delivered
pertumbuhan kinerja keuangan, serta keberlanjutan bisnis                 financial growth, and safeguarded business sustainability.
Perseroan. Hal ini tercermin dari strategi yang seimbang antara:         This was reflected in a balanced strategy encompassing the
penguatan bisnis inti (core business), optimalisasi portofolio,          strengthening of core businesses, portfolio optimization, and
serta disiplin dalam penerapan prinsip kehati-hatian (prudence).         disciplined application of prudence principles.

Secara umum, Direksi berhasil mencapai dan melampaui                     Overall, the Board of Directors achieved and exceeded most
sebagian besar target yang telah ditetapkan. Dari sisi keuangan,         of the established targets. Financially, revenue increased
peningkatan pendapatan sekitar 5% (USD 266 juta) dan laba bersih         by approximately 5% (USD 266 million) and net income rose
sekitar 20% (USD 35 juta). Dari sisi segmen usaha, peningkatan           by around 20% (USD 35 million). From a business segment
penjualan gas di segmen downstream serta mulai beroperasinya             perspective, growth was driven by higher downstream gas sales
proyek strategis seperti gas compressor di Sengkang. Direksi             and the commencement of strategic projects such as the gas
juga berhasil meningkatkan efisiensi biaya operasional dan               compressor facility in Sengkang. The Board of Directors also
peningkatan margin. Selain itu, fokus pada pengembangan usaha            improved operational efficiency and margins, while focusing
yang berorientasi pada keberlanjutan, termasuk penguatan                 on sustainability‑oriented business development, including
portofolio melalui akuisisi yang meningkatkan nilai Perseroan.           portfolio enhancement through acquisitions that increased
                                                                         Corporate value.

Pandangan atas Prospek Usaha yang Disusun Direksi                        Outlook on Business Prospects Formulated by the Board of
                                                                         Directors
Dewan Komisaris memandang bahwa prospek usaha yang                       The Board of Commissioners considers that the business
telah disusun oleh Direksi telah mencerminkan keseimbangan               prospects prepared by the Board of Directors reflects a balance
antara optimisme pertumbuhan dan penerapan governansi                    between growth optimism and strong governance practices.
yang kuat. Hal ini didukung oleh fundamental bisnis yang kuat            This outlook is supported by solid fundamentals in the energy
di sektor energi, portofolio usaha yang terdiversifikasi, rencana        sector, a diversified business portfolio, long‑term investment
investasi untuk mendukung pertumbuhan jangka panjang, dan                plans, and expansion opportunities, including strengthening
peluang ekspansi, termasuk penguatan portofolio upstream                 both upstream and downstream portfolios.
dan downstream.

Dewan Komisaris menilai bahwa strategi yang diusulkan                    The Board of Commissioners concludes that the proposed
mencerminkan respons yang adaptif terhadap dinamika ekonomi              strategies demonstrate adaptive responses to national and
nasional dan global, termasuk perubahan regulasi.                        global economic dynamics, including regulatory changes.



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                                                                                                                   Laporan Tahunan
                                                                                                               PT Rukun Raharja Tbk   2025


Pandangan Atas Penerapan Governansi Perseroan                          Board of Commissioners’ Perspective on Corporate Governance
Dewan Komisaris menyadari sepenuhnya bahwa peningkatan                 The Board of Commissioners fully recognizes that enhancing the
kualitas penerapan prinsip governansi perlu terus dilakukan            quality of corporate governance must be pursued consistently
secara konsisten dan berkesinambungan. Hal ini diyakini akan           and continuously. We believe that strong governance practices
mendorong penciptaan nilai tambah, mendorong efisiensi,                create added value, drive efficiency, strengthen stakeholder trust,
meningkatkan kepercayaan dan pada akhirnya mampu                       and ultimately improve the Company’s overall performance.
meningkatkan kinerja Perseroan secara keseluruhan.

Dewan Komisaris menilai penerapan prinsip governansi Perseroan         The Board of Commissioners assessed that the Company’s
pada tahun 2025 sudah berjalan dengan baik. Hal ini tercermin          governance implementation in 2025 was well executed. This was
dari kepatuhan terhadap regulasi OJK dan Bursa Efek Indonesia,         reflected in compliance with regulations issued by the Financial
transparansi dalam keterbukaan informasi, Penguatan Sistem             Services Authority (OJK) and the Indonesia Stock Exchange,
Pengendalian Internal dan audit, dan memperkuat budaya                 transparency in information disclosure, the strengthening of
kepatuhan dengan meningkatkan sosialisasi dan edukasi di               internal control and audit systems, and the reinforcement of
seluruh entitas anak.                                                  a compliance culture through increased dissemination and
                                                                       education across all subsidiaries.

Selain itu, Dewan Komisaris juga berperan penting dalam                The Board of Commissioners also played an important role
pengelolaan dalam memastikan bahwa Whistleblowing System               in ensuring that the Whistleblowing System (WBS) operated
(WBS) berjalan secara efektif, independen, dan dapat dipercaya.        effectively, independently, and credibly. Our support for the
Dukungan Dewan Komisaris terhadap sistem WBS ini adalah                WBS included regular Evaluations of its implementation to
Evaluasi berkala atas implementasi WBS sehingga efektivitas            ensure effectiveness, monitoring follow‑up actions on every
pelaksanaan sistem WBS tercapai, pemantauan tindak lanjut              report received, and guaranteeing protection for whistleblowers.
atas setiap laporan yang masuk, dan menjamin perlindungan              This system remains a vital component in safeguarding the
bagi pelapor (whistleblower). Sistem ini menjadi bagian penting        Company’s integrity and transparency.
dalam menjaga integritas dan transparansi Perseroan.

Penilaian Kinerja Komite di Bawah Dewan Komisaris                      Performance Assessment of Committee under the Board of
                                                                       Commissioners
Dewan Komisaris dalam menjalankan fungsi pengawasan                    In carrying out its supervisory function, the Board of Commissioners
atas pengurusan Perseroan dibantu 2 (dua) Komite di bawah              is assisted by two Committees, namely the Audit Committee
Dewan Komisaris yakni Komite Audit, dan Komite Nominasi,               and the Nomination, Remuneration, and GCG Committee. These
Remunerasi, dan GCG. Komite-Komite tersebut membantu                   Committees support oversight from operational, financial,
melakukan fungsi pengawasan dari sisi operasional, keuangan            and strategic perspectives. Throughout 2025, the Board of
dan aspek strategis lainnya. Selama tahun 2025, Dewan Komisaris        Commissioners concluded that the Committees performed
menilai komite di bawah Dewan Komisaris telah menjalankan              their duties and responsibilities effectively and professionally.
tugas dan tanggung jawabnya secara efektif dan profesional.

Susunan Dewan Komisaris                                                Composition of the Board of Commissioners
Pada tahun 2025, terdapat perubahan komposisi Dewan                    In 2025, there was a change in the composition of the Board of
Komisaris Perseroan sesuai dengan Akta RUPS No. 33 tanggal             Commissioners pursuant to the Deed of the General Meeting of
30 April 2025. Susunan Dewan Komisaris selama tahun 2025               Shareholders Number 33 dated April 30, 2025. The composition
adalah sebagai berikut:                                                of the Board of Commissioners during 2025 was as follows:

1 Januari 2025-30 April 2025                                           January 1, 2025-April 30, 2025

 Rudiantara                            Komisaris Utama                  Rudiantara                        President Commissioner

 M. Arsjad Rasjid PM                   Komisaris                        M. Arsjad Rasjid PM               Commissioner

 Rachmat Gobel                         Komisaris Independen             Rachmat Gobel                     Independent Commissioner

 Orias Petrus Moedak                   Komisaris Independen             Orias Petrus Moedak               Independent Commissioner

 D. Andhi Nirwanto                     Komisaris Independen             D. Andhi Nirwanto                 Independent Commissioner

30 April 2025-31 Desember 2025                                         April 30, 2025-December 31, 2025

 Rudiantara                            Komisaris Utama                  Rudiantara                        President Commissioner

 M. Arsjad Rasjid PM                   Komisaris                        M. Arsjad Rasjid PM               Commissioner

 Rachmat Gobel                         Komisaris Independen             Rachmat Gobel                     Independent Commissioner

 D. Andhi Nirwanto                     Komisaris Independen             D. Andhi Nirwanto                 Independent Commissioner


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Apresiasi                                                             Appreciation
Tahun 2025 yang penuh tantangan telah dilalui Perseroan dengan        The year 2025, marked by significant challenges, was successfully
meraih kinerja yang sangat baik. Atas pencapaian tersebut,            navigated by the Company with outstanding performance. For
Dewan Komisaris menyampaikan apresiasi kepada Direksi                 these achievements, the Board of Commissioners extends its
dan seluruh jajaran yang telah bekerja dengan semangat dan            appreciation to the Board of Directors and all employees who
penuh dedikasi. Dewan Komisaris juga memberikan apresiasi             have worked with dedication and commitment. The Board of
kepada Pemegang Saham atas kepercayaan dan dukungan                   Commissioners also conveys its gratitude to the Shareholders
yang diberikan kepada Dewan komisaris dalam menjalankan               for their trust and support in enabling the Board to carry out
tugas dan tanggung jawabnya.                                          its duties and responsibilities.

Dewan Komisaris juga menyampaikan terima kasih kepada                 We further express our sincere thanks to all customers, business
seluruh pelanggan, mitra bisnis, pemegang saham, regulator,           partners, shareholders, regulators, and other stakeholders for
serta seluruh pemangku kepentingan lainnya atas kerjasama             the excellent cooperation that has been established.
yang telah berjalan dengan sangat baik.

Dewan Komisaris berharap Direksi terus menjaga kinerja yang           The Board of Commissioners hopes that the Board of Directors
berkelanjutan dan prudent, dan memperkuat implementasi ESG            will continue to uphold sustainable and prudent performance,
sebagai bagian dari strategi utama Perseroan. Dewan Komisaris         while strengthening the implementation of ESG as an integral
akan terus meningkatkan komitmen dalam menjalankan fungsi             part of the Company’s core strategy. The Board of Commissioners
pengawasan dan penasihatan agar kinerja Perseroan dapat               remains committed to enhancing its supervisory and advisory
terus tumbuh di masa depan, dengan terus mengoptimalkan               functions to ensure the Company’s performance continues
peluang pertumbuhan dengan tetap menjunjung tinggi prinsip            to grow in the future, optimizing growth opportunities while
governansi.                                                           upholding governance principles.

Dengan komitmen dan sinergi yang kuat, Dewan Komisaris                With strong commitment and synergy, the Board of Commissioners
optimis Perseroan dapat terus menciptakan nilai tambah bagi           is confident that the Company will continue to create added
seluruh pemangku kepentingan.                                         value for all stakeholders.




                                      Atas Nama Dewan Komisaris PT Rukun Raharja Tbk
                                                      Jakarta, 30 April 2026
                                On behalf of the Board of Commissioners of PT Rukun Raharja Tbk
                                                      Jakarta, April 30, 2026




                                                        RUDIANTARA
                                                      Komisaris Utama
                                                   President Commissioner




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                                                                        Laporan Tahunan
                                                                    PT Rukun Raharja Tbk   2025




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Djauhar
Maulidi
                                    “
                                    Perseroan membuktikan
                                    keberhasilan strategi dan arah
                                    bisnis yang direncanakan,
                                    sehingga investasi yang
Direktur Utama                      dilakukan khususnya pada
President Director                  infrastruktur dan penyertaan
                                    pada beberapa blok migas
                                    memberikan manfaat berupa
                                    pertumbuhan pendapatan
                                    yang kuat.

                                    The Company has demonstrated the success
                                    of its planned strategy and business direction,
                                    with investments, particularly in infrastructure
                                    and participation in several oil and gas blocks,
                                    delivering benefit in term of strong revenue
                                    growth.




                                    “




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                                                                                                                   Laporan Tahunan
                                                                                                               PT Rukun Raharja Tbk   2025




Laporan Direksi
Board of Directors’ Report




“
Pemegang Saham dan Pemangku
Kepentingan yang Terhormat,
Dear Respected Shareholders and Stakeholders,


Pemegang Saham dan Pemangku Kepentingan yang Terhormat,                 We extend our gratitude to the Almighty God for His blessings,
Puji dan syukur atas kehadirat Tuhan Yang Maha Esa atas                 which enabled PT Rukun Raharja Tbk (hereinafter referred to
berkat rahmat dan limpahan karunia-Nya, PT Rukun Raharja                as the “Company”) to conclude 2025 with solid and positive
Tbk (selanjutnya disebut Perseroan) dapat melalui tahun 2025            performance.
dengan capaian kinerja yang solid dan positif.

Dalam merespons dinamika ekonomi global dan domestik,                   In responding to global and domestic economic dynamics, the
Perseroan tetap menunjukkan komitmennya sebagai network                 Company has consistently demonstrated its commitment as
stabilizer di sektor energi, sekaligus mempercepat diversifikasi        a network stabilizer in the energy sector, while accelerating
portofolio ke arah energi yang lebih bersih dan berkelanjutan.          portfolio diversification toward cleaner and more sustainable
Perkenankan kami, atas nama Direksi, menyampaikan laporan               energy. On behalf of the Board of Directors, we hereby present
pertanggung jawaban atas pengelolaan Perseroan untuk tahun              our accountability report on the management of the Company
buku 2025.                                                              for fiscal year 2025.

Tinjauan Perekonomian tahun 2025                                        Economic Review 2025
Tahun 2025 masih diliputi dengan ketidakpastian pasar                   The year 2025 was marked by heightened uncertainty in
keuangan global yang kembali meningkat di tengah ketegangan             global financial markets amid ongoing geopolitical tensions.
geopolitik. Ketidakpastian tersebut memberikan dampak                   This uncertainty weighed on global economic growth, which
pada pertumbuhan ekonomi dunia diprakirakan melambat                    was projected to slow to 3.2% in 2025, driven by weakening
dari 3,2% pada tahun 2025, seiring melemahnya permintaan                global demand and increasing trade fragmentation resulting
global serta meningkatnya fragmentasi perdagangan akibat                from unilateral U.S. tariff policies and countermeasures from
kebijakan tarif sepihak Amerika Serikat dan kebijakan balasan           trading partners.
(countermeasures) dari negara mitra dagang.

Sementara itu, pertumbuhan ekonomi nasional relatif memiliki            Meanwhile, our national economy demonstrated resilience.
daya tahan yang baik. Berdasarkan data Badan Pusat Statistik            According to data from the Statistics Indonesia (BPS), Indonesia’s
(BPS), perekonomian Indonesia pada tahun 2025 tumbuh sebesar            economy grew by 5.11% in 2025, up from 5.03% in 2024 (c‑to‑c).
5,11%, meningkat dibandingkan tahun 2024 yang sebesar 5,03%             From the production side, the highest growth was recorded
(c-to-c). Dari sisi produksi, pertumbuhan tertinggi dicatatkan          in the other services sector at 9.93%. From the expenditure
oleh lapangan usaha jasa lainnya sebesar 9,93%, sedangkan dari          side, exports of goods and services contributed the highest
sisi pengeluaran, komponen ekspor barang dan jasa menjadi               growth at 7.03%.
kontributor dengan pertumbuhan tertinggi sebesar 7,03%.




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Tinjauan Industri                                                         Industry Review
Berdasarkan laporan kinerja kementerian Energi dan Sumber                 Based on the 2025 performance report of the Ministry of Energy
Daya Mineral tahun 2025, target rata-rata produksi gas bumi               and Mineral Resources, the average natural gas production
dalam Rencana Strategis ditetapkan sebesar 1.005 ribu barel               target in the Strategic Plan was set at 1,005 thousand barrels
ekivalen minyak per hari (MBOEPD) atau setara dengan 5.628                of oil equivalent per day (MBOEPD), equivalent to 5,628 million
juta standar feet kubik per hari (MMSCFD), sesuai dengan                  standard cubic feet per day (MMSCFD), in line with the 2025
target lifting APBN 2025                                                  State Budget lifting target.

Pencapaian produksi rata-rata gas bumi pada tahun 2025 hingga             Average natural gas production from 2025 to December 31,
31 Desember 2025 berdasarkan data operasional adalah sebesar              2025, based on operational data, is 6,789 million cubic feet
6.789 juta kubik feet per hari (MMSCFD) atau setara dengan                per day (MMSCFD), equivalent to 1,212 thousand barrels of oil
1.212 ribu barel ekuivalen minyak (MBOEPD) yang mencapai                  equivalent (MBOEPD), reaching 121% of the lifting target in the
121% dari target lifting Rencana Strategis maupun lifting APBN.           Strategic Plan and the State Budget.

Capaian produksi gas bumi tahun 2025 mengalami penurunan                  However, this 2025 natural gas production represented a decline
sebesar 27 MMSCFD (setara dengan 4,8 MBOEPD) dari produksi                of 27 MMSCFD (equivalent to 4.8 MBOEPD) compared to 2024
tahun 2024 yang sebesar 6.802 MMSCFD. Angka produksi tersebut             production of 6,802 MMSCFD. The production figure reflects
merupakan total gas bumi yang diproduksikan, mencakup                     total natural gas output, including lifting, operational own
salur gas bumi (lifting), own used operasional lapangan, gas              use, gas lift, impurities, and flaring. Challenges encountered
lift, impurities, dan gas suar (flare). Kendala yang dialami              included unplanned facility shutdowns, pipeline leaks, delays
dalam produksi gas bumi antara lain unplanned shutdown (trip)             in field project onstream schedules, and financial constraints
fasilitas produksi, kebocoran pipa, mundurnya onstream dari               that hindered gas field development.
project lapangan, dan masalah finansial yang menyebabkan
tidak terlaksananya pengembangan lapangan gas.

Pemanfaatan gas bumi di Indonesia selama 2025 masih                       The use of natural gas in Indonesia during 2025 remained a
merupakan program prioritas pemerintah dalam mendukung                    government priority program in supporting the energy transition
transisi energi menuju energi bersih. Disamping itu gas bumi              toward clean energy. Natural gas use in Indonesia during
juga dimanfaatkan untuk mendukung hilirisasi gas bumi dengan              2025 remained a government priority to support the energy
mendorong pertumbuhan industri-industri pengguna gas bumi.                transition toward cleaner energy. In addition, natural gas was
Pemanfaatan Gas Domestik pada Tahun 2025 (realisasi s.d.                  used to drive downstream development, fostering growth in
November 2025) mencapai 69,78% dengan total penyaluran                    gas‑consuming industries. Domestic Gas Use in 2025 (realized
mencapai 5.600,35 BBTUD. Nilai ini telah sesuai dengan                    up to November 2025) reached 69.78%, with total distribution of
target pemanfaatan gas bumi domestik tahun 2025 sebesar                   5,600.35 BBTUD. This is in line with the 2025 target of 69%. For
69%. Sebagai perbandingan dengan tahun 2024 (realisasi s.d                comparison, domestic gas use in 2024 (realized up to December
Desember 2024), realisasi pemanfaatan gas domestik sebesar                2024) stood at 68.88%, with total distribution of 5,612 BBTUD.
68,88% dengan total penyaluran mencapai 5.612 BBTUD.

Strategi dan Kebijakan Strategis                                          Strategic Policies and Initiatives
Perseroan terus menghadapi dinamika industri yang semakin                 The Company continues to navigate an increasingly complex
kompleks, mulai dari meningkatnya kebutuhan energi hingga                 industry landscape, ranging from rising energy demand to
tuntutan diversifikasi sumber daya. Dalam situasi tersebut,               the need for resource diversification. In this environment, the
Perseroan berupaya memperkuat strategi bisnisnya agar                     Company strives to strengthen its business strategies to remain
tetap kompetitif sekaligus mampu menciptakan pertumbuhan                  competitive while fostering sustainable growth.
berkelanjutan.

Pada tahun 2025, Perseroan telah menetapkan berbagai strategi             In 2025, the Company established main strategies, including:
utama yaitu: penguatan bisnis inti (midstream & downstream                strengthening core businesses (midstream and downstream
gas), selektif dalam ekspansi anorganik (participating interest &         gas); remaining selective in inorganic expansion (participating
strategic acquisition), optimalisasi portofolio untuk meningkatkan        interests and strategic acquisitions), optimizing portfolio to
profitabilitas, penguatan struktur keuangan untuk mendukung               enhance profitability, strengthening financial structure to support
pertumbuhan jangka panjang, dan integrasi ESG dalam strategi              long‑term growth, and integrating ESG into business strategy
bisnis.

Untuk mendukung strategi tersebut, Perseroan juga membangun               To support these strategies, the Company also invested in
SDM yang unggul melalui leadership development dan talent                 human capital development through leadership programs and
regeneration, program pelatihan teknis dan manajerial,                    talent regeneration, technical and managerial training, ESG and
peningkatan kompetensi ESG dan sustainability, serta program              sustainability competency enhancement, as well as internal
beasiswa internal dan pengembangan karier.                                scholarship and career development initiatives.

Selain itu, Direksi juga berkomitmen dalam mendukung                      Furthermore, the Board of Directors is committed to advancing
pengembangan sistem teknologi informasi (TI) secara adaptif               adaptive information technology systems through business and
melalui digitalisasi proses bisnis dan operasional, integrasi             operational digitalization, integration of reporting and monitoring
sistem pelaporan dan monitoring, penguatan data governance dan            systems, strengthening data governance and cybersecurity, and


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cybersecurity, dan pengembangan platform untuk mendukung                developing platforms to support ESG reporting. Going forward,
ESG reporting. Ke depan, Perseroan akan memperkuat data-                the Company will reinforce data‑driven decision‑making and
driven decision making dan otomatisasi proses operasional.              operational process automation.

Perseroan berkomitmen kuat untuk menjaga keberlangsungan                The Company is firmly committed to maintaining business
bisnis dan menciptakan nilai jangka panjang bagi seluruh                continuity and creating long‑term value for all stakeholders by
Pemangku Kepentingan dengan mendorong praktik-praktik                   embedding sustainability practices across all business lines
keberlanjutan di seluruh lini bisnis melalui pengelolaan                through Environmental, Social, and Governance (ESG) management.
Environmental, Social, and Governance (ESG). Perseroan                  The Company’s sustainability strategy is implemented through:
menjalankan strategi keberlanjutan melalui:
• Integrasi ESG dalam strategi bisnis.                                  •    Integration of ESG into business strategy
• Program CSR berbasis 4 pilar:                                         •    CSR programs based on four (4) pillars:
    1. PINTAR RAHARJA (pendidikan)                                           1. PINTAR RAHARJA (education)
    2. PEDULI RAHARJA (sosial)                                               2. PEDULI RAHARJA (social)
    3. SEHAT RAHARJA (kesehatan)                                             3. SEHAT RAHARJA (health)
    4. LESTARI RAHARJA (lingkungan)                                          4. LESTARI RAHARJA (environment)
• Komitmen terhadap pengurangan emisi dan transisi energi.              •    Commitment to emission reduction and energy transition
• Penyusunan roadmap ESG dan target rating global                       •    Development of an ESG roadmap and pursuit of global
    (Sustainalytics).                                                        rating targets (Sustainalytics)

Peran Direksi dalam Merumuskan Strategi dan Kebijakan                   Role of the Board of Directors in Formulating Strategy and Policy
Direksi juga harus memastikan bahwa kebijakan strategis                 The Board of Directors must also ensure that the strategic
yang diterapkan tetap sejalan dengan perubahan yang terjadi             policies implemented remain aligned with changes occurring
di lingkungan eksternal. Dunia bisnis yang terus berkembang,            in the external environment. The continuously evolving business
munculnya teknologi baru, perubahan regulasi, serta dinamika            world, the emergence of new technologies, regulatory changes,
pasar yang berubah cepat, mengharuskan Direksi untuk memiliki           and rapidly shifting market dynamics require the Board of
kemampuan penyesuaian kebijakan secara fleksibel dan adaptif.           Directors to possess the capability to adjust policies in a flexible
                                                                        and adaptive manner.

Direksi senantiasa merumuskan strategi pertumbuhan bisnis               The Board of Directors consistently formulates growth strategies
yang tertuang dalam Rencana Kerja dan Anggaran Perusahaan               through the Corporate Work Plan and Budget (RKAP), supported
(RKAP) dan memiliki KPI terukur hingga level unit bisnis.               by measurable KPIs down to the business unit level. Targets
Penetapan target menggunakan pendekatan bottom-up, yang                 are set using a bottom‑up approach, assigning responsibility
memberikan tanggung jawab kepada setiap unit bisnis untuk               to each business unit to define its objectives and strategies
merumuskan target dan strategi pencapaiannya, baik dalam                for both short‑ and long‑term horizons. These plans are then
jangka pendek maupun jangka panjang. Kemudian, rencana                  reviewed collectively with the Board of Directors.
target dan strategi pencapaian target tersebut dilaporkan kepada
Direksi untuk bersama-sama dilakukan reviu secara berkala.

Setelah target tersusun, Direksi menentukan visi dan                    Once targets are established, the Board defines forward‑looking
misi ke depan yang relevan dengan target, strategi, dan                 vision and mission statements aligned with strategies and
perkembangan bisnis. Strategi sejalan dengan visi dan misi              business developments. This is to ensure that all Company’s
agar seluruh insan Perseroan bergerak bersama menuju                    Employees move together toward common goals. Strategy
tujuan yang sama. Perumusan strategi tersebut terus dipantau            implementation is continuously monitored alongside market
implementasinya seiring dengan pemantauan kondisi pasar                 conditions and industry developments, ensuring alignment
serta kebutuhan maupun perkembangan industri terkini                    with business expansion opportunities. Periodic monitoring is
yang selaras dengan potensi pengembangan usaha yang                     conducted regularly through the Board of Directors’ reporting
ditetapkan. Monitoring berkala dilakukan secara periodik                mechanism and performance review. The Company also has tools
melalui mekanisme Report Direksi dan performance review.                and reporting systems that are integrated for both operational
​Perseroan juga memiliki tools dan sistem pelaporan yang                and financial aspects. also strives to strengthen coordination
 terintegrasi baik operasional maupun keuangan. Perseroan               between the holding entity and subsidiaries to ensure smooth
 terus berusaha untuk memperkuat fungsi koordinasi holding–             operations and safeguard business sustainability.
 subsidiary guna memastikan kelancaran operasional dan
 menjaga keberlanjutan Perseroan.

Perbandingan Antara Hasil yang Dicapai dengan yang Ditargetkan          Comparison Between Achieved and Targeted Results
Perseroan berhasil membuktikan bahwa strategi dan arah                  The Company has successfully proven that the planned
bisnis yang telah direncanakan berjalan dengan baik. Pada               strategy and business direction are working well. In 2025,
tahun 2025, Perseroan berhasil membukukan pendapatan                    the Company successfully recorded net revenue of USD266.67
bersih sebesar USD266,67 juta, meningkat sebesar 4,79%                  million, an increase of 4.79% or USD12.19 million compared
atau USD12,19 juta dibandingkan tahun sebelumnya yang                   to the previous year’s USD254.48 million. The primary driver
mencapai USD254,48 juta. Faktor utama kenaikan pendapatan               of revenue growth in 2025 was derived from Engineering,
usaha tahun 2025 diperoleh dari pendapatan Engineering,                 Procurement, and Construction (EPC) activities and gas sales.
Procurement, and Construction (EPC) dan penjualan gas.



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Laba tahun berjalan Perseroan di tahun 2025 tercatat                    Profit for the year 2025 reached USD35.02 million, an increase of
mencapai USD35,02 juta, meningkat 20,42% atau sebesar                   20.42% or USD5.94 million compared to 2024, when net income
USD5,94 juta dibandingkan tahun 2024 yang tercatat sebesar              stood at USD29.08 million. The increase was primarily driven by
USD29,08 juta. Peningkatan ini terutama didorong oleh                   the contribution of share of profit from associates, Hafar Group.
kontribusi bagian laba entitas asosiasi dari Hafar Group.

Selain itu, pada tahun 2025, Perseroan melakukan pembangunan            In 2025, the Company carried out the construction of a compressor
kompresor di Sengkang, Sulawesi Selatan yang sudah beroperasi           in Sengkang, South Sulawesi, which commenced operations in
pada Q4 2025, pembangunan pipa BBM Tanjung Batu–Samarinda,              the fourth quarter of 2025, the Tanjung Batu–Samarinda fuel
serta pengembangan pipa di wilayah Jawa Barat.                          pipeline, and pipeline development in West Java.

Kendala yang Dihadapi Perseroan                                         Challenges Faced by the Company
Meskipun menunjukkan kinerja yang baik, namun Perseroan                 Despite strong performance, the Company encountered both
juga menghadapi berbagai kendala eksternal dan internal.                external and internal challenges. Externally, these included
Dari sisi eksternal, kendala yang dihadapi adalah fluktuasi             energy price fluctuations, market demand volatility, regulatory
harga energi dan permintaan pasar, perubahan regulasi serta             changes, and the implementation of ESG requirements, and
implementasi tuntutan ESG, dan kompetisi dalam akuisisi                 competition in acquiring strategic assets. Internally, challenges
aset strategis. Sedangkan dari internal, kendala yang dihadapi          involved human capital readiness for energy transition, integration
adalah kesiapan SDM dalam menghadapi transformasi energi,               of an increasingly complex business portfolio, and the need to
integrasi portofolio bisnis yang semakin kompleks, dan kebutuhan        strengthen technological and digital capabilities.
peningkatan kapabilitas teknologi dan digitalisasi.

Terlepas dari tantangan tersebut, Direksi sebagai bagian penting        Nevertheless, the Board of Directors, as a key element of
dalam struktur governansi berkomitmen agar perumusan strategi           governance, remains committed to formulating strategies and
dan inisiatif dapat memitigasi risiko bisnis, memanfaatkan              initiatives that mitigate business risks, capitalize on growth
peluang pertumbuhan, dan mencapai target bisnis yang telah              opportunities, and achieve established business targets.
ditetapkan.

Prospek Usaha                                                           Business Prospects
International Monetary Fund (IMF) menurunkan proyeksi                   The International Monetary Fund (IMF) revised its global economic
pertumbuhan ekonomi dunia menjadi 3,1% dari yang sebelumnya             growth projection downward to 3.1%, from the earlier forecast
diprediksi tumbuh 3,4%. Dalam laporannya, IMF mengatakan                of 3.4%. According to the IMF, global economies are being
perekonomian di seluruh dunia terkena dampak konflik Timur              affected by Middle East conflicts through rising commodity
Tengah melalui kenaikan harga komoditas, inflasi, dan sentimen          prices, inflationary pressures, and financial market sentiment.
di pasar keuangan.Permintaan minyak global diperkirakan terus           Global oil demand is expected to continue increasing until
meningkat hingga 2050, dengan potensi mencapai lebih dari               2050, potentially exceeding 113 million barrels per day —
113 juta barel per hari — sekitar +13% dari tingkat konsumsi            approximately +13% compared to 2024 consumption levels.
2024, serta konsumsi gas alam juga meningkat, didorong oleh             Natural gas consumption is also projected to rise, driven by
peluncuran kapasitas LNG yang besar dan peran gas dalam                 the launch of significant LNG capacity and the role of gas in
mendukung keamanan energi.                                              supporting energy security.

Permintaan minyak di kawasan Asia, Afrika, dan Amerika                  Oil demand in Asia, Africa, and Latin America is projected
Latin diproyeksikan menjadi pendorong utama pertumbuhan                 to be the primary driver of global consumption growth. The
konsumsi global. International Energy Agency (IEA) mencatat             International Energy Agency (IEA) notes that the penetration
bahwa penetrasi energi terbarukan dan teknologi efisiensi               of renewable energy and efficiency technologies will diversify
menjadikan struktur permintaan energi masa depan lebih                  the future energy demand structure, reinforcing the role of
beragam, menekankan peran gas alam sebagai energi transisi              natural gas as a transition fuel while sustaining the long‑term
serta mempertahankan relevansi minyak dalam jangka panjang.             relevance of oil.

Ketidakpastian ini mendorong negara-negara untuk memperkuat             This uncertainty has prompted nations to strengthen domestic
ketahanan energi domestik sebagai bagian dari strategi keamanan         energy resilience as part of their national security strategies.
nasional. Implikasi strategis bagi sektor energi adalah semakin         The strategic implication for the energy sector is the growing
pentingnya peran sumber energi yang andal, terjangkau, dan              importance of reliable, affordable, and sustainably available
tersedia secara berkelanjutan.                                          energy sources.

Kebutuhan energi nasional yang terus meningkat menjadi faktor           Rising national energy demand remains a key factor. Therefor,
utama. Oleh karena itu, Perseroan memegang peran strategis              the Company plays a strategic role in contributing to Indonesia’s
dengan berkontribusi pada agenda transisi energi Indonesia.             energy transition agenda.




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Perseroan mengelola pertumbuhan dan keberlanjutan usahanya             The Company manages its business growth and sustainability
melalui ekspansi infrastruktur energi (pipeline, LNG, gas              through energy infrastructure expansion (pipelines, LNG, gas
processing), diversifikasi ke energi rendah karbon, kemitraan          processing), diversification into low‑carbon energy, strategic
strategis dengan mitra global, dan penguatan recurring income          partnerships with global players, and strengthening recurring
dari aset eksisting. Langkah ini diharapkan dapat memperkuat           income from existing assets. These initiatives are expected to
posisi Perseroan di pasar energi dan memberikan kontribusi             reinforce the Company’s position in the energy market and
signifikan terhadap pemenuhan kebutuhan energi nasional di             make a significant contribution to meeting Indonesia’s future
masa depan.                                                            energy needs.

Penerapan Governansi Perseroan                                         Corporate Governance Implementation
Perseroan meyakini dengan penerapan governansi secara                  The Company believes that consistent application of governance
konsisten akan memperkuat posisi Perseroan dalam menghadapi            strengthens its position in facing business competition,
persaingan usaha, meningkatkan efektifitas dan efisiensi dalam         enhances effectiveness and efficiency in resource management,
mengelola sumber daya, memaksimalkan nilai Perseroan                   maximizes long‑term corporate value, and builds stakeholder
dalam jangka panjang serta meningkatkan kepercayaan para               trust. The Board of Directors, the Board of Commissioners,
Pemangku Kepentingan. Direksi, Dewan Komisaris, beserta                and all Company’s Employees are committed to implementing
seluruh Insan Perseroan berkomitmen untuk menerapkan                   governance practices to ensure that every program is realized
praktik governansi agar setiap program dapat terealisasi untuk         optimally in line with best practice and prevailing laws and
mencapai hasil yang optimal selaras dengan best practice serta         regulations.
peraturan perundang-undangan yang berlaku.

Pada tahun 2025, Perseroan melakukan penyempurnaan                     In 2025, the Company enhanced governance implementation
penerapan governansi dengan mengkaji dan memutakhirkan                 by reviewing and updating its enterprise risk management
kebijakan framework manajemen risiko berbasis enterprise risk.         framework. To ensure risks are properly managed, the Company
Untuk memastikan risiko telah dikelola dengan baik, Perseroan          developed a corporate risk profile that reflects inherent risks in
menyusun profil risiko Perseroan yang menggambarkan                    business activities, integrating ESG risks into decision‑making.
pengelolaan risiko yang melekat dalam kegiatan usaha dengan            The Company ensures that decision‑making processes are
mengintegrasikan risiko ESG dalam pengambilan keputusan.               transparent, accountable, and responsible, involving all relevant
Perseroan memastikan bahwa proses pengambilan keputusan                stakeholders.
dilakukan secara transparan, akuntabel, dan bertanggung
jawab, dengan melibatkan seluruh Pemangku Kepentingan
yang relevan.

Perseroan menjunjung tinggi keterbukaan informasi yang                 The Company upholds disclosure of relevant, accurate, and
relevan, akurat, dan tepat waktu kepada seluruh Pemangku               timely information to stakeholders. Transparency is applied in
Kepentingan. Transparansi diterapkan dalam penyampaian                 financial reporting, performance disclosure, risk management,
laporan keuangan, kinerja, risiko, serta informasi penting             and other material information affecting business continuity.
lainnya yang berdampak terhadap keberlangsungan usaha.

Direksi menyadari bahwa eksistensi sistem pelaporan pelanggaran        The Board of Directors recognizes the importance of the
(Whistleblowing System/WBS) memiliki peran penting sebagai             Whistleblowing System (WBS) as part of the Company’s internal
bagian dalam sistem pengendalian internal Perseroan, sekaligus         control system and as an early warning mechanism. The Board
menjadi mekanisme early warning system. Direksi menjamin               guarantees independence and confidentiality in reporting.
independensi dan kerahasiaan pelaporan. Penerapan governansi           Governance implementation also strengthens a corporate
turut memperkuat budaya kerja yang menjunjung tinggi etika,            culture that upholds ethics, integrity, and professionalism as
integritas, dan profesionalisme, yang menjadi landasan utama           the foundation of all business activities.
dalam setiap aktivitas bisnis Perseroan.




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Susunan Direksi                                                         Composition of the Board of Directors
Pada tahun 2025, terdapat perubahan komposisi Direksi                   In 2025, there was a change in the composition of the Company’s
Perseroan, sesuai dengan Akta RUPS No. 33 tanggal 30 April              Board of Directors, pursuant to the General Meeting of
2025. Susunan Direksi selama tahun 2025 adalah sebagai berikut:         Shareholders (GMS) Deed No. 33 dated April 30, 2025. The
                                                                        composition of the Board of Directors during 2025 was as follows:

1 Januari 2025-30 April 2025                                            1 January 2025-30 April 2025

 Djauhar Maulidi                 Direktur Utama                          Djauhar Maulidi                   President Director

 Sumantri                        Direktur                                Sumantri                          Director

 Ogi Rulino                      Direktur                                Ogi Rulino                        Director

30 April 2025-31 Desember 2025                                          30 April 2025-31 December 2025

 Djauhar Maulidi                 Direktur Utama                          Djauhar Maulidi                   President Director

 Ogi Rulino                      Direktur                                Ogi Rulino                        Director


Apresasi                                                                Appreciation
Pada tahun 2025, pencapaian kinerja Perseroan berada pada               In 2025, the Company demonstrated strong fundamentals in
posisi yang kuat secara fundamental. Hal ini tidak terlepas dari        its performance. This achievement was inseparable from the
dukungan, dedikasi, kerja keras, dan sinergi segenap insan              support, dedication, hard work, and synergy of all Company’s
Perseroan serta keselarasan dengan arahan, kebijakan dan                Employees, as well as the alignment with the guidance, policies,
dukungan yang sangat kuat dari pemegang saham.                          and strong support of the shareholders.


Untuk menutup laporan ini, Direksi memberikan apresiasi                 To conclude this report, the Board of Directors extends its
kepada Dewan Komisaris yang memberikan arahan atas                      appreciation to the Board of Commissioners for providing
kebijakan Perusahaan untuk mengimplementasikan program                  direction on the Company’s policies and for supervising the
kerja sebagaimana yang tertuang dalam RKAP. Selain itu, kami            implementation of work programs as outlined in the Corporate
juga menyampaikan rasa terima kasih kepada para pelanggan,              Work Plan and Budget (RKAP). We also express our gratitude
mitra usaha, regulator, dan seluruh Pemangku Kepentingan                to customers, business partners, regulators, and all other
lainnya atas kepercayaan yang diberikan kepada Perseroan.               stakeholders for the trust placed in the Company. Looking ahead,
Ke depan, Kami berharap dapat terus bekerja sama untuk                  we hope to continue working together to realize the Company’s
mewujudkan tujuan jangka panjang Perseroan, memperkuat                  long‑term objectives, strengthen its market position, and deliver
posisi di pasar, dan memberikan nilai tambah yang berkelanjutan         sustainable added value for all stakeholders.
bagi seluruh Pemangku Kepentingan.




                                          Atas Nama Direksi PT Rukun Raharja Tbk
                                                    Jakarta, 30 April 2026
                                 On behalf of the Board of Directors of PT Rukun Raharja Tbk
                                                    Jakarta, April 30, 2026




                                                       DJAUHAR MAULIDI
                                                        Direktur Utama
                                                       President Director




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SURAT PERNYATAAN ANGGOTA DEWAN KOMISARIS TENTANG                  STATEMENT OF THE MEMBERS OF THE BOARD OF COMMISSIONER
TANGGUNG JAWAB ATAS LAPORAN TAHUNAN 2025                          REGARDING THE RESPONSIBILITY FOR THE 2024 ANNUAL
PT RUKUN RAHARJA TBK                                              REPORT OF PT RUKUN RAHARJA TBK

Kami, yang bertanda tangan di bawah ini, menyatakan bahwa         We, the undersigned, hereby affirm that all information contained
semua informasi dalam Laporan Tahunan PT Rukun Raharja            in the 2025 Annual Report of PT Rukun Raharja Tbk has been
Tbk tahun 2025 telah dimuat secara lengkap dan bertanggung        presented in its entirety. We assume full responsibility for the
jawab penuh atas kebenaran isi Laporan Tahunan Perseroan.         accuracy of the contents of the Company’s Annual Report.

Demikian pernyataan ini dibuat dengan sebenarnya.                 This statement is made truthfully and in good faith.




                                                Jakarta, 30 April 2026
                                                Jakarta, April 30, 2026




                                                     Rudiantara
                                                  Komisaris Utama
                                               President Commissioner




       D. Andhi Nirwanto                            M. Arsjad Rasjid PM                                Rachmat Gobel
      Komisaris Independen                               Komisaris                                   Komisaris Independen
   Independent Commissioner                            Commissioner                               Independent Commissioner




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SURAT PERNYATAAN ANGGOTA DIREKSI TENTANG TANGGUNG                             STATEMENT OF THE MEMBERS OF THE BOARD OF DIRECTORS
JAWAB ATAS LAPORAN TAHUNAN 2025 PT RUKUN RAHARJA TBK                          REGARDING THE RESPONSIBILITY FOR THE 2025 ANNUAL
                                                                              REPORT OF PT RUKUN RAHARJA TBK

Kami, yang bertanda tangan di bawah ini, menyatakan bahwa                     We, the undersigned, hereby affirm that all information contained
semua informasi dalam Laporan Tahunan PT Rukun Raharja                        in the 2025 Annual Report of PT Rukun Raharja Tbk has been
Tbk tahun 2025 telah dimuat secara lengkap dan bertanggung                    presented in its entirety. We assume full responsibility for the
jawab penuh atas kebenaran isi Laporan Tahunan Perseroan.                     accuracy of the contents of the Company’s Annual Report.

Demikian pernyataan ini dibuat dengan sebenarnya.                             This statement is made truthfully and in good faith.




                                                               Jakarta, 30 April 2026
                                                               Jakarta, April 30, 2026




                                   Djauhar Maulidi                                                Ogi Rulino
                                   Direktur Utama                                                  Direktur
                                  President Director                                               Director




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                                                       O3      PROFIL
                                                               PERUSAHAAN
                                                               Company Profile




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Informasi Umum dan Identitas Perusahaan
General Information and Corporate Identity




 Nama Perusahaan                    PT Rukun Raharja Tbk
 Company Name

 Status Badan Hukum                 Perseroan Terbatas (PT) / Perusahaan Terbuka
 Legal Entity Status                Limited Liability Company (PT) / Public Company

 Tanggal Pendirian                  24 Desember 1993
 Date of Establishment              December 24, 1993

 Dasar Hukum Pendirian              Akta Pendirian No. 290 oleh Notaris Ir. Rusli, S.H yang disahkan melalui Surat Keputusan
 Legal Basis of Establishment       Menteri Kehakiman Republik Indonesia No. C2.12743. HT.01.01-Th 94 tanggal 23 Agustus 1994.
                                    Deed of Establishment No. 290 by Notary Ir. Rusli, S.H which was authorized by Decree of the Minister of Justice
                                    of the Republic of Indonesia No. C2.12743. HT.01.01-Th 94 dated August 23, 1994.

 Akta Perubahan Terakhir            Akta No. 10 Tgl 09 Mei 2025 yang dibuat oleh Rini Yulianti S.H mengenai perubahan Anggaran Dasar terkait
 Most Recent Deed of Amendment of   dengan penyesuaian kegiatan usaha Perseroan berdasarkan Klasifikasi Baku Lapangan Usaha Indonesia
 the Articles of Association        (KBLI 2020)
                                    Deed Number 10 dated May 9, 2025, drawn up by Rini Yulianti, S.H., concerning the amendment to the
                                    Company’s Articles of Association in relation to the adjustment of the Company’s business activities based on
                                    the Indonesian Standard Industrial Classification (KBLI 2020).

 Bidang Usaha                       Perusahaan holding dan aktivitas konsultasi manajemen lainnya.
 Line of Business                   Holding company and other management consulting activities.

 Modal Dasar                        Rp271.805.500.000
 Authorized Capital

 Modal Ditempatkan dan              Rp105.677.062.500
 Disetor Penuh
 Issued and Fully Paid-up Capital

 NPWP                               01.581.976.6-054.000
 Tax Identification Number (TIN)

 Kepemilikan Saham                  Hapsoro: 27,52%
 Shareholding                       PT Sentosa Bersama Mitra: 35,25%
                                    PT Basis Utama Prima: 12,38%
                                    Public : 24,85%


 Pencatatan Saham                   22 Januari 2003 (Bursa Efek Surabaya)
 Sharelisting                       January 22, 2003 (Surabaya Stock Exchange)




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 Kode Saham                                    RAJA
 Ticker Code

 Jaringan Operasional                          Wilayah operasional Perseroan dan Entitas Anak tersebar di 9 provinsi di Indonesia, yaitu Riau, Jambi, Banten,
 Operational Network                           Jawa Barat, Jawa Tengah, Jawa Timur, Sulawesi Selatan, Kalimantan Utara, dan Papua Barat.
                                               The Company and its Subsidiaries’ operational areas are spread across Nine provinces in Indonesia, including
                                               Riau, Jambi, Banten, West Java, Central Java, East Java, South Sulawesi, North Kalimantan, and West Papua.

 Jumlah Karyawan                               714 orang
 Number of Employees                           714 people

 Alamat Kantor Pusat (sementara)               Sehubungan dengan renovasi yang sedang dilakukan di kantor pusat Perseroan, bersama ini kami
 Head Office Address (temporary)               informasikan bahwa, terhitung mulai hari Senin, 23 Juni 2025, seluruh operasional kantor pusat Perseroan
                                               yang sebelumnya beralamat di:
                                               Thamrin Residence, Office Park, Jl. M.H. Thamrin Boulevard No.01-05 Blok A, RT.2/RW.8, Kelurahan Kebon
                                               Melati, Kecamatan Tanah Abang, Kota Jakarta Pusat, Daerah Khusus Ibukota Jakarta 10230

                                               sementara dipindahkan ke alamat berikut:
                                               Jl. Patal Senayan No.2B, RT.1/RW.7, Kelurahan Grogol Utara, Kecamatan Kebayoran Lama, Kota Jakarta
                                               Selatan, Daerah Khusus Ibukota Jakarta 12210.

                                               In connection with the ongoing renovation of the Company’s head office, we hereby inform that, effective
                                               Monday, June 23, 2025, all head office operations previously located at:
                                               Thamrin Residence, Office Park, Jl. M.H. Thamrin Boulevard No.01-05 Blok A, RT.2/RW.8, Kelurahan Kebon
                                               Melati, Kecamatan Tanah Abang, Jakarta Pusat, Daerah Khusus Ibukota Jakarta 10230

                                               will be temporarily relocated to the following address:
                                               Jl. Patal Senayan No.2B, RT.1/RW.7, Kelurahan Grogol Utara, Kecamatan Kebayoran Lama, Kota Jakarta
                                               Selatan, Daerah Khusus Ibukota Jakarta 12210.

 Telepon                                       (+62 21) 2929 1053
 Phone

 Faksimili                                     (+62 21) 2357 9803
 Facsimile

 Surel                                         corsec@raja.co.id
 E-mail

 Situs Web                                     www.raja.co.id
 Website




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Riwayat Singkat Perseroan
Brief History of the Company


PT Rukun Raharja Tbk saat ini dikenal sebagai perusahaan                 PT Rukun Raharja Tbk is recognized as an integrated energy
penyedia energi terintegrasi yang mencakup seluruh rantai                provider encompassing the entire value chain from upstream to
nilai dari hulu ke hilir. Didirikan di Jakarta, 24 Desember 1993,        downstream. Established in Jakarta on December 24, 1993, the
Perseroan memulai perjalanannya di sektor properti (real                 Company initially operated in the property sector (real estate)
estate), kemudian jasanya terus berkembang, dari bidang                  before expanding into logistics and subsequently entering the
logistik hingga memasuki sektor energi.                                  energy industry.

Pada 22 Januari 2003, Perseroan melangkah lebih jauh dengan              On January 22, 2003, the Company marked a significant milestone
menjadi perusahaan terbuka melalui pencatatan saham di                   by becoming a public company through the listing of its shares
Bursa Efek Surabaya (kini Bursa Efek Indonesia) dengan kode              on the Surabaya Stock Exchange (now the Indonesia Stock
saham RAJA.                                                              Exchange) under the ticker code RAJA.

Momentum transformasi besar terjadi pada tahun 2010, ketika              A major transformation occurred in 2010, when Rukun Raharja
Rukun Raharja memasuki sektor energi, dengan fokus pada                  shifted its focus to the energy sector, particularly gas trading,
perdagangan gas, transportasi gas, dan pengelolaan infrastruktur         gas transportation, and gas infrastructure management.
gas. Melalui inovasi berkelanjutan dan kemitraan strategis,              Through continuous innovation and strategic partnerships, the
Perseroan terus tumbuh dan kini diakui sebagai salah satu                Company has achieved steady growth and is now recognized as
penyedia energi terintegrasi swasta terbesar di Indonesia.               one of Indonesia’s largest private integrated energy providers.
Perseroan menawarkan solusi menyeluruh dalam bidang                      Today, Rukun Raharja offers comprehensive solutions in gas
infrastruktur dan utilitas gas, perdagangan gas, pembangkit              infrastructure and utilities, gas trading, power generation,
listrik, investasi hulu, serta jasa pendukung di sektor minyak           upstream investment, and supporting services in the oil and
dan gas.                                                                 gas sector.

Sebagai bagian dari komitmen terhadap keberlanjutan,                     As part of its sustainability commitment, the Company actively
Rukun Raharja secara aktif mendukung agenda Pemerintah                   supports the Government’s agenda to achieve Net Zero
untuk mencapai Net Zero Emissions pada tahun 2060, sejalan               Emissions by 2060, in line with the Paris Agreement and ESG
dengan Konvensi Paris tentang ESG (Environment, Social,                  (Environment, Social, and Governance) principles. To this end,
and Governance). Untuk itu Perseroan tengah mengukuhkan                  Rukun Raharja is strengthening its foundation to participate in
fondasinya untuk turut serta juga dalam rencana penyediaan               the New Renewable Energy (EBT) supply plan.
Energi Baru Terbarukan (EBT).

Visi Perseroan melampaui pencapaian finansial. Perseroan                 The Company’s vision extends beyond financial performance.
bertekad menyediakan energi bersih dan terjangkau bagi                   Rukun Raharja is committed to delivering clean and affordable
masyarakat, mendukung pertumbuhan berkelanjutan, dan                     energy to the community, supporting sustainable growth, and
memberikan kontribusi nyata bagi pembangunan bangsa. Dengan              making a meaningful contribution to nation-building. Guided
semangat ini, Perseroan berupaya membangun masa depan                    by this vision, the Company strives to build a brighter and more
yang lebih cerah dan berkelanjutan untuk generasi mendatang.             sustainable future for generations to come.

Informasi Perubahan Nama                                                 Name Change Information

Sejak berdirinya sampai dengan akhir tahun 2025, Perseroan               Since its establishment, and up to the end of 2025, the Company
tidak pernah melakukan perubahan nama.                                   has never undergone a change of name.




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Jejak Langkah
Milestone




Perseroan berdiri dengan                           Perseroan melaksanakan Penawaran                       Akuisisi PT Panji Raya Alamindo, PT Triguna Internusa
nama Rukun Raharja di Jakarta                      Umum Saham Perdana di Bursa Efek                       Pratama, dan PT Energasindo Heksa Karya yang menjadikan
dan bergerak di bidang usaha                       Surabaya (saat ini Bursa Efek Indonesia)               Perseroan mengubah bidang usaha menjadi sektor energi
perumahan.                                         dengan kode saham: RAJA.                               melalui segmen usaha perdagangan gas jasa transportasi
                                                                                                          gas dan pengelolaan, serta pemeliharaan infrastruktur gas.

The Company was established                        The Company conducted an Initial Public
under the name Rukun Raharja                       Offering on the Surabaya Stock Exchange                Acquisition of PT Panji Raya Alamindo, PT Triguna Internusa
in Jakarta and was engaged in the                  (currently the Indonesia Stock Exchange)               Pratama, and PT Energasindo Heksa Karya, which made
housing business.                                  with the ticker code: RAJA.                            the Company change its business field to the energy
                                                                                                          sector through the business segments of gas trading, gas
                                                                                                          transportation services, and gas infrastructure management
                                                                                                          and maintenance.




        1993                                            2003                                                  2010




                                     2025                                                     2024                                           2023
        • Entitas Anak Perseroan, yaitu PT Raharja Energi Cepu            • Perseroan mengakuisisi 55% saham                     • Perseroan mulai melakukan
          Tbk (RATU), secara resmi mencatatkan sahamnya di                  PT Karya Mineral Jaya, sebuah perusahaan               ekplorasi pada Blok Jabung Tengah.
          Bursa Efek Indonesia pada 8 Januari 2025.                         distribusi gas yang nantinya akan beroperasi         • Pengoperasian stasiun induk CNG di
        • Perseroan mengakuisisi saham PT Hafar Daya Konstruksi             di wilayah Kalimantan Utara.                           Kabupaten Grobogan Jawa Tengah.
          (HDK) dan PT Hafar Daya Samudera (HDS) sebesar                  • Perseroan menandatangani perjanjian                  • Pengambilalihan Hak Partisipasi
          49% sebagai bagian dari implementasi rencana jangka
                                                                            kerja sama untuk pembangunan Pipa BBM                  sebesar 8% di Blok Jabung.
          panjang, di mana Perseroan akan melakukan ekspansi
                                                                            Tanjung Batu – Samarinda.                            • Pengaliran pertama pipa milik
          ke bidang Infrastruktur Minyak dan Gas.
        • Perseroan resmi dimasukkan ke dalam IDX80 dalam                 • Perseroan menandatangani kerja sama                    Perseroan di Riau yang akan di
          rebalancing mayor efektif mulai 1 Agustus 2025.                   penyediaan sewa booster compression                    alirkan ke IKPP.
        • Entitas Anak Perseroan, yaitu PT Raharja Energi                   plant untuk pengembangan Kampung Baru
          Cepu Tbk (RATU), masuk MSCI Small Cap Index pada                  di Blok Sengkang.
                                                                                                                                 • The Company began exploration in
          Agustus 2025.
                                                                          • The company acquired 55% shares of                     the Central Jabung Block.
        • The Company’s subsidiary, PT Raharja Energi Cepu                  PT Karya Mineral Jaya, a gas distribution            • Operation of CNG mother station in
          Tbk (RATU), officially listed its shares on the Indonesia         company that will operate in North                     Grobogan Regency, Central Java.
          Stock Exchange on January 8, 2025.                                Kalimantan.                                          • Acquisition of 8% participating
        • The Company acquired a 49% shareholding in PT Hafar             • The Company signed a cooperation                       interest in Jabung Block.
          Daya Konstruksi (HDK) and PT Hafar Daya Samudera                                                                       • The first distribution of the
                                                                            agreement for the construction of the
          (HDS) as part of its long-term plan to expand into the                                                                   Company’s pipeline in Riau which
                                                                            Tanjung Batu - Samarinda Fuel Pipeline.
          oil and gas infrastructure sector                                                                                        would flow to IKPP.
        • The Company was officially included in the IDX80 Index          • The Company signed a cooperation
          in the major rebalancing effective as of August 1, 2025.          agreement to provide booster compression
        • The Company’s subsidiary, PT Raharja Energi Cepu                  plant rental for the development of Kampung
          Tbk (RATU), was included in the MSCI Small Cap                    Baru in Sengkang Block.
          Index in August 2025.




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     Perubahan nilai nominal saham                     Pembelian saham PT Panji Raya                      • Akuisisi atas 100% kepemilikan saham PT Raharja Energi
     (stock split) dari Rp100,- per saham              Alamindo, Entitas Anak Perseroan,                    Cepu (Blok Cepu); dan
     menjadi Rp25,- per saham.                         oleh TG&D Singapore Investment                     • Penambahan modal sebanyak 150.000.000 lembar saham
                                                       Holdings Pte Ltd sebesar 33%.                        melalui mekanisme Penambahan Modal Tanpa Hak
                                                                                                            Memesan Efek Terlebih Dahulu.

     Change in the nominal value of shares             Purchase of 33% shares of PT Panji
     (stock split) from Rp100 per share                Raya Alamindo, a subsidiary of                     • Acquisition of 100% shareholding in PT Raharja Energi
     to Rp25 per share.                                the Company, by TG&D Singapore                       Cepu (Cepu Block); and
                                                       Investment Holdings Pte Ltd.                       • Capital increase of 150,000,000 shares through the
                                                                                                            mechanism of Capital Increase without Pre-emptive Rights.




          2016                                            2017                                                2018




                        2022
• Pengaliran pertama minyak di Blok Rokan dengan
                                                                                     2021
                                                          • Melalui PT Energasindo Heksa Karya, Perseroan
                                                                                                                                          2020
                                                                                                                          • Melalui PT Triguna Internusa Pratama,
  menggunakan pipa baru yang dibangun pada                  mengakuisisi 100% kepemilikan saham PT Majuko                   Perseroan mengakuisisi 100%
  tahun 2021 yang merupakan KSO Perseroan                   Utama Indonesia, perusahaan yang memiliki jaringan              kepemilikanb saham PT Bravo Delta
  dengan Pertagas. Pengaliran pertama ini                   pipa di Banten, serta mengakuisisi 80% kepemilikan              Persada, perusahaan yang bergerak di
  dilaksanakan pada tanggal 3 Februari 2022.                saham PT Artha Prima Energy, perusahaan yang                    bidang sistem penyediaan air minum
• Pendirian PT Banggai Ammonia Indonesia                    bergerak di bisnis CNG di Jawa Tengah dan Jawa                  (SPAM);
  pada tanggal 11 Oktober 2022, Perusahaan                  Barat; dan                                                    • Melalui PT Triguna Internusa Pratama,
  ini merupakan Perusahaan patungan antara                • Melalui PT Petrotech Penta Nusa, Perseroan                      Perseroan mengakuisisi 85% kepemilikan
  Perseroan dengan PT Gavi Sejahtera Nusantara.             mengakuisisi 65% saham PT Artifisial Teknologi                  saham PT Heksa Energi Mitraniaga; dan
  Pendirian Perusahaan ini merupakan langkah                Persada, perusahaan penyedia jasa di bidang minyak            • Akuisisi 100% kepemilikan saham
  awal Perseroan dalam memasuki industri                    dan gas. Perseroan kemudian menambah posisi                     PT Petrotech Penta Nusa.
  bisnis Petrokimia.                                        kepemilikan menjadi 85% di tahun 2022.
                                                                                                                          • Through PT Triguna Internusa Pratama,
• The first distribution of oil in Rokan Block using      • Through PT Energasindo Hexa Karya, the Company                  the Company acquired 100% in PT Bravo
  a new pipeline built in 2021 which was a KSO              acquired 100% shareholding of PT Majuko Utama                   Delta Persada, a company engaged in
  between the Company and Pertagas. This first              Indonesia, a company that owns pipelines in Banten,             drinking water supply system (SPAM);
  flow was carried out on February 3, 2022.                 and acquired 80% shareholding of PT Artha Prima               • Through PT Triguna Internusa Pratama, the
• Establishment of PT Banggai Ammonia Indonesia             Energy, a company engaged in CNG business in                    Company acquired 85% share ownership
  on October 11, 2022, Company is a joint venture           Central and West Java; and                                      of PT Hexa Energi Mitraniaga; and
  between the Company and PT Gavi Sejahtera               • Through PT Petrotech Penta Nusa, the Company                  • Acquisition of 100% shareholding in
  Nusantara. The establishment of this Company              acquired a 65% stake PT Artifisial Teknologi Persada,           PT Petrotech Penta Nusa.
  is the Company’s first step in entering the               an oil and gas service provider. The Company then
  Petrochemical business industry.                          increased its ownership position to 85% in 2022.




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Visi, Misi, dan Nilai-Nilai Budaya Perusahaan
Vision, Mission, and Corporate Cultural Values




    Visi                             To be Southeast Asia’s leading energy company
    Vision                           through sustainable investment in clean and
                                     transition energy.




    Misi
    Mission
                                                                         2. To provide
                                                                         a reliable and
                 1. To explore and                                       efficient energy
                 develop clean                                           supply chain
                 and sustainable
                 energy sources




                 3. To deliver                                           4. To make
                 clean and                                               a positive
                 competitive                                             contribution to
                 energy solutions                                        society




Pernyataan Penetapan Visi dan Misi oleh Manajemen Kunci            Statement of Vision and Mission Determination by Key
                                                                   Management

Dewan Komisaris dan Direksi yang menjabat selama tahun buku        The Board of Commissioners and the Board of Directors serving
2025 telah menyetujui bahwa Visi, Misi & Nilai-Nilai Budaya        during the 2025 fiscal year affirmed that the new Company’s
Perseroan yang baru.                                               Vision, Mission and Cultural Values.




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                                                                  NILAI PERUSAHAAN
                                                                    CORPORATE VALUES



Perseroan berupaya untuk terus menciptakan semangat                                  The Company strives to continuously foster employee morale
kerja karyawan melalui penerapan Budaya Perusahaan/Nilai                             through the implementation of the Company Culture/Company
Perusahaan, yaitu “PACE”.                                                            Values, namely “PACE”




                      Performance                                                                   Customer-                 Empowered Collaboration
                       Excellent                        Adaptive Agility                             centric                       & Synergy




                                                                              Purpose


                                            Foster growth mindset, enabling             Enhance overall customer         Breaking silos and ensuring
    Strive for operational excellence
                                            adaptation to new challenges                satisfaction through a           seamless coordination and
    for effectiveness and efficiency
                                             and accelerating innovation                customer-driven transformation   collaboration across RAJA group




                                                                         Definition


                                                                                        Ability to understand customer
    Commitment to deliver high-             Ability to pivot and respond to             expectation, consistently        Uniting diverse teams and
    quality out-comes in all aspect         changing business landscapes                deliver value and focus on       fostering open communication,
          of transformation                   with speed and flexibility                building long-term customer       creating a culture teamwork
                                                                                                   relationship




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Bidang Usaha, Produk, dan Layanan
Line of Business, Products, and Services


Kegiatan Usaha Sesuai Anggaran Dasar Terakhir dan Kegiatan              Articles of Association and Business Activities
Usaha yang Dijalankan
Kegiatan usaha Perseroan berdasarkan Pasal 3 Anggaran                   The Company’s business activities are stipulated in Article 3
Dasar, yakni aktivitas perusahaan induk dan aktivitas konsultasi        of the Articles of Association, which include holding company
manajemen lainnya. Di samping itu, melalui Entitas Anak,                activities and other management consulting services. In
Perseroan bergerak dalam bidang penyedia energi terintegrasi            addition, through its Subsidiaries, the Company is engaged in
dari hulu sampai hilir. Karena itu, ruang lingkup kegiatan usaha        the provision of integrated energy across the entire value chain,
Perseroan terdiri dari:                                                 from upstream to downstream. Accordingly, the scope of the
                                                                        Company’s business activities consists of:

1.   Menjalankan usaha dibidang jasa atau pelayanan yang                1.   Engaging in services and support activities, including oil
     meliputi jasa-jasa penunjang pertambangan minyak dan                    and gas mining support services, electricity supply, energy
     gas, penyediaan tenaga listrik, konsultasi bidang energi                and mining consulting, port management, container loading
     dan pertambangan, pengelolaan pelabuhan, bongkar muat                   and unloading, building management and leasing, property
     peti kemas, pengelolaan dan penyewaan gedung, sarana                    support facilities, as well as consulting in construction
     penunjang perusahaan properti dan konsultasi bidang                     planning and supervision.
     perencanaan dan pengawasan pembangunan.
2.   Menjalankan usaha dibidang pertambangan yang meliputi              2.   Conducting business in the mining sector, including the
     pendistribusian gas dan Bahan Bakar Minyak (“BBM”),                     distribution of gas and fuel oil (“BBM”), gas storage and
     penyimpanan gas dan pengembangan BBM, serta                             fuel oil development, as well as trading of transmission
     perdagangan kapasitas pipa transmisi gas dan BBM.                       pipeline capacity for gas and fuel oil.
3.   Menjalankan usaha penunjang yang meliputi usaha                    3.   Carrying out supporting activities such as contracting,
     pemborongan, perdagangan antara lain perdagangan                        trading, including trade related to real estate and property,
     yang berhubungan dengan usaha real estate dan properti;                 import, export, domestic and inter-island trade, as well
     perdagangan impor, ekspor, lokal serta antar pulau,                     as wholesale trading as agent, supplier, wholesaler, and
     demikian pula usaha-usaha perdagangan besar, sebagai                    distributor. The Company may also act as a representative of
     agen, leveransir, grosir dan distributor; bertindak sebagai             other entities or companies, both domestic and international.
     perwakilan dari badan-badan, perusahaan-perusahaan
     lain baik di dalam maupun di luar negeri.




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Produk dan Jasa                                                                  Product and Services
Produk dan jasa yang dihasilkan Perseroan dan Entitas Anak,                      The Company and Its Subsidiaries produce the following
yaitu:                                                                           products and services:




                   Jasa Penyaluran Minyak Kerja                PT Rukun Raharja Tbk
                   Sama Operasi
                   Oil Distribution Services Joint
                   Operation

                   Industri Hulu                               PT Raharja Energi Cepu Tbk
                   Upstream Industry                           PT Raharja Energi Sentosa
                                                               PT Raharja Energi Tanjung Jabung
                                                               PT Petrogas Jatim Utama Cendana
                                                               PT Bumi Karya Artha
                                                               PT Raharja Energi Indonesia
                                                               PT Raharja Energi Negeri
                                                               PT Raharja Energi Madura
                                                               PT Raharja Energi Bohorok

                   Infrastruktur, Onshore                      PT Triguna Internusa Pratama
                   Construction dan Utilitas                   PT Trimitra Cipta Mandiri
                   Infrastructure, Onshore                     PT Bravo Delta Persada
                   Construction and Utility                    PT Sarana Infrastruktur Sejahtera

                   Usaha Penunjang Kegiatan                    PT Petrotech Penta Nusa
                   Minyak & Gas                                PT Artifisial Teknologi Persada
                   Oil & Gas Activity Support
                   Business

                   Terminal dan Penyimpanan                    PT Heksa Energi Mitraniaga
                   Minyak & Gas
                   Oil & Gas Terminal and Storage


                   Distribusi dan Perdagangan Gas              PT Energasindo Heksa Karya
                   Gas Distribution and Trading                PT Majuko Utama Indonesia
                                                               PT Artha Prima Energy
                                                               PT Panji Raya Alamindo Tbk
                                                               PT Prima Energi Raharja
                                                               PT Karya Mineral Jaya
                                                               PT PDPDE Gas
                                                               PT Banawa Rezeki Optima

                   Pembangkit Listrik                          PT Raharja Daya Energi
                   Power Plant                                 PT Adidaya Bismawisesa Internasional



                   Petrokimia                                  PT Banggai Ammonia Indonesia
                   Petrochemichals



                   Offshore Construction dan                   PT Hafar Daya Konstruksi
                   Shipping                                    PT Hafar Daya Samudera
                   Offshore Construction dan                   PT Hafar Capitol Nusantara
                   Shipping




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Wilayah Operasional
Operational Area


Wilayah Operasional                                                  Operational Areas
Hingga akhir tahun 2025, wilayah operasional Perseroan dan           Until the end of 2025, the Company and its Subsidiaries’ operational
Entitas Anak tersebar di 9 provinsi di Indonesia, yaitu Riau,        areas are spread across Nine provinces in Indonesia, including
Jambi, Banten, Jawa Barat, Jawa Tengah, Jawa Timur, Sulawesi         Riau, Jambi, Banten, West Java, Central Java, East Java, South
Selatan, Kalimantan Utara, dan Papua Barat.                          Sulawesi, North Kalimantan, and West Papua.




                                                  1
                                                            2

                                                      10




                                                                                             15


                                                                                         3             4                          7



                                                                                                  5            6           9
                                                                                                                                            8




                                      Daftar Alamat Kantor
                                                   Office Address List


                    Kantor Pusat                                                         Kantor Pusat (Sementara)
                     Head Office                                                          Head Office (Temporary)
 Office Park Thamrin Residences Blok A. No. 01-05, Jl.                     Jl. Patal Senayan No.2B, RT.1/RW.7, Kelurahan Grogol
Thamrin Boulevard, Kebon Melati, Tanah Abang Jakarta                          Utara, Kecamatan Kebayoran Lama, Kota Jakarta
                   10230 Indonesia                                             Selatan, Daerah Khusus Ibukota Jakarta 12210.

             Telp. | Phone: (021) 2929 1053                                              Telp. | Phone: (021) 2929 1053
                 Fax.: (021) 2357 9803




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 14


13




                                                                                                           12


                   11




                      Kegiatan Usaha                       Kapasitas                Pulau              Lokasi                 Nomor di Peta
        No
                    Business Activity(ies)                  Capacity                Island            Location                Number on Map


        1      Compressed Natural Gas (CNG)     4 MMSCFD                            Jawa     Cibitung Bekasi, Jawa Barat                4
                                                                                    Java     Cibitung Bekasi, West Java

        2      Sistem Penyediaan Air Minum      50 LPS                              Jawa        Cijanggel, Jawa Barat                   6
               (SPAM)                                                               Java        Cijanggel, West Java
               Drinking Water Supply System

        3      Fasilitas Terminal LPG           1.000 Mt/Day                        Jawa       Rembang, Jawa Tengah                     7
               LPG Terminal Facilities                                              Java        Rembang, West Java

        4      Infrastruktur Gas                Kapasitas Kompresor Gas:/Gas        Jawa          Cilegon, Banten                       3
               Gas Infrastructure               Compressor Capacity:                Java
                                                60 MMSCFD Pipa Gas/Gas Pipe:
                                                246 km




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                   Kegiatan Usaha                             Kapasitas                      Pulau                  Lokasi                 Nomor di Peta
   No
                 Business Activity(ies)                        Capacity                      Island                Location                Number on Map


    4       Infrastruktur Gas                    Kapasitas Kompresor Gas:                   Sulawesi     Sengkang, Sulawesi Selatan               11
            Gas Infrastructure                   55 MMSCFD                                                Sengkang, South Sulawesi

                                                 131 KM                                      Jawa            Cibitung, Jawa Barat                  4
                                                 Panjang Pipa/Pipe Length                    Java            Cibitung, West Java

                                                                                                            Tegalgede, Jawa Barat                  4
                                                                                                             Tegalgede, West Java

                                                                                                               Cilegon, Banten                     3


                                                                                                                Bitung, Banten                     3


                                                                                                              Gresik, Jawa timur                   8
                                                                                                               Gresik, East Java

                                                 Stasiun Induk/ Main Station                               Grobogan, Jawa Tengah                   9
                                                 CNG 1,8 MMSCFD dan 2 KM Panjang                           Grobogan, Central Java
                                                 Pipa/ Pipe Length

                                                 111 KM                                     Sumatra           Sei Gelam, Jambi                     2
                                                 Panjang Pipa/ Pipe Length
                                                                                                              Purwodadi, Jambi                    10


                                                                                                               Perawang, Riau                      1


    5       Perdagangan Gas                      Alokasi Gas: 164                           Sumatra           Purwodadi, Jambi                    10
            Gas Trading                          MMSCFD Transportasi Gas: 73
                                                 MMSCFD
                                                                                                            Payo Selincah, Jambi                   2
                                                 Gas Allocation: 164
                                                 MMSCFD Transportasi Gas/Gas
                                                 Transportation: 73 MMSCFD                                     Perawang, Riau                      1


                                                                                             Jawa              Cilegon, Banten                     3
                                                                                             Java

                                                                                                                Bitung, Banten                     3


                                                                                                            Tegalgede, Jawa Barat                  4
                                                                                                             Tegalgede, West Java

                                                                                                             Cibitung, Jawa Barat                  4
                                                                                                             Cibitung, West Java

    6       Infrastruktur Minyak                 Pipa Minyak Rokan: 360 M/Day               Sumatra              Rokan, Riau                       1
            Oil Infrastructure                   Rokan Oil Pipeline: 360 M/Day

    7       Investasi Hulu Migas                 Tanjung Jabung Blok: 52k BOPD              Sumatra       Blok Tanjung Jabung, Jambi               2
            Upstream Oil and Gas Investment      Tanjung Block: 52k BOPD                                 Tanjung Jabung Block, Jambi


                                                 Cepu Blok: 155k BOPD                        Jawa          Blok Cepu, Jawa Timur                   8
                                                 Cepu Block: 155k BOPD                       Java          Cepu Block, East Java

    8       Jasa Penunjang Usaha Minyak          Project Engineering & Construction        Kalimantan     Bunyu, Kalimantan Utara                 14
            & Gas                                Management Service                                       Bunyu, North Kalimantan
            Supporting services to oil and gas
            mining                                                                         Kalimantan     Tarakan, Kalimantan Utara               13
                                                                                                          Tarakan, North Kalimantan

                                                 Early Work EPC Ubadari Project              Papua        Teluk Bintuni, Papua Barat              12
                                                                                                        Teluk Bintuni, West Kalimantan

                                                 OMSS Salak                                  Jawa             Bogor, Jawa Barat                   15
                                                                                             Java             Bogor, West Java



Notes:
MMSCFD : Million Standard Cubic Feet per Day
LPS : Liter per Second
MT/Hari : Metric Ton/Day
Km : Kilometer
BOPD : Barrel Oil per Day




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Keanggotaan Asosiasi
Assocation Membership



Nama Asosiasi                                         Lingkup (Nasional/ Internasional))                          Posisi Perseroan
Association Name                                        Scope (National/ International)                           Company Position


 Indonesia Natural Gas Trader Association (INGTA)                 Nasional                     Anggota (Keanggotaan melalui PT Energasindo Heksa Karya)
 Indonesia Natural Gas Trader Association (INGTA)                 National                     Member (Membership through PT Energasindo Hexa Karya)

 Kamar Dagang dan Industri Indonesia (KADIN)
                                                                  Nasional                    Anggota (Keanggotaan melalui PT Triguna Internusa Pratama)
 Indonesian Chamber of Commerce and Industry
                                                                  National                    Member (Membership through PT Triguna Internusa Pratama)
 (KADIN)

 Lembaga Pengembangan Jasa Konstruksi (LPJK)                      Nasional                    Anggota (Keanggotaan melalui PT Triguna Internusa Pratama)
 Construction Services Development Institute (LPJK)               National                    Member (Membership through PT Triguna Internusa Pratama)




Struktur Organisasi
Organizational Structure




                                                                  Djauhar Maulidi
                                                                      President Director




                                     Ria Anita Widarti                                            Yuni Pattinasarani
                                         Internal Audit                                             Corporate Secretary




                                       Adisti Mayora                                          Praba Diwangkara Caraka
                                                                                               Strategic Corporate Planning &
                                              Legal
                                                                                                         Investment




                                                                                                                                         Ogi Rulino
                                                                                                                                        Investment & Risk
                                                                                                                                       Management Director




                                                                                        Nanda
     Wilson                   Guruh Wijaya                 Manggara                                               Aldila                Adityo Hutomo
                                                                                       Shelvira
    Kurniawan                   Subiyadi                   Triantoro                                           Ayudya Putri                 Sitepu
                                                                                      Adiningtyas
Business Development          Human Resources             General Affairs                                   Corporate Finance &         Investment & Risk
                                                                                     Accounting & Tax        Investor Relations            Management




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Profil Dewan Komisaris
Board Of Commissioners’ Profile


Pada tahun 2025, terdapat perubahan komposisi Dewan                        In 2025, there was a change in the composition of the Company’s
Komisaris Perseroan sesuai dengan Akta RUPS No. 33 tanggal                 Board of Commissioners pursuant to the Deed of the General
30 April 2025. Perubahan susunan Dewan Komisaris Perseroan                 Meeting of Shareholders (GMS) Number 33 dated April 30,
ini merupakan bagian dari langkah strategis perusahaan dalam               2025. This change in the composition of the Company’s Board of
rangka penguatan struktur organisasi secara menyeluruh.                    Commissioners represents part of the Company’s strategic initiative
Direksi dan Komisaris yang mengakhiri tugasnya di Perseroan                to strengthen the organizational structure comprehensively.
akan ditempatkan pada posisi strategis di perusahaan anak                  Members of the Board of Directors and the Board of Commissioners
(subsidiaries), guna memastikan nilai-nilai, visi, dan standar tata        concluding their tenure at the Company will be assigned to
kelola perusahaan induk dapat diterapkan secara konsisten di               strategic positions within subsidiaries, ensuring that the values,
seluruh lini bisnis Grup. Langkah ini mencerminkan kepercayaan             vision, and governance standards of the parent company are
penuh Perseroan terhadap kompetensi dan rekam jejak para                   consistently applied across all business lines of the Group.
pemimpin tersebut, sekaligus memperkuat sinergi antara                     This step reflects the Company’s full confidence in the competence
perusahaan induk dan anak perusahaan dalam mencapai tujuan                 and track record of these leaders, while simultaneously reinforcing
jangka panjang Grup. Susunan Dewan Komisaris selama tahun                  synergy between the parent company and its subsidiaries in
2025 adalah sebagai berikut:                                               achieving the Group’s long‑term objectives.The composition
                                                                           of the Board of Commissioners during 2025 was as follows:

1 Januari 2025-30 April 2025                                               January 1, 2025–April 30, 2025
Rudiantara : Komisaris Utama                                               Rudiantara : President Commissioner
M. Arsjad Rasjid PM : Komisaris                                            M. Arsjad Rasjid PM : Commissioner
Rachmat Gobel : Komisaris Independen                                       Rachmat Gobel : Independent Commissioner
Orias Petrus Moedak : Komisaris Independen                                 Orias Petrus Moedak : Independent Commissioner
D. Andhi Nirwanto : Komisaris Independen                                   D. Andhi Nirwanto : Independent Commissioner

30 April 2025-31 Desember 2025                                             April 30, 2025-December 31,2025
Rudiantara : Komisaris Utama                                               Rudiantara : President Commissioner
M. Arsjad Rasjid PM : Komisaris                                            M. Arsjad Rasjid PM : Commissioner
Rachmat Gobel : Komisaris Independen                                       Rachmat Gobel : Independent Commissioner
D. Andhi Nirwanto : Komisaris Independen                                   D. Andhi Nirwanto : Independent Commissioner




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                                               Rudiantara
                                               Komisaris Utama
                                               President Commissioner


                                               Periode Jabatan | Term of Office :                                           Warga Negara Indonesia, berdomisili di Jakarta.
                                               30 April 2025 s.d. RUPS yang akan                                            Beliau lahir di Bogor, 3 Mei 1959. Saat ini berusia 66 tahun.
                                               diadakan pada tahun 2028.
                                               April 30, 2025 until the GMS held in 2028                                    Indonesian citizen, domiciled in Jakarta
                                                                                                                            Born in Bogor, on May 3, 1959. Currently 66 years old.
                                               Periode Keempat | Fourth Period




 Domisili                                      Jakarta, Indonesia
 Domicile

 Riwayat Penunjukan dan Dasar Hukum            •   Akta Berita Acara RUPS Luar Biasa No. 35 tanggal 27 Desember 2019 (Periode 1)
 Appointment History and Legal Basis           •   Akta Berita Acara RUPS Tahunan No. 13 tanggal 8 Juni 2020 (Periode 2)
                                               •   Akta Berita Acara RUPS Luar Biasa No. 70 tanggal 29 Mei 2023 (Periode 3)
                                               •   Akta Berita Acara RUPS Tahunan No. 33 tanggal 30 April 2025 (Periode 4)
                                               •   Deed of Minutes of Extraordinary GMS No. 35 dated December 27, 2019 (Period 1)
                                               •   Deed of Minutes of Annual GMS No. 13 dated June 8, 2020 (Period 2)
                                               •   Deed of Minutes of Extraordinary GMS No. 70 dated May 29, 2023 (Period 3)
                                               •   Deed of Minutes of Annual GMS No. 33 dated April 30, 2025 (Period 4)


 Pendidikan                                    •   Sarjana Statistika, Universitas Padjadjaran, Bandung (1984)
 Education                                     •   Master of Business Administration, Institut Pendidikan dan Pembinaan Manajemen, Jakarta (1988)
                                               •   Bachelor of Statistics, Padjadjaran University, Bandung (1984)
                                               •   Master of Business Administration, Institute of Management Education and Development, Jakarta (1988)


 Riwayat Profesi                               •   Presiden Komisaris PT Semen Indonesia (Persero) Tbk (2020-2023)
 Professional Background                       •   Komisaris PT Rukun Raharja Tbk (2019 - 2021)
                                               •   Menteri Komunikasi dan Informatika Republik Indonesia (2014 - 2019)
                                               •   Komisaris Utama PT Rukun Raharja Tbk (2014)
                                               •   Wakil Direktur Utama PT PLN (Persero) (2008-2009)
                                               •   Wakil Direktur Utama PT Semen Gresik (Persero) Tbk (2006 - 2008)
                                               •   Komisaris/Direksi serta Ketua Komite Audit di berbagai Perusahaan Telekomunikasi (PT Telkomsel, PT XL Axiata Tbk, PT Telekomunikasi
                                                   Indonesia Tbk, dan PT Indosat Oredoo Tbk)
                                               •   President Commissioner of PT Semen Indonesia (Persero) Tbk (2020-2023)
                                               •   Commissioner of PT Rukun Raharja Tbk (2019 - 2021)
                                               •   Minister of Communication and Information of the Republic of Indonesia (2014 - 2019)
                                               •   President Commissioner of PT Rukun Raharja Tbk (2014)
                                               •   Vice President Director of PT PLN (Persero) (2008-2009)
                                               •   Vice President Director of PT Semen Gresik (Persero) Tbk (2006 - 2008)
                                               •   Commissioner/Director and Chairman of Audit Committee in various Telecommunication Companies (PT Telkomsel, PT XL Axiata Tbk,
                                                   PT Telekomunikasi Indonesia Tbk, and PT Indosat Oredoo Tbk)


 Rangkap Jabatan                               Di dalam Perusahaan:
 Concurrent Position(s)                        Tidak ada.
                                               Di luar Perusahaan:
                                               • Komisaris PT Indosat Ooredoo Hutchison Tbk (2022-sekarang)
                                               • Komisaris PT Vale Indonesia Tbk (2020-sekarang)
                                               • Komisaris Utama PT Amartha Nusantara Raya (2022-sekarang)
                                               • Komisaris Utama PT Kitabisa Indonesia (2023-sekarang)
                                               • Komisaris Utama PT Elang Andalan Nusantara (2024-sekarang)
                                               Within the Company :
                                               None.
                                               Outside the Company :
                                               • Commissioner of PT Indosat Ooredoo Hutchison Tbk (2022-present)
                                               • Commissioner of PT Vale Indonesia Tbk (2020-present)
                                               • President Commissioner of PT Amartha Nusantara Raya (2022-present)
                                               • President Commissioner of PT Kitabisa Indonesia (2023-present)
                                               • President Commissioner of PT Elang Andalan Nusantara (2024-present)


 Hubungan Afiliasi                             Beliau tidak memiliki hubungan afiliasi dengan anggota Dewan Komisaris atau Direksi dan pemegang saham utama dan/atau pengendali.
 Affiliate Relationship                        Has no affiliation with members of the Board of Commissioners or Directors and major and/or controlling shareholders.




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                                      M. Arsjad Rasjid PM
                                      Komisaris
                                      Commissioner


                                      Periode Jabatan                                                                 Beliau lahir di Jakarta, 3 September 1962.
                                      Term of Office :                                                                Saat ini berusia 63 tahun.
                                      30 April 2025 s.d. RUPS yang akan diadakan pada tahun 2028.
                                      April 30, 2025 until the GMS held in 2028                                       Indonesian citizen, domiciled in Jakarta
                                                                                                                      Born in Jakarta, on May 16, 1970. Currently 55 years old
                                      Periode Keempat | Fourth Period




Domisili                              Jakarta, Indonesia
Domicile

Riwayat Penunjukan dan Dasar Hukum    •   Akta Berita Acara RUPS Tahunan No. 9 tanggal 18 Mei 2016 (Periode 1)
Appointment History and Legal Basis   •   Akta Berita Acara RUPS Tahunan No. 13 tanggal 8 Juni 2020 (Periode 2)
                                      •   Akta Berita Acara RUPS Luar Biasa No. 70 tanggal 29 Mei 2023 (Periode 3)
                                      •   Akta Berita Acara RUPS Tahunan No. 33 tanggal 30 April 2025 (Periode 4)
                                      •   Deed of Minutes of Annual GMS No. 9 dated May 18, 2016 (Period 1)
                                      •   Deed of Minutes of Annual GMS No. 13 dated June 8, 2020 (Period 2)
                                      •   Deed of Minutes of Extraordinary GMS No. 70 dated May 29, 2023 (Period 3)
                                      •   Deed of Minutes of Annual GMS No. 33 dated April 30, 2025 (Period 4)


Pendidikan                            • Sarjana Teknik Komputer, University of Southern California (1990)
Education                             • Sarjana bidang Administrasi Bisnis, Pepperdine University, California, Amerika Serikat (1993)
                                      • Program Pendidikan Eksekutif Kepemimpinan Global dan Kebijakan Publik untuk Abad ke-21, Harvard Kennedy School, Amerika Serikat
                                        (2012)
                                      • Program Wawasan Politik dan Kebijakan Publik di Asia untuk Para Pemimpin Global, Lee Kuan Yew School of Public Policy, Singapura
                                        (2012)
                                      • Pendidikan Eksekutif tentang Investasi Berdampak, Said Business School, Universitas Oxford, Inggris (2013)
                                      • Program Pendidikan Eksekutif tentang Kepemimpinan dan Pengambilan Keputusan di Abad ke-21, Jackson Institute for Global Affairs,
                                        Yale University, Amerika Serikat (2014).
                                      • Bachelor of Computer Engineering, University of Southern California (1990)
                                      • Bachelor of Science in Business Administration, Pepperdine University, California, USA (1993)
                                      • Executive Education Global Leadership and Public Policy for the 21st Century Program, Harvard Kennedy School, USA (2012)
                                      • Insights into Politics and Public Policy in Asia Program for Global Leaders, Lee Kuan Yew School of Public Policy, Singapura (2012)
                                      • Executive Education on Impact Investing, Said Business School, University of Oxford, UK (2013)
                                      • Executive Education on Leadership and Decision Making in the 21st Century Program, Jackson Institute for Global Affairs, Yale University,
                                        USA (2014).


Riwayat Profesi                       •   Ketua Umum Kamar Dagang dan Industri Indonesia (KADIN Indonesia) (2021- 2026)
Professional Background               •   Presiden Komisaris PT Indika Infrastruktur Investindo (Juni 2020-sekarang)
                                      •   Komisaris PT Indika Inti Corpindo (Juni 2020-sekarang).
                                      •   Komisaris PT Grab Teknologi Indonesia (2020-sekarang)
                                      •   Presiden Komisaris PT Indika Multi Properti (Oktober 2019-sekarang)
                                      •   Komisaris Kideco (Februari 2017-sekarang)
                                      •   Chairman Indika Foundation (2017-sekarang)
                                      •   Komisaris PT Indika Energy Infrastructure (Desember 2016-sekarang)
                                      •   Direktur Utama PT Indika Energy Tbk (2016-sekarang)
                                      •   Anggota Komite Nominasi, Remunerasi dan GCG PT Rukun Raharja Tbk (2015-sekarang)
                                      •   Chairman of the Indonesian Chamber of Commerce and Industry (KADIN Indonesia) (2021 - 2026)
                                      •   President Commissioner of PT Indika Infrastruktur Investindo (June 2020-present)
                                      •   Commissioner of PT Indika Inti Corpindo (June 2020-present).
                                      •   Commissioner of PT Grab Teknologi Indonesia (2020-present)
                                      •   President Commissioner of PT Indika Multi Properti (October 2019-present)
                                      •   Commissioner of Kideco (February 2017-present)
                                      •   Chairman of Indika Foundation (2017-present)
                                      •   Commissioner of PT Indika Energy Infrastructure (December 2016-present)
                                      •   President Director of PT Indika Energy Tbk (2016-present)
                                      •   Member of Nomination, Remuneration and GCG Committee of PT Rukun Raharja Tbk (2015-present)




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 Rangkap Jabatan                                Di dalam Perusahaan :
 Concurrent Position(s)                         • Anggota Komite Nominasi, Remunerasi dan GCG PT Rukun Raharja Tbk (2015-sekarang)
                                                Di luar Perusahaan :
                                                • Presiden Komisaris PT Indika Infrastruktur Investindo (Juni 2020-sekarang)
                                                • Komisaris PT Indika Inti Corpindo (Juni 2020-sekarang)
                                                • Komisaris PT Grab Teknologi Indonesia (2020-sekarang)
                                                • Presiden Komisaris PT Indika Multi Properti (Oktober 2019-sekarang)
                                                • Komisaris Kideco (Februari 2017-sekarang)
                                                • Chairman Indika Foundation (2017-sekarang)
                                                • Komisaris PT Indika Energy Infrastructure (Desember 2016-sekarang)
                                                • Direktur Utama PT Indika Energy Tbk (2016-sekarang)
                                                Within the Company :
                                                • Member of Nomination, Remuneration and GCG Committee of PT Rukun Raharja Tbk (2015-present)
                                                Outside the Company :
                                                • President Commissioner of PT Indika Infrastruktur Investindo (June 2020-present)
                                                • Commissioner of PT Indika Inti Corpindo (June 2020-present).
                                                • Commissioner of PT Grab Teknologi Indonesia (2020-present)
                                                • President Commissioner of PT Indika Multi Properti (October 2019-present)
                                                • Commissioner of Kideco (February 2017-present)
                                                • Chairman of Indika Foundation (2017-present)
                                                • Commissioner of PT Indika Energy Infrastructure (December 2016-present)
                                                • President Director of PT Indika Energy Tbk (2016-present)


 Penghargaan                                    • Youth Global Leader, World Economic (2011)
 Award(s)                                       • Best Executive Indonesia, Asiamoney (2010)


 Hubungan Afiliasi                             Beliau tidak memiliki hubungan afiliasi dengan anggota Dewan Komisaris atau Direksi dan pemegang saham utama dan/atau pengendali.
 Affiliate Relationship                        Has no affiliation with members of the Board of Commissioners or Directors and major and/or controlling shareholders.




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                                                              Rachmat Gobel
                                                              Komisaris Independen
                                                              Independent Commissioner


                                                              Periode Jabatan                                                             Warga Negara Indonesia, berdomisili di Jakarta.
                                                              Term of Office :                                                            Beliau lahir di Jakarta, 3 September 1962. Saat ini
                                                              30 April 2025 s.d. RUPS yang akan diadakan pada tahun 2028.                 berusia 63 tahun
                                                              April 30, 2025 until the GMS held in 2028
                                                                                                                                          Indonesian citizen, domiciled in Jakarta
                                                              Periode Keempat | Fourth Period                                             Born in Jakarta, on September 3, 62. Currently 63 years old




 Domisili                                                     Jakarta, Indonesia
 Domicile

 Riwayat Penunjukan dan Dasar Hukum                           •   Akta Berita Acara RUPS Tahunan No. 9 tanggal 18 Mei 2016 (Periode 1)
 Appointment History and Legal Basis                          •   Akta Berita Acara RUPS Tahunan No. 13 tanggal 8 Juni 2020 (Periode 2)
                                                              •   Akta Berita Acara RUPS Luar Biasa No. 70 tanggal 29 Mei 2023 (Periode 3)
                                                              •   Akta Berita Acara RUPS Tahunan No. 33 tanggal 30 April 2025 (Periode 4)
                                                              •   Deed of Minutes of Annual GMS No. 9 dated May 18, 2016 (Period 1)
                                                              •   Deed of Minutes of Annual GMS No. 13 dated June 8, 2020 (Period 2)
                                                              •   Deed of Minutes of Extraordinary GMS No. 70 dated May 29, 2023 (Period 3)
                                                              •   Deed of Minutes of Annual GMS No. 33 dated April 30th, 2025 (Period 4)


 Pendidikan                                                   International Trade Science, Chuo University, Tokyo (1987)
 Education

 Riwayat Profesi                                              •   Komisaris PT Rukun Raharja Tbk (2014 -2015)
 Professional Background                                      •   Menteri Perdagangan Republik Indonesia dalam Kabinet Kerja (27 Oktober 2014 - 12 Agustus 2015)
                                                              •   Komisaris PT Indosat Tbk (2008 -2014)
                                                              •   Komisaris PT Smart Tbk (2004 -2014)
                                                              •   Commissioner of PT Rukun Raharja Tbk (2014 - 2015)
                                                              •   Minister of Trade of the Republic of Indonesia in the Working Cabinet (October 27, 2014 - August 12, 2015)
                                                              •   Commissioner of PT Indosat Tbk (2008 - 2014)
                                                              •   Commissioner of PT Smart Tbk (2004 - 2014)


 Rangkap Jabatan                                              Di dalam Perusahaan:
 Concurrent Position(s)                                       Ketua Komite Nominasi, Remunerasi dan GCG PT Rukun Raharja Tbk (2025-sekarang)
                                                              Di luar Perusahaan:
                                                              • Wakil Ketua Dewan Perwakilan Rakyat Republik Indonesia (sejak 2019)
                                                              • Anggota Direksi dan Dewan Komisaris, kelompok usaha PT Global Panasonic (sejak 1994)
                                                              Within the Company
                                                              Member of Nomination, Remuneration and GCG Committee of PT Rukun Raharja Tbk (2015-present)
                                                              Outside the Company
                                                              • Vice Chairman of the House of Representatives of the Republic of Indonesia (since 2019)
                                                              • Member of the Board of Directors and Board of Commissioners, PT Global Panasonic business group (since 1994)


 Hubungan Afiliasi                                            Beliau tidak memiliki hubungan afiliasi dengan anggota Dewan Komisaris atau Direksi dan pemegang saham utama dan/atau pengendali.
 Affiliate Relationship                                       Has no affiliation with members of the Board of Commissioners or Directors and major and/or controlling shareholders.




Independensi Rachmat Gobel                                                                               Independence of Rachmat Gobel

 Kriteria Komisaris Independen
                                                                                                                                                                   Rachmat Gobel
 Criteria for Independent Commissioner

 Bukan merupakan orang yang bekerja atau mempunyai wewenang dan tanggung jawab untuk merencanakan, memimpin, mengendalikan,
 atau mengawasi kegiatan Perseroan dalam waktu 6 bulan terakhir, kecuali untuk pengangkatan kembali sebagai Komisaris Independen
 pada periode berikutnya.
 Not a person who works or has the authority and responsibility to plan, lead, control, or supervise the Company’s activities in the last 6
 months, except for reappointment as an Independent Commissioner in the next period.


 Tidak mempunyai saham, baik langsung maupun tidak langsung pada Perseroan.
 Not having any shares, either directly or indirectly, in the Company.


 Tidak mempunyai hubungan afiliasi dengan Perseroan, baik anggota Dewan Komisaris, anggota Direksi, Pemegang Saham Utama/
 Saham Mayoritas atau Pemegang Saham Pengendali Perseroan.
 Not having any affiliation relationship with the Company, either as a member of the Board of Commissioners, member of the Board of
 Directors, Main Shareholder/Majority Shareholder or Controlling Shareholder of the Company.


 Tidak mempunyai hubungan usaha, baik langsung maupun tidak langsung, yang berkaitan dengan kegiatan usaha Perseroan.
 Not having any business relationship, either directly or indirectly, related to the Company’s business activities.




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                                                                                                                                                    PT Rukun Raharja Tbk    2025




                                                D. Andhi Nirwanto
                                                Komisaris Independen
                                                Independent Commissioner


                                                Periode Jabatan                                                                 Warga Negara Indonesia, berdomisili di Jakarta.
                                                Term of Office :                                                                Beliau lahir di Kudus, 8 Januari 1956. Saat ini berusia
                                                30 April 2025 s.d. RUPS yang akan diadakan pada tahun 2028.                     70 tahun.
                                                April 30, 2025 until the GMS held in 2028
                                                                                                                                Indonesian citizen, domiciled in Jakarta
                                                Periode Kedua | Second Period                                                   Born in Kudus, on Januari 8, 1956. Currently 70 years old.




 Domisili                                      Jakarta, Indonesia
 Domicile

 Riwayat Penunjukan dan Dasar Hukum             •   Akta Berita Acara RUPS Luar Biasa No. 70 tanggal 29 Mei 2023 (Periode 1)
 Appointment History and Legal Basis            •   Akta Berita Acara RUPS Tahunan No. 33 tanggal 30 April 2025 (Periode 2)
                                                •   Deed of Minutes of Extraordinary GMS No. 70 dated May 29, 2023 (Period 1)
                                                •   Deed of Minutes of Annual GMS No. 33 dated April 30, 2025 (Period 2)


 Pendidikan                                     •   Sarjana Hukum Universitas 17 Agustus 1945, Semarang (1979)
 Education                                      •   Magister Manajemen Institut Bisnis dan Informatika Indonesia, Jakarta (1998)
                                                •   Doktor Ilmu Hukum Universitas Padjadjaran, Bandung (2015)
                                                •   Bachelor of Law, University of August 17, 1945, Semarang (1979)
                                                •   Master of Management, Indonesian Institute of Business and Informatics, Jakarta (1998)
                                                •   Doctor of Laws, Padjadjaran University, Bandung (2015)


 Riwayat Profesi                                •   Komisaris PT Pelabuhan Indonesia II (2017-2021)
 Professional Background                        •   PLT Jaksa Agung RI (Oktober 2014-Nopember 2014)
                                                •   Wakil Jaksa Agung RI/Ketua Tim Pemburu Koruptor (2013-2016)
                                                •   Jaksa Agung Muda Tindak Pidana Khusus (2011-2013)
                                                •   Ses Jaksa Agung Muda Tindak Pidana Khusus (2009-2011)
                                                •   Kepala Kejaksaan Tinggi DKI Jakarta (2008-2009)
                                                •   Kepala Kejaksaan Tinggi Kalimantan Timur (2006-2008)
                                                •   Commissioner of PT Pelabuhan Indonesia II (2017-2021)
                                                •   Acting Attorney General (October 2014-November 2014)
                                                •   Deputy Attorney General of the Republic of Indonesia/Chairman of the Corruptors Hunting Team (2013-2016)
                                                •   Deputy Attorney General for Special Crimes (2011-2013)
                                                •   Secretary to the Deputy Attorney General for Special Crimes (2009-2011)
                                                •   Chief Prosecutor of DKI Jakarta (2008-2009)
                                                •   Chief Prosecutor of East Kalimantan (2006-2008)


 Rangkap Jabatan                                Di dalam Perusahaan:
 Concurrent Position(s)                         Tidak Ada.
                                                Di luar Perusahaan:
                                                • Ketua Dewan Pengawas PPSN/Pusat Pengkajian Strategi Nasional (2016-sekarang)
                                                • Wakil Ketua Dewan Pakar Kepala SKK Migas (2024-sekarang)
                                                • Dewan Penasihat Alumni UNTAG Semarang (2021-sekarang)
                                                • Dewan Pakar KBPA/Keluarga Besar Purna Adhyaksa (2021-sekarang).
                                                • Partner pada Kantor Hukum KBPA (Januari 2023-sekarang)
                                                • Komisaris utama PT Pupuk Kaltim (2024-sekarang)
                                                • Komisaris Independen PT Mahakam Sumber Jaya (2025-sekarang)

                                                Within the Company:
                                                None
                                                Outside the Company
                                                • Chairman of the Supervisory Board of PPSN / Center for National Strategy Studies (2016-present)
                                                • Vice Chairman of the Expert Council to the Head of SKK Migas (2024–present)
                                                • UNTAG Semarang Alumni Advisory Board (2021-present)
                                                • Expert Council of KBPA / Big Family of Purna Adhyaksa (2021-present).
                                                • Partner at KBPA Law Firm (January 2023-present)
                                                • President Commissioner of PT Pupuk Kaltim (2024-present)
                                                • Commissioner Independent of PT Mahakam Sumber Jaya (2025-sekarang)


 Hubungan Afiliasi                             Beliau tidak memiliki hubungan afiliasi dengan anggota Dewan Komisaris atau Direksi dan pemegang saham utama dan/atau pengendali.
 Affiliate Relationship                        Has no affiliation with members of the Board of Commissioners or Directors and major and/or controlling shareholders.




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                                                                                                                                                 Together Shaping Excellence For Sustainable Growth




Independensi D. Andhi Nirwanto                                                                                          Independence of D. Andhi Nirwanto

 Kriteria Komisaris Independen
                                                                                                                                                               Rachmat Gobel
 Criteria for Independent Commissioner

 Bukan merupakan orang yang bekerja atau mempunyai wewenang dan tanggung jawab untuk merencanakan, memimpin, mengendalikan,
 atau mengawasi kegiatan Perseroan dalam waktu 6 bulan terakhir, kecuali untuk pengangkatan kembali sebagai Komisaris Independen
 pada periode berikutnya
 ot a person who works or has the authority and responsibility to plan, lead, control, or supervise the Company’s activities in the last 6
 months, except for reappointment as an Independent Commissioner in the next period.


 Tidak mempunyai saham, baik langsung maupun tidak langsung pada Perseroan.
 Not having any shares, either directly or indirectly, in the Company.


 Tidak mempunyai hubungan afiliasi dengan Perseroan, baik anggota Dewan Komisaris, anggota Direksi, Pemegang Saham Utama/Saham
 Mayoritas atau Pemegang Saham Pengendali Perseroan.
 Not having any affiliation relationship with the Company, either as a member of the Board of Commissioners, member of the Board of
 Directors, Main Shareholder/Majority Shareholder or Controlling Shareholder of the Company.


 Tidak mempunyai hubungan usaha, baik langsung maupun tidak langsung, yang berkaitan dengan kegiatan usaha Perseroan.
 Not having any business relationship, either directly or indirectly, related to the Company’s business activities.




                                                               Orias Petrus Moedak
                                                               Komisaris Independen
                                                               Independent Commissioner


                                                              Periode Jabatan                                                            Warga Negara Indonesia, berdomisili di Jakarta.
                                                              Term of Office :                                                           Beliau lahir di Kupang, 16 Agustus 1967. Saat ini berusia
                                                              29 Mei 2023 s.d. 30 April 2025.                                            58 tahun.
                                                              May 29, 2023 until April 31, 2025.
                                                                                                                                         Indonesian citizen, domiciled in Jakarta.
                                                              Periode Pertama | First Period.                                            Born in Kupang, on August 16, 1967. Currently 58 years old.




 Domisili                                                     Jakarta, Indonesia
 Domicile

 Riwayat Penunjukan dan Dasar Hukum                            Akta Berita Acara RUPS Luar Biasa No. 70 tanggal 29 Mei 2023 (Periode 1)
 Appointment History and Legal Basis                           Deed of Minutes of Extraordinary GMS No. 70 dated May 29, 2023 (Period 1)


 Pendidikan                                                    Sarjana Ekonomi Jurusan Akuntansi Universitas Padjajaran (1990)
 Education                                                     Bachelor of Economics majoring in Accounting, Padjajaran University (1990)


 Riwayat Profesi                                               •   Group CEO Mining Industry Indonesia (MIND ID) (November 2019-Oktober 2021)
 Professional Background                                       •   EVP and Deputy CEO PT Freeport Indonesia (Desember 2018-November 2019)
                                                               •   Chief Financial Officer PT Indonesia Asahan Aluminium (Persero) (April 2018-Desember 2018)
                                                               •   Chief Financial Office PT Bukit Asam, Tbk (April 2017-April 2018)
                                                               •   Chairman PT Bukit Asam Transpacific Railways (Agustus 2017-April 2018)
                                                               •   Chief Executive Officer PT Pelabuhan Indonesia III (Persero) (Mei 2016-2017)
                                                               •   Chairman PT Berlian Jasa Terminal Indonesia (2017)
                                                               •   Chief Financial Officer PT Pelabuhan Indonesia II (Persero) (2014-2016)
                                                               •   Chairman PT Rumah Sakit Pelabuhan (2015-2016)
                                                               •   Managing Director, Head of Indonesia Coverage Daiwa Capital Markets Singapore Limited (2010-2014)


 Rangkap Jabatan                                               Komisaris Utama PT Raharja Energi Cepu Tbk (2025-sekarang)
 Concurrent Position(s)                                        President Commissioner PT Raharja Energi Cepu Tbk (2025-present)


 Hubungan Afiliasi                                            Beliau tidak memiliki hubungan afiliasi dengan anggota Dewan Komisaris atau Direksi dan pemegang saham utama dan/atau pengendali.
 Affiliate Relationship                                       Has no affiliation with members of the Board of Commissioners or Directors and major and/or controlling shareholders.




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                                                                    PT Rukun Raharja Tbk   2025




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         PT Rukun Raharja Tbk
                                                                                                    Together Shaping Excellence For Sustainable Growth




Profil Direksi
Board of Directors’ Profile


Pada tahun 2025, terdapat perubahan komposisi Direksi                   In 2025, there was a change in the composition of the Company’s
Perseroan, sesuai dengan Akta RUPS No. 33 tanggal 30 April 2025.        Board of Directors, in accordance with GMS Deed No. 33 dated April
Perubahan susunan Direksi Perseroan ini merupakan bagian                30, 2025. This change in the composition of the Company’s Board
dari langkah strategis perusahaan dalam rangka penguatan                of Directors represents part of the Company’s strategic initiative
struktur organisasi secara menyeluruh. Direksi dan Komisaris            to strengthen the organizational structure comprehensively.
yang mengakhiri tugasnya di Perseroan akan ditempatkan                  Members of the Board of Directors and the Board of Commissioners
pada posisi strategis di perusahaan anak (subsidiaries), guna           concluding their tenure at the Company will be assigned to
memastikan nilai-nilai, visi, dan standar tata kelola perusahaan        strategic positions within subsidiaries, ensuring that the values,
induk dapat diterapkan secara konsisten di seluruh lini bisnis          vision, and governance standards of the parent company are
Grup. Langkah ini mencerminkan kepercayaan penuh Perseroan              consistently applied across all business lines of the Group.
terhadap kompetensi dan rekam jejak para pemimpin tersebut,             This step reflects the Company’s full confidence in the competence
sekaligus memperkuat sinergi antara perusahaan induk dan                and track record of these leaders, while simultaneously reinforcing
anak perusahaan dalam mencapai tujuan jangka panjang Grup.              synergy between the parent company and its subsidiaries in
Susunan Direksi selama tahun 2025 adalah sebagai berikut:               achieving the Group’s long‑term objectives. The composition
                                                                        of the Board of Directors of PT Rukun Raharja Tbk during 2025
                                                                        was as follows

1 Januari 2025-30 April 2025                                            January 1, 2025-April 30, 2025
Djauhar Maulidi : Direktur Utama                                        Djauhar Maulidi : President Director
Sumantri : Direktur                                                     Sumantri : Director
Ogi Rulino : Direktur                                                   Ogi Rulino : Director

30 April 2025-31 Desember 2025                                          April 30, 2025–December 31, 2025
Djauhar Maulidi : Direktur Utama                                        Djauhar Maulidi : President Director
Ogi Rulino : Direktur                                                   Ogi Rulino : Director




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                                                                                                                                                  PT Rukun Raharja Tbk    2025




                                                Djauhar Maulidi
                                                Direktur Utama
                                                President Director

                                                Periode Jabatan                                                                 Warga Negara Indonesia, berdomisili di Jakarta.
                                                Term of Office :                                                                Beliau lahir di Banjarmasin, 4 Juni 1969. Saat ini
                                                30 April 2025 s.d. RUPS yang akan diadakan pada                                 berusia 56 tahun.
                                                tahun 2028
                                                April 30, 2025 until the GMS held in 2028                                       Indonesian citizen, domiciled in Jakarta
                                                                                                                                Born in Banjarmasin, on June 4, 1969. Currently 56
                                                Periode Keempat | Fourth Period                                                 years old.




  Domisili                                      Jakarta, Indonesia
  Domicile

  Riwayat Penunjukan dan Dasar Hukum            •   Akta Berita Acara RUPS Tahunan No. 12 tanggal 17 Mei 2017 (Periode 1)
  Appointment History and Legal Basis           •   Akta Berita Acara RUPS Tahunan No. 13 tanggal 8 Juni 2020 (Periode 2)
                                                •   Akta Berita Acara RUPS Luar Biasa No. 70 tanggal 29 Mei 2023 (Periode 3)
                                                •   Akta Berita Acara RUPS Tahunan No. 33 tanggal 30 April 2025 (Periode 4)
                                                •   Deed of Minutes of Annual GMS No. 12 dated May 17, 2017 (Period 1)
                                                •   Deed of Minutes of Annual GMS No. 13 dated June 8, 2020 (Period 2)
                                                •   Deed of Minutes of Extraordinary GMS No. 70 dated May 29, 2023 (Period 3)
                                                •   Deed of Minutes of Annual GMS No. 33 dated April 30, 2025 (Period 4)


  Pendidikan                                    •   MBA di bidang Energi dari Sekolah Bisnis Manajemen, Institut Teknologi Bandung, Jawa Barat (2010)
  Education                                     •   Sarjana Ekonomi di bidang International Trade and Economics dari Universitas Padjajaran, Bandung, Jawa Barat (1993)
                                                •   MBA in Energy from School of Business Management, Bandung Institute of Technology, West Java (2010)
                                                •   Bachelor of Economics in International Trade and Economics from Padjajaran University, Bandung, West Java (1993)


  Riwayat Profesi                               •   Komisaris PT Raharja Energi Cepu (2018 -2019)
  Professional Background                       •   Direktur di PT Rukun Raharja Tbk (2011-2017)
                                                •   Presiden Direktur PT Triguna Internusa Pratama (2010 - 2017)
                                                •   Presiden Direktur PT Toha Sittah Salam (2009-2019)
                                                •   Direktur Finance & Business Development di PT Bumi Hasta Mukti (2006 - 2009)
                                                •   Corporate Banking Head di Sumitomo Mitsul Banking Corporate Indonesia (1993 - 2006)
                                                •   Commissioner of PT Raharja Energi Cepu (2018 - 2019)
                                                •   Director at PT Rukun Raharja Tbk (2011-2017)
                                                •   President Director of PT Triguna Internusa Pratama (2010 - 2017)
                                                •   President Director of PT Toha Sittah Salam (2009-2019)
                                                •   Director of Finance & Business Development at PT Bumi Hasta Mukti (2006 - 2009)
                                                •   Corporate Banking Head at Sumitomo Mitsul Banking Corporate Indonesia (1993 - 2006)


  Rangkap Jabatan                               Di dalam Perusahaan:
  Concurrent Position(s)                        Tidak Ada.
                                                Di luar Perusahaan:
                                                • Komisaris PT Petrosea Tbk (2022-sekarang)
                                                • Komisaris PT Petrosea Infrastruktur Nusantara (sejak 2024)
                                                • Presiden Komisaris di PT Energasindo Heksa Karya (2017-sekarang)
                                                • Presiden Komisaris di PT Triguna Internusa Pratama (2017-sekarang)
                                                • Direktur di PT Sentosa Bersama Mitra (2015-sekarang)
                                                Within the Company:
                                                None
                                                Outside the Company:
                                                • Commissioner of PT Petrosea Tbk (2022-present)
                                                • Commissioner of PT Petrosea Infrastruktur Nusantara (since 2024)
                                                • President Commissioner of PT Energasindo Hexa Karya (2017-present)
                                                • President Commissioner of PT Triguna Internusa Pratama (2017-present)
                                                • Director at PT Sentosa Bersama Mitra (2015-present)


  Hubungan Afiliasi                             Beliau tidak memiliki hubungan afiliasi dengan anggota Dewan Komisaris atau Direksi dan pemegang saham utama dan/atau pengendali.
  Affiliate Relationship                        Has no affiliation with members of the Board of Commissioners or Directors and major and/or controlling shareholders.




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                                                                                                                        Together Shaping Excellence For Sustainable Growth




                                       Ogi Rulino
                                       Direktur
                                       Director


                                       Periode Jabatan                                                              Warga Negara Indonesia, berdomisili di Jakarta.
                                       Term of Office :                                                             Beliau lahir di Banda Aceh, 27 September 1968. Saat
                                       30 April 2025 s.d. RUPS yang akan diadakan pada tahun 2028.                  ini berusia 57 tahun.
                                       April 30, 2025 until the GMS held in 2028
                                                                                                                    Indonesian citizen, domiciled in Jakarta.
                                       Periode Kedua | Second Period                                                Born in Banca Aceh, on September 27, 1968. Currently
                                                                                                                    57 years old.




Domisili                              Jakarta, Indonesia
Domicile

Riwayat Penunjukan dan Dasar Hukum    •   Akta Berita Acara RUPS Luar Biasa No. 70 tanggal 29 Mei 2023 (Periode 1)
Appointment History and Legal Basis   •   Akta Berita Acara RUPS Tahunan No. 33 tanggal 30 April 2025 (Periode 2)
                                      •   Deed of Minutes of Extraordinary GMS No. 70 dated May 29th, 2023 (Period 1)
                                      •   Deed of Minutes of Annual GMS No. 33 dated April 30th, 2025 (Period 2)


Pendidikan                            •   Fakultas Teknik Mesin dan Dirgantara Institut Teknologi Bandung dengan jurusan Teknik Mesin
Education                             •   Bachelor of Science (B.Sc), jurusan Teknologi Informatika (IT), University of Electro-Communications, Tokyo
                                      •   Master of Engineering (M. Eng), jurusan Teknologi Informatika (IT), University of ElectroCommunications, Tokyo
                                      •   Faculty of Mechanical and Aerospace Engineering, Bandung Institute of Technology with a major in Mechanical Engineering.
                                      •   Bachelor of Science (B.Sc), majoring in Information Technology (IT), University of Electro Communications, Tokyo
                                      •   Master of Engineering (M. Eng), majoring in Information Technology (IT), University of Electro Communications, Tokyo


Riwayat Profesi                       •   Komisaris Utama PT Pelabuhan Tanjung Priok (Pelindo Group) (2020-2024)
Professional Background               •   Direktur Strategi & Komersial di Pelindo Multi Terminal (2021- 2023)
                                      •   Direktur Transformasi dan Pengembangan Usaha di PT Pelabuhan Indonesia II (Persero) (2019-2021)
                                      •   Direktur Logistik & Pengembangan Usaha di PT Krakatau Steel (Persero) Tbk (2018- 2019)
                                      •   Direktur Logistik di PT Krakatau Steel (Persero) Tbk (2015-2018)
                                      •   Berkarir di beberapa perusahaan lainnya, termasuk PT Nusantara Infrastructure Tbk, PT Mitsui OSK Lines Indonesia, PT Inter Admark
                                          Dentsu dan Mitsui & Co. Ltd.
                                      •   President Commissioner of PT Pelabuhan Tanjung Priok (Pelindo Group) (2020-2024)
                                      •   Director of Strategy & Commercial at Pelindo Multi Terminal (2021-2023)
                                      •   Director of Business Transformation and Development at PT Pelabuhan Indonesia II (Persero) (2019 2021)
                                      •   Director of Logistics & Business Development at PT Krakatau Steel (Persero) Tbk (2018-2019)
                                      •   Director of Logistics at PT Krakatau Steel (Persero) Tbk (2015-2018)
                                      •   Has worked in several other companies, including PT Nusantara Infrastructure Tbk, PT Mitsui OSK Lines Indonesia, PT Inter Admark
                                          Dentsu and Mitsui & Co. Ltd


Rangkap Jabatan                       Di dalam Perusahaan:
Concurrent Position(s)                Tidak Ada.
                                      Di luar Perusahaan:
                                      • Anggota Komite Keberlanjutan PT Petrosea Tbk (sejak 2024)
                                      • Komisaris Utama PT Petrotech Pentanusa (2023-sekarang)

                                      Within the Company:
                                      None.
                                      Outside the Company:
                                      • Member of Sustainability Committee PT Petrosea Tbk (since 2024)
                                      • President Commissioner of PT Petrotech Pentanusa (2023-present)


Hubungan Afiliasi                     Beliau tidak memiliki hubungan afiliasi dengan anggota Dewan Komisaris atau Direksi dan pemegang saham utama dan/atau pengendali.
Affiliate Relationship                Has no affiliation with members of the Board of Commissioners or Directors and holders of the following major and/or controlling
                                      shareholders




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                                                                                                                                                         Laporan Tahunan
                                                                                                                                                     PT Rukun Raharja Tbk     2025




                                               Sumantri
                                               Direktur
                                               Director


                                               Periode Jabatan                                                                   Warga Negara Indonesia, berdomisili di Jakarta. Beliau
                                               Term of Office :                                                                  lahir di Bantul, 2 Maret 1976. Saat ini berusia 49 tahun.
                                               29 Mei 2023 s.d. 30 April 2025
                                               May 29, 2023 until April 30, 2025.                                                Indonesian citizen, domiciled in Jakarta Born in Bantul,
                                                                                                                                 on March 2, 1976. Currently 49 years old.
                                               Periode Kedua | Second Period




 Domisili                                      Jakarta, Indonesia
 Domicile

 Riwayat Penunjukan dan Dasar Hukum            •   Akta Berita Acara RUPS Luar Biasa No. 33 tanggal 27 April 2021 (Periode 1)
 Appointment History and Legal Basis           •   Akta Berita Acara RUPS Luar Biasa No. 70 tanggal 29 Mei 2023 (Periode 2)
                                               •   Deed of Minutes of Extraordinary GMS No. 33 dated April 27, 2021 (Period 1)
                                               •   Deed of Minutes of Extraordinary GMS No. 70 dated May 29, 2023 (Period 2)


 Pendidikan                                    Sarjana Ekonomi, Universitas Indonesia (2002)
 Education                                     Bachelor of Economics, University of Indonesia (2002)


 Riwayat Profesi                               •   Komisaris di PT Raharja Energi Cepu Tbk (2024-2025)
 Professional Background                       •   Direktur PT Rukun Raharja Tbk (2021-2025)
                                               •   Komisaris Independen PT BRI Multi Finance (2020-2023)
                                               •   Chief Corporate Affairs Officer PT Karya Bumi Baratama (2012 - 2014)
                                               •   Direktur Keuangan PT Sarana Patra Hulu Cepu (BUMD Provinsi Jawa Tengah) (2015 - 2016)
                                               •   Advisor di PT Usahatama Mandiri Nusantara (2015 - 2020)
                                               •   Komisaris di PT IPC Terminal Petikemas (2019 - 2020)
                                               •   Commissioner at PT Raharja Energi Cepu Tbk (2024-2025)
                                               •   Director, PT Rukun Raharja Tbk (2021-2025)
                                               •   Independent Commissioner of PT BRI Multi Finance (2020-2023)
                                               •   Chief Corporate Affairs Officer at PT Karya Bumi Baratama (2012 - 2014)
                                               •   Director of Finance at PT Sarana Patra Hulu Cepu (Regional-Owned Enterprises/BUMD of Central Java Province) (2015 - 2016)
                                               •   Advisor at PT Usahatama Mandiri Nusantara (2015 - 2020)
                                               •   Commissioner at PT IPC Terminal Petikemas (2019 - 2020)


 Rangkap Jabatan                               Di dalam Perusahaan:
 Concurrent Position(s)                        Tidak Ada.
                                               Di luar Perusahaan:
                                               • Direktur Utama PT Raharja Energi Cepu Tbk (2025-sekarang)
                                               • Komisaris Utama PT Raharja Energi Cepu Tbk (2024 - 2025)
                                               • Komisaris PT Petrogas Jatim Utama Cendana (2025-sekarang)
                                               • Komisaris PT Karya Mineral Jaya (2025-sekarang)
                                               • Komisaris di PT Panji Raya Alamindo Tbk (2021-sekarang)
                                               • Komisaris di PT Prima Energi Raharja (2021-sekarang)
                                               • Komisaris Utama di PT Heksa Energi Mitraniaga (2023-sekarang)

                                               Within the Company:
                                               None.
                                               Outside the Company:
                                               • President Director of PT Raharja Energi Cepu Tbk (2025-present)
                                               • President Commissioner of PT Raharja Energi Cepu Tbk (2024 - 2025)
                                               • Commissioner at PT Petrogas Jatim Utama Cendana (2025-present)
                                               • Commissioner at PT Panji Raya Alamindo Tbk (2021-present)
                                               • Commissioner at PT Prima Energi Raharja (2021-present)
                                               • President Commissioner of PT Hexa Energi Mitraniaga (2023-present)


 Hubungan Afiliasi                             Beliau tidak memiliki hubungan afiliasi dengan anggota Dewan Komisaris atau Direksi dan pemegang saham utama dan/atau pengendali.
 Affiliate Relationship                        Has no affiliation with members of the Board of Commissioners or Directors and major and/or controlling shareholders.




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Demografi Karyawan dan Pengembangan Kompetensi
Employee Demographics and Competency Development

Demografi Karyawan                                                   Employee Demographics

Pada tahun 2025, jumlah karyawan RAJA dan Entitas Anaknya            In 2025, the total number of employees of RAJA and its
sebanyak 714 orang, mengalami peningkatan sebesar 5,30%              Subsidiaries reached 714 people, representing an increase of
dibandingkan jumlah karyawan pada tahun 2024 sebanyak 678            5.30% compared to 678 employees in 2024. The composition
orang karyawan. Rincian komposisi sumber daya manusia (SDM)          of the Company’s human resources over the past three years
Perseroan dalam 3 tahun terakhir adalah sebagai berikut:             is as follows:

Tabel Jumlah Karyawan 2023-2025
Table of the Number of Employees 2023-2025



 Keterangan
                                                                        2025                      2024                           2023
 Description


 Jumlah Karyawan
                                                                        714                       678                              563
 Number of Employees




Komposisi Karyawan Berdasarkan Jenis Kelamin 2023–2025
Composition of Employees by Gender 2023-2025


                                                   2025                              2024                                   2023
                       Perusahaan
 No
                        Company              L/M          P/F                  L/M          P/F                   L/M                    P/F


 1        PT Rukun Raharja Tbk                17          15                   19           10                     17                    12


 2        PT Raharja Energi Cepu Tbk           4           6                    2            5                      1                     1


 3        PT Raharja Energi Tanjung Jabung     -           1                    -            -                      -                     -


 4        PT Triguna Internusa Pratama       140          21                   114          16                    192                    12


 5        PT Trimitra Cipta Mandiri          210           5                   203           3                     70                     1


 6        PT Bravo Delta Persada               7           -                    7            -                      7                     -


 7        PT Heksa Energi Mitraniaga          67           7                   81            9                     38                     4


 8        PT Panji Raya Alamindo Tbk           2           5                    -            -                      -                     -


 9        PT Energasindo Heksa Karya          73          16                   76           17                     78                    20


 10       PT Majuko Utama Indonesia            9           2                    8            2                      7                     2


 11       PT Artha Prima Energy               18           6                   18            6                     16                     6


 12       PT Karya Mineral Jaya                -           2                    -            2                      -                     -


 13       PT PDPDE Gas                         -           -                    -            -                      -                     -


 14       PT Petrotech Penta Nusa             51           5                   48            4                     48                     4


 15       PT Artifisial Teknologi Persada     23           2                   27            1                     26                     1

                        JUMLAH
                                             621          93                   603          75                    500                    63
                         TOTAL




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                                                                                                                                                          PT Rukun Raharja Tbk       2025


Komposisi Karyawan Berdasarkan Level Organisasi/Jabatan 2023–2025
Composition of Employees by Organizational Level/Position 2023–2025


                                                              2025                                               2024                                               2023
                 Perusahaan
 No                                       Non-Staf            Staf           Manajer           Non-Staf            Staf            Manajer     Non-Staf              Staf            Manajer
                  Company
                                          Non-staff           Staff          Managers          Non-staff           Staff           Managers    Non-staff             Staff           Managers

 1     PT Rukun Raharja Tbk                      2             22               8                     2             20                7              2                21                6


 2     PT Raharja Energi Cepu Tbk                -             8                2                     -             5                 2              -                1                 1


 3     PT Raharja Energi Tanjung Jabung          -             1                -                     -             -                 -              -                -                 -


 4     PT Triguna Internusa Pratama              76            74               11                   60             61                9          138                  60                6


 5     PT Trimitra Cipta Mandiri             191               24               -                    181            25                -              67               4                 -


 6     PT Bravo Delta Persada                    6             1                -                     6             1                 -              6                1                 -


 7     PT Heksa Energi Mitraniaga                62            12               -                    43             47                -              33               9                 -


 8     PT Panji Raya Alamindo Tbk                -             7                -                     -             -                 -              -                -                 -


 9     PT Energasindo Heksa Karya                39            40               10                   39             44                10             43               44                11


 10    PT Majuko Utama Indonesia                 5             6                -                     5             5                 -              4                5                 -


 11    PT Artha Prima Energy                     -             23               1                     -             24                -              -                22                -


 12    PT Karya Mineral Jaya                     -             2                -                     -             2                 -              -                -                 -


 13    PT PDPDE Gas                              -             -                -                     -             -                 -              -                -                 -


 14    PT Petrotech Penta Nusa                   46            8                2                    43             6                 3              43               -                 3


 15    PT Artifisial Teknologi Persada           -             25               -                    17             10                1              3                23                1

                   JUMLAH
                                             427              253               34                   396           250                32         339                 196                28
                    TOTAL




Komposisi Karyawan Berdasarkan Usia 2023–2025
Composition of Employees by Age 2023–2025


                                                              2025                                               2024                                                2023
                 Perusahaan
 No
                  Company                 <25         25-40          40-55          >55         <25        25-40           40-55       >55      <25          25-40           40-55       >55


 1     PT Rukun Raharja Tbk                 1          23             7             1            -          20              9              -     -             21             8              -


 2     PT Raharja Energi Cepu Tbk           2          6              2             -            -          7                -             -     -             2               -             -


 3     PT Raharja Energi Tanjung Jabung     1           -              -            -            -           -               -             -     -             -               -             -


 4     PT Triguna Internusa Pratama         14         93             46            8            5          77              45             3    11             97             93             3


 5     PT Trimitra Cipta Mandiri            7         112             91            5            8         107              90             1     9             43             19             -


 6     PT Bravo Delta Persada               0          3              2             2            -          3               3              1     1             2              3              1


 7     PT Heksa Energi Mitraniaga           7          45             19            3           13          51              24             2     7             21             12             2


 8     PT Panji Raya Alamindo Tbk            -         6              1             -            -           -               -             -     -             -               -             -




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                                                                2025                                                2024                                            2023
                Perusahaan
 No
                 Company                         <25    25-40          40-55         >55        <25       25-40            40-55       >55         <25      25-40          40-55      >55


 9    PT Energasindo Heksa Karya                  6       54            28           1              1      17               6           -           -         16            6          -


 10   PT Majuko Utama Indonesia                   -       5             6            -              -       2                -          -           -          -             -         -


 11   PT Artha Prima Energy                       -       15            9            -              -       -                -          -           -          -             -         -


 12   PT Karya Mineral Jaya                       -       2              -           -              -       2                -          -           -          -             -         -


 13   PT PDPDE Gas                                -       -              -           -              -       -                -          -           -          -             -         -


 14   PT Petrotech Penta Nusa                     3       28            22           3              -      30               18          4           1         29            21         1


 15   PT Artifisial Teknologi Persada             2       16            6            1              3      18               6           1           1         18            8          -


                  JUMLAH
                                                  43     408           239        24             36        394             235          13         40        318           198         7
                   TOTAL



Komposisi Karyawan Berdasarkan Pendidikan 2023–2025
Composition of Employees by Education Background 2023–2025



                                                          2025                                                  2024                                               2023
              Perusahaan
 No                                                                             SLTA                                                   SLTA                                            SLTA
               Company                  Pasca Sarjana   Sarjana    Diploma
                                                                                High
                                                                                           Pasca Sarjana   Sarjana    Diploma
                                                                                                                                       High
                                                                                                                                               Pasca Sarjana   Sarjana    Diploma
                                                                                                                                                                                       High
                                        Postgraduate Undergraduate Diploma                 Postgraduate Undergraduate Diploma                  Postgraduate Undergraduate Diploma
                                                                               School                                                 School                                          School


 1    PT Rukun Raharja Tbk                   7            22             1       2              10           14                  2      3           9              14            2      4


 2    PT Raharja Energi Cepu Tbk             1             8             -       1              1               6                -      -           -               2            -         -

      PT Raharja Energi Tanjung
 3                                           -             -             1       -              -               -                -      -           -               -            -         -
      Jabung

      PT Triguna Internusa
 4                                           9            73             23     56              10           54                  19    47           4              45            19    136
      Pratama

 5    PT Trimitra Cipta Mandiri              1            28             13     173             2            25                  12    167          -              15            1     55


 6    PT Bravo Delta Persada                 -             -             -       7              -               -                -      7           -               -            -      7


 7    PT Heksa Energi Mitraniaga             -            32             7      35              -            49                  9     32           -               9            7     26


 8    PT Panji Raya Alamindo Tbk             2             4             -       1

      PT Energasindo
 9                                           8            41             10     30              8            46                  10    29           6              51            8     33
      Heksa Karya

 10   PT Majuko Utama Indonesia              -             5             1       5              -               4                1      5           -               3            1      5


 11   PT Artha Prima Energy                  1            13             1       9              1            13                  1      9           -              12            1      9


 12   PT Karya Mineral Jaya                  -             1             1       -              -               1                1      -           -               -            -         -


 13   PT PDPDE Gas                           -             -             -       -              -               -                -      -           -               -            -         -


 14   PT Petrotech Penta Nusa                1            12             3      40              2               8                4     38           2               8            4     38

      PT Artifisial Teknologi
 15                                          -            11             2      12              -               8                2     18           -               5            2     20
      Persada

               JUMLAH
                                            30           250             63     371             34          228                  61    355         21              164           45    333
                TOTAL




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                                                                                                                              PT Rukun Raharja Tbk    2025


Komposisi Karyawan Berdasarkan Status Kepegawaian 2023–2025
Composition of Employees by Employment Status 2023–2025


                                                               2025                                 2024                                2023
                         Perusahaan
 No                                                Tetap              Kontrak             Tetap            Kontrak            Tetap              Kontrak
                          Company
                                                 Permanent            Contract          Permanent          Contract         Permanent            Contract

 1         PT Rukun Raharja Tbk                       31                 1                   29               -                28                      1


 2         PT Raharja Energi Cepu Tbk                 10                 -                    7               -                 2                      -


 3         PT Raharja Energi Tanjung Jabung            -                 1                    -               -                 -                      -


 4         PT Triguna Internusa Pratama               36                125                  33              97                32                     172


 5         PT Trimitra Cipta Mandiri                  17                198                  16              190               16                     55


 6         PT Bravo Delta Persada                      -                 7                    -               7                 -                      7


 7         PT Heksa Energi Mitraniaga                  6                68                    3              87                 3                     39


 8         PT Panji Raya Alamindo Tbk                  6                 1                    -               -                 -                      -


 9         PT Energasindo Heksa Karya                 75                14                   75              18                70                     28


 10        PT Majuko Utama Indonesia                   9                 2                    9               1                 9                     -
 11        PT Artha Prima Energy                      24                 -                   23               1                21                      1


 12        PT Karya Mineral Jaya                       -                 2                    -               2


 13        PT PDPDE Gas                                -                 -                    -               -                 -                      -


 14        PT Petrotech Penta Nusa                     6                50                    3              49                 3                     49


 15        PT Artifisial Teknologi Persada            10                15                   12              16                14                     13

                          JUMLAH
                                                      230               484                  210             468               198                    365
                           TOTAL




Program Pengembangan Kompetensi Karyawan                                           Employee Competency Development Program

PT Rukun Raharja Tbk senantiasa mengedepankan pembelajaran                         PT Rukun Raharja Tbk senantiasa mengedepankan pembelajaran
berkesinambungan kepada semua pekerja karena Perseroan                             berkesinambungan kepada semua pekerja karena Perseroan
percaya bahwa pengembangan kompetensi akan berdampak                               percaya bahwa pengembangan kompetensi akan berdampak
positif terhadap pertumbuhan bisnis Perseroan.                                     positif terhadap pertumbuhan bisnis Perseroan.

Pada tahun 2025, Perseroan memberikan kesempatan yang                              Pada tahun 2025, Perseroan memberikan kesempatan yang
setara kepada seluruh pekerja untuk mengikuti program                              setara kepada seluruh pekerja untuk mengikuti program
pembelajaran dan pelatihan yang diselenggarakan Perseroan                          pembelajaran dan pelatihan yang diselenggarakan Perseroan
guna memaksimalkan potensi dan mengembangkan kompetensi                            guna memaksimalkan potensi dan mengembangkan kompetensi
setiap individu.                                                                   setiap individu.



 Keterangan
                                                                                      2025                         2024                        2023
 Description



 Jumlah Pelatihan
                                                                                       94                           82                          86
 Number of Training(s)

 Peserta
                                                                                      719                          387                         337
 Participant(s)

 Biaya
                                                                                 Rp2.020.453.640            Rp558.665.856               Rp1.710.438.499
 Cost




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Pengembangan Kompetensi Karyawan Berdasarkan Jenis Pelatihan
Employee Competency Development by Types of Trainings



                                                           2025
                                                                                                         2024                                          2023
 Jenis pelatihan
 Types of Trainings                       Kegiatan                  Peserta               Kegiatan                Peserta                Kegiatan                 Peserta
                                           Activity               Participants             Activity             Participants              Activity              Participants


 Sertifikasi
                                             11                       25                     14                      16                     23                       49
 Certification(s)


 Pelatihan
                                             83                       694                    68                     372                     63                       288
 Training(s)




Lebih lanjut tentang pengelolaan aspek ketenagakerjaan dapat                              Further information regarding the management of employment
dilihat pada Laporan Keberlanjutan yang merupakan bagian                                  aspects can be found in the Sustainability Report, which forms
integral dari Laporan Tahunan ini                                                         an integral part of this Annual Report.



Pemegang Saham dan Informasi Kepemilikan Saham
Shareholders and Shareholding Information

Komposisi Pemegang Saham
Shareholder Composition


                                    Kepemilikan Saham Awal Tahun                                        Kepemilikan Saham Akhir Tahun
                              Share Ownership at the Beginning of the Year                            Share Ownership at the End of the Year
 Pemegang Saham                                                                                                                                            Status Kepemilikan
 Shareholders                                 Persentase                                                           Persentase                               Ownership Status
                       Jumlah Saham                                                    Jumlah Saham
                                             Kepemilikan            Jumlah Modal                                  Kepemilikan           Jumlah Modal
                      (Lembar Saham)                                                  (Lembar Saham)
                                             Percentage of           Total Capital                                Percentage of          Total Capital
                      Number of Shares                                                Number of Shares
                                              Ownership                                                            Ownership

 Kepemilikan > 5%
 Ownership > 5%

                                                                                                                                                                 Individu Lokal
 Hapsoro                1.193.491.300             28,23                3.095.753           1.163.236.100              27,52                3.017.275
                                                                                                                                                               Local Individuals

 PT Sentosa                                                                                                                                                      Institusi Lokal
                        1.489.237.404             35,23                3.862.878           1.490.222.504              35,25                3.865.433
 Bersama- Mitra                                                                                                                                               Local Institutions

 PT Basis Utama                                                                                                                                                  Institusi Lokal
                         503.174.000              11,90                1.305.164           523.174.000                12,38                1.357.042
 Prima                                                                                                                                                        Local Institutions

 Kepemilikan < 5%
 Ownership < 5%

                                                                                                                                                                    Institusi dan
 Masyarakat
                                                                                                                                                              Individu Lokal dan
 (Masing-Masing di
                                                                                                                                                                           Asing
 bawah 5%)              1.041.179.796             24,63                2.700.678           1.050.449.896              24,85                2.607.986
                                                                                                                                                               Local and foreign
 Public (Each under
                                                                                                                                                                 Individuals and
 5%)
                                                                                                                                                                     institutions

 JUMLAH
                        4.227.082.500             100,00              10.964.473          4.227.082.500              100,00               10.964.473
 TOTAL




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                                                                                                                                          Laporan Tahunan
                                                                                                                                      PT Rukun Raharja Tbk   2025


Komposisi Pemegang Saham Berdasarkan Status Kepemilikan
Shareholder Composition by Ownership Status


                                               Kepemilikan Saham Awal Tahun                                        Kepemilikan Saham Akhir Tahun
                                         Share Ownership at the Beginning of the Year                            Share Ownership at the End of the Year
 Pemegang Saham                                                                 Persentase                                                           Persentase
 Shareholders                                          Jumlah Saham                                                         Jumlah Saham
                              Jumlah Investor                                  Kepemilikan         Jumlah Investor                                  Kepemilikan
                                                      (Lembar Saham)                                                       (Lembar Saham)
                             Number of Investors                               Percentage of      Number of Investors                               Percentage of
                                                      Number of Shares                                                     Number of Shares
                                                                                Ownership                                                            Ownership

 Pemodal Nasional
                                    9.663               4.030.692.862              95,35                44.038               4.090.236.467                96,76
 National Investor

 Perorangan
                                    9.547               1.615.187.196              38,21                43.783               1.737.923.996                41,11
 Individual

 Perseroan Terbatas
                                    106                 2.412.961.366              57,08                 233                 2.339.745.071                55,35
 Limited Liability Company

 Dana Pensiun
                                     4                    1.429.500                0,03                   13                  11.136.400                   0,26
 Pension Fund

 Yayasan
                                     3                     36.600                  0,00                   7                    1.131.000                   0,03
 Foundation

 Koperasi
                                     3                    1.078.200                0,03                   2                     300.000                   0,001
 Cooperative

 Pemodal Asing
                                     80                  196.389.638               4,65                  129                  136.846.033                  3,22
 Foreign Investor

 Perorangan
                                     34                    879.600                 0,02                   55                    771.200                    0,02
 Individual

 Perseroan Terbatas
                                     46                  195.510.038               4,63                   74                  136.074.833                  3,22
 Limited Liability Company

 JUMLAH
                                    9.743               4.227.082.500             100,00                44.167               4227.082.500                 100,00
 TOTAL


Informasi tentang Kepemilikan Saham oleh Manajemen                                      Information on Share Ownership by Key Management
Kunci
Hingga akhir tahun 2025, tidak terdapat anggota Dewan                                   Until the end of 2025, there are no members of the Board of
Komisaris, Direksi, hingga pejabat setingkat di bawah Direksi                           Commissioners, Board of Directors, or officials at the level
yang memiliki saham di Perseroan.                                                       below the Board of Directors who own shares in the Company.

Pemegang Saham Utama dan Pengendali                                                     Major and Controlling Shareholders
Berdasarkan Daftar Pemegang Saham per 31 Desember                                       Based on the Shareholders Register as of December 31, 2025
2025 yang dikeluarkan oleh PT Ficomindo Buana Registrar,                                issued by PT Ficomindo Buana Registrar, the Company’s Main
Pemegang Saham Utama dan Pengendali Perseroan adalah                                    and Controlling Shareholder is Hapsoro (27.52%).
Hapsoro (27,52%).




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Struktur Grup dan Kelompok Usaha
Group Structure and Business Units



                 Hapsoro                               PT Sentosa Bersama Mitra                                PT Basis Utama Prima                                       Public

                    27,52%                                             35,25%                                         12,38%                                              24,85%




        Upstream                       Infrastructure                   Oil & Gas              Oil & Gas terminal               Gas                           Power
                                                                                                                                                                                      Petrochemicals
        Business                        and Utilities                   Services                   and Storage                Trading                       Generation


    PT Raharja                        PT Triguna                                                PT Heksa               PT Panji Raya                                                  PT Banggai
                  69,02%                                           PT Petrotech                                                          67,00%        PT Raharja Daya
  Energi Cepu Tbk                     Internusa        100%                          99,90%      Energi      85,00%    Alamindo Tbk                                    99,00%          Ammonia          40,00%
                                                                   Penta Nusa                                                                              Energi
                                       Pratama                                                  Mitraniaga                                                                             Indonesia

     PT Petrogas                                                                                                                                           PT Adidaya
     Jatim Utama      49,00%           PT Trimitra                   PT Artifisial                                              33.00%                    Bismawisesa      99,00%
       Cendana                            Cipta         99,00%        Teknologi       99,99%                                                              Internasional
                                        Mandiri                        Persada
                                                                                                                        PT Energasindo
     PT Raharja                                                                                                                            99,99%
                                                                                                                         Heksa Karya
    Energi Tanjung    99,00%            PT Bravo
       Jabung                            Delta          99,00%
                                        Persada                                                                            PT Majuko
                                                                                                                             Utama         99,99%
      PT Raharja                                                                                                           Indonesia
                      99,00%
     Energi Negeri                      PT Sarana
                                       Infrastruktur    99,99%
                                         Sejahtera                                                                          PT Artha
                                                                                                                                           99,99%
      PT Raharja                                                                                                          Prima Energy
                     99,996%.
    Energi Indonesia
                                       PT Hafar
                                        Daya           49,00%
                                      Konstruksi                                                                         PT Bumi Karya
                                                                                                                                       99,00%
      PT Raharja                                                                                                             Artha
                   51,00%
     Energi Madura
                                     PT Hafar Daya
                                                   49,00%
                                      Samudera
                                                                                                                          PT Prima
     PT Raharja                                                                                                                            99,93%
                     99,00%                                                                                             Energi Raharja
   Energi Sentosa
                                           PT Hafar
                                            Capitol       99,99%
    PT Raharja                            Nusantara
                     100%                                                                                             PT PDPDE Gas       85,00%
  Energi Bohorok

                                      PT Banawa
                                        Rezeki         100%                                                             PT Karya
                                       Optima                                                                                            55,00%
                                                                                                                       Mineral Jaya
      Upstream

                                                                                                                         Downstream


                                                                     Midstream



 Business Line         Sub Holding        Business Unit
                                                                                                                                                               RAJA Ownership       Partner Ownership




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                                                                                                                                              Laporan Tahunan
                                                                                                                                          PT Rukun Raharja Tbk    2025


Entitas Anak dan/atau Entitas Asosiasi
List of Subsidiaries, Associates and Joint Ventures


                                                                                                                 Kepemilikan oleh    Jumlah Aset (dalam
                                                                                                   Tahun
                                                                                   Tahun                          Perseroan (%)         ribuan USD)
                                                                                                 Penyertaan                                                       Status
                                                                                Beroperasi                          Ownership by        Total Assets (in
                                                                Tahun Berdiri                    Modal oleh
 Nama                        Bidang Usaha            Domisili                    Komersial                        the Company (%)      thousands USD)             Operasi
                                                                    Year of                      Perseroan
 Name                       Line of Business         Domicile                     Year of
                                                                                               Year of Capital
                                                                                                                                                                 Operation
                                                                Establishment   Commercial
                                                                                               Investment by                                                       Status
                                                                                 Operation                       2025        2024     2025         2024
                                                                                                the Company

 Entitas Anak (Kepemilikan secara langsung)
 Subsidiaries (Direct Ownership)

                         Transmisi dan kompresi
 PT Triguna Internusa              gas                                                                                                                        Beroperasi
                                                     Jakarta        2003           2007             2010         100,00     100,00     63.264     34.877
 Pratama                  Gas transmission and                                                                                                               In Operation
                              compression

 PT Panji Raya                Investasi****)                                                                                                                  Beroperasi
                                                     Jakarta        2007           2007             2010         67,00       67,00    106.295     99.813
 Alamindo Tbk                Investment****)                                                                                                                 In Operation


                                                                                                                                                           Belum Beroperasi
                          Distributor gas alam*)
 PT PDPDE Gas                                        Jakarta        2009           2009             2014         85,00       85,00      2.552      3.369       Not Yet In
                         Natural gas distributor*)                                                                                                             Operation


 PT Petrotech Penta            Jasa energi                                                                                                                    Beroperasi
                                                     Jakarta        2004           2004             2020         99,90       99,90     15.626      6.612
 Nusa                        Energy Services                                                                                                                 In Operation


                                                                                                                                                           Belum Beroperasi
 PT Raharja Daya                Investasi
                                                     Jakarta        2014           2015             2014         99,00       99,00         78       85         Not Yet In
 Energi                        Investment                                                                                                                      Operation


 PT Raharja Energi              Investasi                                                                                                                     Beroperasi
                                                     Jakarta        2006           2007             2018         69,02      100,00     76.020     52.824
 Cepu Tbk                      Investment                                                                                                                    In Operation

                                                                                                                                                           Belum Beroperasi
 PT Rukun Prima                  Energi*)
                                                     Jakarta        2012           2015             2015         97,50       97,50        612       634        Not Yet In
 Sarana                          Energy*)                                                                                                                      Operation

                                                                                                                                                           Belum Beroperasi
 PT Raharja Energi               Energi*)
                                                     Jakarta        2017           2017             2017         99,00       99,00        602       625        Not Yet In
 Sentosa                         Energy*)                                                                                                                      Operation

                          Jasa penyedia fasilitas
 PT Heksa Energi                   LPG**)                                                                                                                     Beroperasi
                                                     Jakarta        2019           2019             2020         85,00       85,00      2.290      4.562
 Mitraniaga             LPG facility supply services                                                                                                         In Operation
                                     **)

                                                                                                                                                           Belum Beroperasi
 PT Raharja Energi         Jasa profesional*)
                                                     Jakarta        2020           2020             2020         100,00     100,00        596       619        Not Yet In
 Bohorok                 Professional Services *)                                                                                                              Operation

                                                                                                                                                           Belum Beroperasi
 PT Karya Mineral          Distributor gas alam
                                                     Jakarta        2017           2017             2024         55,00       55,00         19       21         Not Yet In
 Jaya                     Natural gas distributor                                                                                                              Operation

                                                                                                                                                           Belum Beroperasi
 PT Banawa Rezeki
                              Angkutan laut          Jakarta        2025           2025             2025         100,00        -        3.441        -         Not Yet In
 Optima                                                                                                                                                        Operation

 Entitas Anak Tidak Langsung Melalui PT Triguna Internusa Pratama
 Indirect Subsidiaries Through PT Triguna Internusa Pratama

 PT Trimitra Cipta       Jasa pemeliharaan LPG                                                                                                                Beroperasi
                                                 Jakarta            2000           2008             2011         100,00     100,00      1.596      1.720
 Mandiri                LPG maintenance services                                                                                                             In Operation


                             Penampungan,
                            Penjernihan dan
 PT Bravo Delta                                                                                                                                               Beroperasi
                              Penyaluran air        Jakarta         2008           2008             2020         99,00       99,00      1.250      1.517
 Persada                                                                                                                                                     In Operation
                        Water Storage, Purification
                             and Distribution

 PT Sarana
                              Treatment air
 Infrastruktur                                       Jakarta        2025           2025             2025         99,00         -          656        -     Belum Beroperasi
                             Water Treatment
 Sejahtera

 Entitas Anak Tidak Langsung Melalui PT Panji Raya Alamindo Tbk
 Indirect Subsidiaries Through PT Panji Raya Alamindo Tbk

 PT Energasindo            Distributor gas alam                                                                                                               Beroperasi
                                                     Jakarta        1998           2005             2010         67,00       67,00     94.772     88.164
 Heksa Karya              Natural gas distributor                                                                                                            In Operation


 PT Prima Energi                 Energi*)                                                                                                                     Beroperasi
                                                     Jakarta        2012           2015             2012         67,02       67,02        569       628
 Raharja                         Energy*)                                                                                                                    In Operation




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                                                                                                             Kepemilikan oleh       Jumlah Aset (dalam
                                                                                               Tahun
                                                                               Tahun                          Perseroan (%)            ribuan USD)
                                                                                             Penyertaan                                                         Status
                                                                            Beroperasi                          Ownership by           Total Assets (in
                                                            Tahun Berdiri                    Modal oleh
 Nama                      Bidang Usaha          Domisili                    Komersial                        the Company (%)         thousands USD)            Operasi
                                                                Year of                      Perseroan
 Name                     Line of Business       Domicile                     Year of
                                                                                           Year of Capital
                                                                                                                                                               Operation
                                                            Establishment   Commercial
                                                                                           Investment by                                                         Status
                                                                             Operation                       2025        2024         2025         2024
                                                                                            the Company

 Entitas Anak Tidak Langsung Melalui PT Energasindo Heksa Karya
 Indirect Subsidiaries Through PT Energasindo Heksa Karya

                         Jasa transportasi gas
 PT Majuko Utama                                                                                                                                                Beroperasi
                          Gas transportation     Jakarta           2003        2003             2021         66,99       66,99          3.674      2.479
 Indonesia                                                                                                                                                     In Operation
                                services

 PT Artha Prima         Perdagangan CNG***)                                                                                                                     Beroperasi
                                                 Jakarta           2017        2017             2021         67,00       53,59         12.673      11.541
 Energy                   CNG Trading***)                                                                                                                      In Operation


                                                                                                                                                            Belum Beroperasi
                               Energi*)
 PT Bumi Karya Artha                             Jakarta           2016        2018             2016         67,32       67,32               -      69          Not Yet In
                               Energy*)                                                                                                                         Operation

 Entitas Anak Tidak Langsung Melalui PT Raharja Daya Energi
 Indirect Subsidiaries Through PT Raharja Daya Energi

 PT Adidaya                                                                                                                                                 Belum Beroperasi
                               Energi*)
 Bismawisesa                                     Jakarta           2014        2015             2014         99,01       99,01            313       327         Not Yet In
                               Energy*)                                                                                                                         Operation
 Internasional

 Entitas Anak Tidak Langsung Melalui PT Petrotech Penta Nusa
 Indirect Subsidiaries Through PT Petrotech Penta Nusa

                        Perdagangan dan sewa
 PT Artifisial              pompa minyak                                                                                                                        Beroperasi
                                                 Jakarta           2005        2005             2021         99,00       85,00          3.868      3.698
 Teknologi Persada       Oil pump rental and                                                                                                                   In Operation
                               trading

 Entitas Anak Tidak Langsung Melalui PT Raharja Energi Cepu Tbk
 Indirect Subsidiaries Through PT Raharja Energi Cepu Tbk

                          Pertambangan dan
 PT Raharja Energi                                                                                                                                              Beroperasi
                              penggalian         Jakarta           2022        2022             2022         99,00       99,00         46.261      41.955
 Tanjung Jabung                                                                                                                                                In Operation
                         Mining and excavation

                          Pertambangan dan                                                                                                                  Belum Beroperasi
 PT Raharja Energi
                              penggalian         Jakarta           2025       2025             2025          69,02         -           15.085        -          Not Yet In
 Indonesia                                                                                                                                                      Operation
                         Mining and excavation

                          Pertambangan dan                                                                                                                  Belum Beroperasi
 PT Raharja Energi
                              penggalian         Jakarta           2025        2025             2025         69,02         -               30        -          Not Yet In
 Negeri                                                                                                                                                         Operation
                         Mining and excavation

 Entitas Anak Tidak Langsung Melalui PT Raharja Energi Indonesia
 Associated Entities

                                                                                                                                                            Belum Beroperasi
 PT Raharja Energi             Investasi
                                                 Jakarta           2025        2025             2025         35,20         -           14.895        -          Not Yet In
 Madura                       Investment                                                                                                                        Operation

 Entitas Asosiasi
 Associated Entities

                       Pertambangan minyak dan
 PT Petrogas Jatim                                                                                                                                              Beroperasi
                                gas bumi       Surabaya            2007        2007             2007         49,00       49,00           20.203    22.225
 Utama Cendana                                                                                                                                                 In Operation
                           Oil and gas mining

                         Kimia dasar organik*)                                                                                                              Belum Beroperasi
 PT Banggai
                            Basic Organic        Jakarta           2022       2022             2022          40,00       40,00               145    151         Not Yet In
 Ammonia Indonesia           Chemistry*)                                                                                                                        Operation


 PT Hafar Daya                Konstruksi                                                                                                                        Beroperasi
                                                 Jakarta           2009        2009             2025         49,00         -             35.434    32.616
 Konstruksi                  Construction                                                                                                                      In Operation


 PT Hafar Daya             Penyewaan kapal                                                                                                                      Beroperasi
                                                 Jakarta           2007       2008             2025          49,00         -             19.864    30.492
 Samudera                   Ship chartering                                                                                                                    In Operation


 PT Hafar Capitol        Penyewaan kapal**)                                                                                                                     Beroperasi
                                                 Jakarta           2011        2011             2025         49,00         -             14.141    18.981
 Nusantara               Ship chartering(**)                                                                                                                   In Operation




*) Tidak menjalankan aktivitas komersial
   Not conducting commercial activities
**) LPG = Gas minyak cair
          Liquefied Petroleum Gas
***)CNG = gas alam terkompresi
           Compressed Natural Gas
****)Proses IPO dalam penundaan
    The Initial Public Offering (IPO) process is currently postponed.




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                                                                                                                     PT Rukun Raharja Tbk    2025



Selain itu, Perseroan juga memiliki kerja sama operasi dengan                  In addition, the Company also has a joint operation with the
rincian sebagai berikut:                                                       following details:

                                                                                                            Persentase hak kepemilikan (%)
 Kerja sama operasi                                            Melalui Entitas             Lokasi           Ownership rights percentage (%)
 Joint Operation                                               Through Entity             Location
                                                                                                             2025                     2024

 Blok Rokan                                                     Perusahaan
                                                                                       Riau, Indonesia       25,00                    25,00
 Rokan Block                                                     Company

 Blok Jabung
                                                                   RETJ               Jambi, Indonesia       8,00                     8,00
 Jabung Block

                                                                                     Kalimantan Timur,
 Konsorsium PETRO-CPM-BPI                                                                Indonesia
                                                                    PTN                                      81,31                    75,00
 PETRO-CPM-BPI Consortium                                                            East Kalimantan,
                                                                                         Indonesia




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                                                                                                                          Together Shaping Excellence For Sustainable Growth




Entitas Anak Kepemilikan Langsung
Direct Ownership Subsidiary




 PT Triguna Internusa Pratama


 Kedudukan dan Tahun Operasi Komersial           Jakarta, 2003
 Domicile and Year of Commercial Operation

 Kegiatan Usaha                                  Transmisi dan kompresi gas
 Business Activities                             Gas transmission and gas compression

 Dasar Hukum Pendirian                           Akta Pendirian No. 164 tanggal 20 Januari 2003 yang dibuat oleh Dradjat Darmadji, S.H, dan telah memperoleh pengesahan dari
 Legal Basis of Establishment                    Menteri Kehakiman dan Hak Asasi Manusia Republik Indonesia No. C-07817.HT.01.01-TH.2003 tertanggal 10 April 2003.
                                                 Deed of Establishment No. 164 dated January 20, 2003 made by Dradjat Darmadji, S.H, and has been approved by the Minister of
                                                 Justice and Human Rights of the Republic of Indonesia No. C-07817.HT.01.01-TH.2003 dated April 10, 2003.

 Kepemilikan Saham                               PT Rukun Raharja Tbk: 100%
 Shareholding

 Modal Dasar                                     Rp250.001.000.000
 Authorized Capital

 Modal Disetor                                   Rp214.613.000.000
 Paid-up Capital

 Nominal per Saham                               Rp1.000.000
 Nominal per Share

 Status Operasional                              Beroperasi
 Operational Status                              In Operation

 Alamat                                          Office Park Thamrin Residences Blok B 07-08
 Address                                         Jl. Thamrin Boulevard
                                                 Kel. Kebon Melati, Kec. Tanah Abang
                                                 Jakarta Pusat, 10230
                                                 T : (+6221) 2929 1053
                                                 F : (+6221) 2357 9803

 Susunan Direksi dan Dewan Komisaris             Dewan Komisaris Board of Commissioners
 Composition of the Board of Directors and the   Djauhar Maulidi (Komisaris Utama | President Commissioner)
 Board of Commissioners                          Direksi | Board of Directors
                                                 Ignatius Tri Handoyo (Direktur Utama | President Director)
                                                 Ricardo Agung Pribadi (Direktur | Director)
                                                 Deny Dwiantoro (Direktur | Director)




                                                                                                                                       Kenaikan (Penurunan)
                                                                                                                                        Increase (Decrease)
 Kinerja Keuangan                                                            2025                       2024
 Financial Performance                                                      (USD)                      (USD)
                                                                                                                                                        Persentase (%)
                                                                                                                             Nominal (USD)
                                                                                                                                                        Percentage (%)

 Laporan Posisi Keuangan Konsolidasian
 Consolidated Statement of Financial Position

 Jumlah Aset
                                                                        63.263.538                 34.876.920                 28.386.618                    81,39
 Total Assets

 Jumlah Liabilitas
                                                                        40.455.364                 11.509.970                 28.945.394                   251,48
 Total Liabilities

 Jumlah Ekuitas
                                                                        22.808.174                 23.366.950                  (558.776)                    (2,39)
 Total Equity

 Laporan Laba Rugi dan Penghasilan Komprehensif Lain Konsolidasian
 Consolidated Statements of Profit or Loss and Other Comprehensive Income

 Pendapatan Usaha
                                                                        24.024.667                 14.936.804                  9.087.863                    60,84
 Revenue

 Beban Pokok Pendapatan
                                                                       (20.246.963)               (12.270.367)                (7.976.596)                   65,01
 Cost of Revenue

 Laba Bruto
                                                                         3.777.704                  2.666.437                  1.111.267                    41,68
 Gross Profit

 Laba Sebelum Beban Pajak Penghasilan
                                                                         1.068.671                  1.164.511                   (95.840)                    (8,23)
 Profit Before Income Tax




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                                                                                                                                                PT Rukun Raharja Tbk    2025



                                                                                                                                           Kenaikan (Penurunan)
                                                                                                                                            Increase (Decrease)
  Kinerja Keuangan                                                                 2025                       2024
  Financial Performance                                                           (USD)                      (USD)
                                                                                                                                                             Persentase (%)
                                                                                                                                  Nominal (USD)
                                                                                                                                                             Percentage (%)

  Laba Tahun Berjalan
                                                                                815.259                    616.172                  199.087                      32,31
  Profit for the Year

  Penghasilan Komprehensif Lain
                                                                               (215.564)                    1.456                   (217.020)                 (14905,22)
  Other Comprehensive Income

  Laba Komprehensif Periode Berjalan
                                                                                599.695                    617.628                  (17.933)                     (2,90)
  Comprehensive Income for the Period




  PT Panji Raya Alamindo Tbk


  Kedudukan dan Tahun Operasi Komersial                Jakarta, 2007
  Domicile and Year of Commercial Operation

  Kegiatan Usaha                                       Investasi*)
  Business Activities                                  Investment*)

  Dasar Hukum Pendirian                                Akta No. 4 tanggal 15 Mei 2007 yang dibuat oleh Ninuk Kartini, S.H, dan telah memperoleh pengesahan dari Menteri Hukum dan
  Legal Basis of Establishment                         Hak Asasi Manusia Republik Indonesia dengan Surat Keputusan No. W7-06616.HT.01.01.TH.2007 tanggal 14 Juni 2007.
                                                       Deed No. 4 dated May 15, 2007, drawn up before Ninuk Kartini, S.H., and has been approved by the Minister of Law and Human
                                                       Rights of the Republic of Indonesia through Decree No. W7 06616.HT.01.01.TH.2007 dated June 14, 2007.

  Kepemilikan Saham                                    PT Rukun Raharja Tbk: 67,00%
  Shareholding                                         Tokyo Gas Asia Pte Ltd: 33,00%

  Modal Dasar                                          Rp1.300.000.000.000
  Authorized Capital

  Modal Disetor                                        Rp335.756.000.000
  Paid-up Capital

  Nominal per Saham                                    Rp100
  Nominal per Share

  Status Operasional                                   Beroperasi
  Operational Status                                   In Operation

  Alamat                                               Office Park Thamrin Residences Blok A 01-05
  Address                                              Jl. Thamrin Boulevard
                                                       Kel. Kebon Melati, Kec. Tanah Abang
                                                       Jakarta Pusat, 10230
                                                       T : (+6221) 2929 1053
                                                       F : (+6221) 2357 9803

  Susunan Direksi dan Dewan Komisaris                  Dewan Komisaris | Board of Commissioners
  Composition of the Board of Directors and the        Djauhar Maulidi (Komisaris Utama | President Commissioner)
  Board of Commissioners                               Masaaki Nishimura (Komisaris | Commissioner)
                                                       Budiman Parhusip (Komisaris | Commissioner)

                                                       Direksi | Board of Directors
                                                       Agustinus Hendrayana (Direktur Utama | President Director)
                                                       Budi Sulistyo (Direktur | Director)
                                                       Masataka Sengoku (Direktur | Director)


*) Proses IPO dalam penundaan
   The Initial Public Offering (IPO) process is currently postponed.


                                                                                                                                           Kenaikan (Penurunan)
                                                                                                                                            Increase (Decrease)
  Kinerja Keuangan                                                                 2025                       2024
  Financial Performance                                                           (USD)                      (USD)
                                                                                                                                                             Persentase (%)
                                                                                                                                  Nominal (USD)
                                                                                                                                                             Percentage (%)

  Laporan Posisi Keuangan Konsolidasian
  Consolidated Statement of Financial Position

  Jumlah Aset
                                                                              106.294.500                99.812.762                 6.481.738                    6,49
  Total Assets

  Jumlah Liabilitas
                                                                              32.527.926                 31.087.458                 1.440.468                    4,63
  Total Liabilities

  Jumlah Ekuitas
                                                                              73.766.574                 68.725.304                 5.041.270                    7,34
  Total Equity




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                                                                                                                                          Kenaikan (Penurunan)
                                                                                                                                           Increase (Decrease)
  Kinerja Keuangan                                                                2025                    2024
  Financial Performance                                                          (USD)                   (USD)
                                                                                                                                                            Persentase (%)
                                                                                                                                Nominal (USD)
                                                                                                                                                            Percentage (%)

  Laporan Laba Rugi dan Penghasilan Komprehensif Lain Konsolidasian
  Consolidated Statements of Profit or Loss and Other Comprehensive Income

  Pendapatan Usaha
                                                                          149.073.770                143.216.510                  5.857.260                     4,09
  Revenue

  Beban Pokok Pendapatan
                                                                          (125.172.470)             (120.451.161)                (4.721.309)                    3,92
  Cost of Revenue

  Laba Bruto
                                                                           23.901.300                22.765.349                   1.135.951                     4,99
  Gross Profit

  Laba Sebelum Beban Pajak Penghasilan
                                                                           13.557.707                13.195.576                    362.131                      2,74
  Profit Before Income Tax

  Laba Tahun Berjalan
                                                                           10.827.158                10.578.603                    248.555                      2,35
  Profit for the Year

  Penghasilan Komprehensif Lain
                                                                               (161.024)                7.052                     (168.076)                  (2.383,38)
  Other Comprehensive Income

  Laba Komprehensif Periode Berjalan
                                                                           10.666.134                10.585.655                    80.479                       0,76
  Comprehensive Income for the Period




  PT PDPDE Gas


  Kedudukan dan Tahun Operasi Komersial           Jakarta, 2009
  Domicile and Year of Commercial Operation

  Kegiatan Usaha                                  Distributor gas alam *)
  Business Activities                             Natural gas distributor *)

  Dasar Hukum Pendirian                           Akta No. 10 tanggal 21 Desember 2009 dari Notaris Syarifudin, S.H. Akta pendirian ini telah mendapat pengesahan dari Menteri
  Legal Basis of Establishment                    Hukum dan Hak Asasi Manusia Republik Indonesia dengan Surat Keputusan No. AHU-22708.AH.01.01.Tahun 2010 tanggal 3 Mei
                                                  2010.
                                                  Deed No. 10 dated December 21, 2009 from Notary Syarifudin, S.H. This establishment deed has been approved by the Minister of
                                                  Law and Human Rights of the Republic of Indonesia with Decree No. AHU-22708.AH.01.01.TH 2010 dated May 3, 2010.

  Kepemilikan Saham                               PT Rukun Raharja Tbk: 85,00%
  Shareholding                                    PT Sumsel Energi Gemilang (Perseroda): 15,00%

  Modal Dasar                                     Rp200.000.000.000
  Authorized Capital

  Modal Disetor                                   Rp53.500.000.000
  Paid-up Capital

  Nominal per Saham                               Rp1.000.000
  Nominal per Share

  Status Operasional                              Belum Beroperasi
  Operational Status

  Alamat                                          Office Park Thamrin Residences A 01-05
  Address                                         Jl. Thamrin Boulevard
                                                  Kel. Kebon Melati, Kec. Tanah Abang
                                                  Jakarta Pusat, 10230
                                                  T : (+6221) 2929 1080
                                                  F : (+6221) 2929 1079

  Susunan Direksi dan Dewan Komisaris             Dewan Komisaris | Board of Commissioner
  Composition of the Board of Directors and the   Djauhar Maulidi (Komisaris Utama | President Commissioner)
  Board of Commissioners                          H.M Zulkarnain (Komisaris | Commissioner)
                                                  Yasser Arafat (Komisaris | Commissioner)

                                                  Direksi | Board of Director
                                                  Windu Margono (Direktur | Director)



*) Tidak menjalankan aktivitas komersial
*) Not conducting commercial activities




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                                                                                                                                            PT Rukun Raharja Tbk    2025



                                                                                                                                        Kenaikan (Penurunan)
                                                                                                                                         Increase (Decrease)
 Kinerja Keuangan                                                            2025                         2024
 Financial Performance                                                      (USD)                        (USD)
                                                                                                                                                         Persentase (%)
                                                                                                                              Nominal (USD)
                                                                                                                                                         Percentage (%)

 Laporan Posisi Keuangan
 Statement of Financial Position

 Jumlah Aset
                                                                         2.551.695                     3.369.439                (817.744)                   (24,27)
 Total Assets

 Jumlah Liabilitas
                                                                          375.250                      281.563                   93.687                      33,27
 Total Liabilities

 Jumlah Ekuitas
                                                                         2.176.445                     3.087.876                (911.431)                   (29,52)
 Total Equity

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

 Pendapatan Usaha
                                                                              -                            -                        -                        0,00
 Revenue

 Beban Pokok Pendapatan
                                                                              -                            -                        -                        0,00
 Cost of Revenue

 Laba Bruto
                                                                              -                            -                        -                        0,00
 Gross Profit

 Laba Sebelum Beban Pajak Penghasilan
                                                                         (911.431)                     (551.735)                (359.696)                    65,19
 Profit Before Income Tax

 Laba Tahun Berjalan
                                                                         (911.431)                     (551.735)                (359.696)                    65,19
 Profit for the Year

 Penghasilan Komprehensif Lain
                                                                              -                            -                        -                        0,00
 Other Comprehensive Income

 Laba Komprehensif Periode Berjalan
                                                                         (911.431)                     (551.735)                (359.696)                    65,19
 Comprehensive Income for the Period




 PT Petrotech Penta Nusa


 Kedudukan dan Tahun Operasi Komersial           Jakarta, 2004
 Domicile and Year of Commercial Operation

 Kegiatan Usaha                                  Jasa energi
 Business Activities                             Energy Services

 Dasar Hukum Pendirian                           Akta No. 26 tanggal 9 September 2004, Notaris FX Budi Santoso Isbandi, S.H. dan telah memperoleh pengesahan dari Menteri
 Legal Basis of Establishment                    Hukum dan Hak Asasi Manusia Republik Indonesia dengan Surat Keputusan No. C-27197 HT.01.01.TH.2004 tanggal 1 November
                                                 2004.
                                                 Deed No. 26 dated September 9, 2004, Notary FX Budi Santoso Isbandi, S.H. and has been approved by the Minister of Law and
                                                 Human Rights of the Republic of Indonesia through Decree No. C-27197 HT.01.01.TH.2004 dated November 1, 2004.

 Kepemilikan Saham                               PT Rukun Raharja Tbk: 99,90%
 Shareholding                                    PT Rukun Prima Sarana: 0,10%

 Modal Dasar                                     Rp30.000.000.000
 Authorized Capital

 Modal Disetor                                   Rp30.000.000.000
 Paid-up Capital

 Nominal per Saham                               Rp500.000
 Nominal per Share

 Status Operasional                              Beroperasi
 Operational Status                              In Operation

 Alamat                                          Jl. Thamrin Boulevard
 Address                                         Kel. Kebon Melati, Kec. Tanah Abang
                                                 Jakarta Pusat, 10230
                                                 T : (+6221) 2929 1053
                                                 F : (+6221) 2357 9803

 Susunan Direksi dan Dewan Komisaris             Dewan Komisaris | Board of Commissioner
 Composition of the Board of Directors and the   Ogi Rulino (Komisaris Utama | President Commissioner)
 Board of Commissioners                          Yasser Arafat (Komisaris | Commissioner)

                                                 Direksi | Board of Director
                                                 Windu Margono (Direktur Utama | President Director)
                                                 Rony Hartanto (Direktur | Director)




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                                                                                                                                       Kenaikan (Penurunan)
                                                                                                                                        Increase (Decrease)
Kinerja Keuangan                                                             2025                      2024
Financial Performance                                                       (USD)                     (USD)
                                                                                                                                                        Persentase (%)
                                                                                                                             Nominal (USD)
                                                                                                                                                        Percentage (%)

Laporan Posisi Keuangan Konsolidasian
Consolidated Statement of Financial Position

Jumlah Aset
                                                                        15.626.004                 6.611.941                   9.014.063                   136,33
Total Assets

Jumlah Liabilitas
                                                                        14.937.515                 5.545.060                   9.392.455                   169,38
Total Liabilities

Jumlah Ekuitas
                                                                         688.489                   1.066.881                   (378.392)                   (35,47)
Total Equity

Laporan Laba Rugi dan Penghasilan Komprehensif Lain Konsolidasian
Consolidated Statements of Profit or Loss and Other Comprehensive Income

Pendapatan Usaha
                                                                        6.006.333                  4.843.494                   1.171.839                    24,24
Revenue

Beban Pokok Pendapatan
                                                                        (4.366.948)                (3.128.165)                (1.238.783)                   39,60
Cost of Revenue

Laba Bruto
                                                                        1.639.385                  1.715.329                   (66.944)                     (3,92)
Gross Profit

Laba Sebelum Beban Pajak Penghasilan
                                                                         526.982                    214.054                    312.928                     146,19
Profit Before Income Tax

Laba Tahun Berjalan
                                                                         565.537                    195.700                    369.837                     188,98
Profit for the Year

Penghasilan Komprehensif Lain
                                                                         (899.289)                  (16.304)                   (882.985)                  5.415,76
Other Comprehensive Income

Laba Komprehensif Periode Berjalan
                                                                         (333.752)                  179.396                    (513.148)                   (286,04)
Comprehensive Income for the Period




PT Raharja Daya Energi


Kedudukan dan Tahun Operasi Komersial           Jakarta, 2015
Domicile and Year of Commercial Operation

Kegiatan Usaha                                  Investasi
Business Activities                             Investment

Dasar Hukum Pendirian                           Akta Pendirian No. 1 tanggal 1 September 2014 dibuat di hadapan Rini Yulianti, S.H dan telah memperoleh pengesahan oleh
Legal Basis of Establishment                    Menteri Hukum dan Hak Asasi Manusia berdasarkan Surat Keputusan No. AHU-24289.40.10.2014 tanggal 11 September 2014.
                                                Deed of Establishment No. 1 dated September 1, 2014 made before Rini Yulianti, S.H and has been approved by the Minister of
                                                Law and Human Rights based on Decree No. AHU-24289.40.10.2014 dated September 11, 2014.

Kepemilikan Saham                               PT Rukun Raharja Tbk: 99,00%
Shareholding                                    PT Rukun Prima Sarana: 1,00%"

Modal Dasar                                     Rp20.000.000.000
Authorized Capital

Modal Disetor                                   Rp5.000.000.000
Paid-up Capital

Nominal per Saham                               Rp1.000.000
Nominal per Share

Status Operasional                              Belum Beroperasi
Operational Status                              Not Yet In Operation

Alamat                                          Office Park Thamrin Residences A01-05
Address                                         Jl. Thamrin Boulevard
                                                Kel. Kebon Melati, Kec. Tanah Abang
                                                Jakarta Pusat, 10230
                                                T : (+6221) 2929 1053
                                                F : (+6221) 2357 9803

Susunan Direksi dan Dewan Komisaris             Dewan Komisaris | Board of Commissioner
Composition of the Board of Directors and the   Ogi Rulino (Komisaris | Commissioner)
Board of Commissioners
                                                Direksi | Board of Directors
                                                Wilson Kurniawan (Direktur | Director)




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                                                                                                                 Kenaikan (Penurunan)
                                                                                                                  Increase (Decrease)
 Kinerja Keuangan                                                            2025            2024
 Financial Performance                                                      (USD)           (USD)
                                                                                                                                Persentase (%)
                                                                                                      Nominal (USD)
                                                                                                                                Percentage (%)

 Laporan Posisi Keuangan Konsolidasian
 Consolidated Statement of Financial Position

 Jumlah Aset
                                                                           78.004          85.141       (7.137)                     (8,38)
 Total Assets

 Jumlah Liabilitas
                                                                           188.805        189.087        (282)                      (0,15)
 Total Liabilities

 Jumlah Ekuitas
                                                                       (110.801)          (103.946)     (6.855)                     6,59
 Total Equity

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

 Pendapatan Usaha
                                                                              -               -            -                        0,00
 Revenue

 Beban Pokok Pendapatan
                                                                              -               -            -                        0,00
 Cost of Revenue

 Laba Bruto
                                                                              -               -            -                        0,00
 Gross Profit

 Laba Sebelum Beban Pajak Penghasilan
                                                                           (6.855)         (8.310)       1.455                     (17,51)
 Profit Before Income Tax

 Laba Tahun Berjalan
                                                                           (6.855)         (8.310)       1.455                     (17,51)
 Profit for the Year

 Penghasilan Komprehensif Lain
                                                                              -               -            -                        0,00
 Other Comprehensive Income

 Laba Komprehensif Periode Berjalan
                                                                           (6.855)         (8.310)       1.455                     (17,51)
 Comprehensive Income for the Period




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PT Raharja Energi Cepu Tbk


Kedudukan dan Tahun Operasi Komersial            Jakarta, 2007
Domicile and Year of Commercial Operation

Kegiatan Usaha                                   Investasi
Business Activities                              Investment

Dasar Hukum Pendirian                            Akta Notaris No. 7 tanggal 16 Oktober 2006 dari Indah Setyaningsih, S.H dan telah disahkan oleh Menteri Hukum dan Hak Asasi
Legal Basis of Establishment                     Manusia Republik Indonesia dalam Surat Keputusan No. W7-06263 HT.01.01-TH.2007 tanggal 7 Juni 2007 dan telah diumumkan
                                                 dalam Berita Acara Republik Indonesia No. 18940, Tambahan No. 58, tanggal 21 Juli 2007.
                                                 Notarial Deed No. 7 dated October 16, 2006 from Indah Setyaningsih, S.H and has been approved by the Minister of Law and Human
                                                 Rights of the Republic of Indonesia in Decree No. W7-06263 HT.01.01-TH.2007 dated June 7, 2007 and has been announced in the
                                                 Official Gazette of the Republic of Indonesia No. 18940, Supplement No. 58, dated July 21, 2007

Kepemilikan Saham                                PT Rukun Raharja Tbk: 69,02%
Shareholding                                     Masyarakat Non Warkat: 30,98%

Modal Dasar                                      Rp100.000.000.000
Authorized Capital

Modal Disetor                                    Rp25.250.000.000
Paid-up Capital

Nominal per Saham                                Rp10
Nominal per Share

Status Operasional                               Beroperasi
Operational Status                               In Operation

Alamat                                           Office Park Thamrin Residence A01-05
Address                                          Jl. Thamrin Boulevard
                                                 Kel. Kebon Melati, Kec. Tanah Abang
                                                 Jakarta Pusat, 10230
                                                 T : (+6221) 2357 9812
                                                 F : (+6221) 2357 9813

Susunan Direksi dan Dewan Komisaris              Dewan Komisaris | Board of Commissioner
Composition of the Board of Directors and the    Orias Petrus Moedak (Komisaris Utama | President Commissioner)
Board of Commissioners                           Taufik Ahmad (Komisaris Independen | Independent Commissioner)
                                                 Merly (Komisaris | Commissioner)

                                                 Direksi | Board of Directors
                                                 Sumantri (Direktur Utama | President Director)
                                                 Alexandra Sinta Wahjudewanti (Direktur | Director)
                                                 Adrian Hartadi (Direktur | Director)




                                                                                                                                          Kenaikan (Penurunan)
                                                                                                                                           Increase (Decrease)
Kinerja Keuangan                                                              2025                        2024
Financial Performance                                                        (USD)                       (USD)
                                                                                                                                                           Persentase (%)
                                                                                                                                Nominal (USD)
                                                                                                                                                           Percentage (%)

Laporan Posisi Keuangan Keuangan Konsolidasian
Consolidated Statements of Financial Position

Jumlah Aset
                                                                         76.019.502                   52.824.351                 23.195.151                     43,91
Total Assets

Jumlah Liabilitas
                                                                         19.415.320                   25.424.451                 (6.009.131)                   (23,64)
Total Liabilities

Jumlah Ekuitas
                                                                         56.604.182                   27.399.900                 29.204.282                    106,59
Total Equity




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                                                                                                                                            Kenaikan (Penurunan)
                                                                                                                                             Increase (Decrease)
  Kinerja Keuangan                                                              2025                      2024
  Financial Performance                                                        (USD)                     (USD)
                                                                                                                                                            Persentase (%)
                                                                                                                                Nominal (USD)
                                                                                                                                                            Percentage (%)

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

  Pendapatan Usaha
                                                                           49.313.956                57.743.447                  (8.429.491)                   (14,60)
  Revenue

  Beban Pokok Pendapatan
                                                                           (25.229.288)              (35.298.295)                10.069.007                    (28,53)
  Cost of Revenue

  Laba Bruto
                                                                           24.084.668                22.445.152                   1.639.516                     7,30
  Gross Profit

  Laba Sebelum Beban Pajak Penghasilan
                                                                           26.025.017                24.769.233                   1.255.784                     5,07
  Profit Before Income Tax

  Laba Tahun Berjalan
                                                                           15.204.016                13.955.586                   1.248.430                     8,95
  Profit for the Year

  Penghasilan Komprehensif Lain
                                                                              (2.719)                   (2.644)                      (75)                       2,84
  Other Comprehensive Income

  Laba Komprehensif Periode Berjalan
                                                                           15.201.297                13.952.942                   1.248.355                     8,95
  Comprehensive Income for the Period




  PT Rukun Prima Sarana


  Kedudukan dan Tahun Operasi Komersial           Jakarta, 2015
  Domicile and Year of Commercial Operation

  Kegiatan Usaha                                  Energi*)
  Business Activities                             Energy*)

  Dasar Hukum Pendirian                           Akta Pendirian No. 26 tanggal 23 Mei 2012 yang dibuat dihadapan Rini Yulianti, S.H, dan telah disahkan oleh Menteri Hukum dan
  Legal Basis of Establishment                    Hak Asasi Manusia Republik Indonesia No. AHU-27733.AH.01.01 tanggal 24 Mei 2012.
                                                  Deed of Establishment No. 26 dated May 23, 2012 drawn up before Rini Yulianti, S.H, and approved by the Minister of Law and
                                                  Human Rights of the Republic of Indonesia No. AHU-27733.AH.01.01 dated May 24, 2012.

  Kepemilikan Saham                               PT Rukun Raharja Tbk: 97,50%
  Shareholding                                    Djauhar Maulidi: 2,50%

  Modal Dasar                                     Rp40.004.000.000
  Authorized Capital

  Modal Disetor                                   Rp10.001.000.000
  Paid-up Capital

  Nominal per Saham                               Rp1.000.000
  Nominal per Share

  Status Operasional                              Belum Beroperasi
  Operational Status                              Not Yet In Operation

  Alamat                                          Office Park Thamrin Residences A01-05
  Address                                         Jl. Thamrin Boulevard
                                                  Kel. Kebon Melati, Kec. Tanah Abang
                                                  Jakarta Pusat, 10230
                                                  T : (+6221) 2929 1053
                                                  F : (+6221) 2357 9803

  Susunan Direksi dan Dewan Komisaris             Dewan Komisaris | Board of Commissioners
  Composition of the Board of Directors and the   Djauhar Maulidi (Komisaris | Commissioner)
  Board of Commissioners
                                                  Direksi | Board of Directors
                                                  Ogi Rulino (Direktur | Director)




*) Tidak menjalankan aktivitas komersial
*) Not conducting commercial activities




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                                                                                                                                           Kenaikan (Penurunan)
                                                                                                                                            Increase (Decrease)
Kinerja Keuangan                                                             2025                        2024
Financial Performance                                                       (USD)                       (USD)
                                                                                                                                                           Persentase (%)
                                                                                                                               Nominal (USD)
                                                                                                                                                           Percentage (%)

Laporan Posisi Keuangan
Statement of Financial Position

Jumlah Aset
                                                                          611.950                     633.729                     (21.779)                     (3,44)
Total Assets

Jumlah Liabilitas
                                                                          11.861                      11.508                        353                         3,07
Total Liabilities

Jumlah Ekuitas
                                                                          600.089                     622.221                     (22.132)                     (3,56)
Total Equity

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

Pendapatan Usaha
                                                                                                         -                           -                          0,00
Revenue

Beban Pokok Pendapatan
                                                                             -                           -                           -                          0,00
Cost of Revenue

Laba Bruto
                                                                             -                           -                           -                          0,00
Gross Profit

Rugi Sebelum Beban Pajak Penghasilan
                                                                          (22.132)                    (28.882)                     6.750                       (23,37)
Profit Before Income Tax

Rugi Tahun Berjalan
                                                                          (22.132)                    (28.882)                     6.750                       (23,37)
Profit for the Year

Penghasilan Komprehensif Lain
                                                                             -                           -                           -                          0,00
Other Comprehensive Income

Rugi Komprehensif Periode Berjalan
                                                                          (22.132)                    (28.882)                     6.750                       (23,37)
Comprehensive Income for the Period




PT Raharja Energi Sentosa


Kedudukan dan Tahun Operasi Komersial           Jakarta, 2017
Domicile and Year of Commercial Operation

Kegiatan Usaha                                  Energi*)
Business Activities                             Energy*)

Dasar Hukum Pendirian                           Akta No. 22 Tanggal 26 Mei 2017 yang dibuat oleh Rini Yulianti, SH dan telah memperoleh pengesahan dari Menteri Hukum dan
Legal Basis of Establishment                    Hak Asasi Manusia Republik Indonesia dengan Surat Keputusan No. AHU- 0024751.AH.01.01.TAHUN 2017 Tanggal 30 Mei 2017.
                                                Deed No. 22 dated May 26, 2017, made by Rini Yulianti, SH, and has been ratified by the Minister of Law and Human Rights of the
                                                Republic of Indonesia by Decree No. AHU-0024751.AH.01.01.TAHUN 2017 dated May 30, 2017

Kepemilikan Saham                               PT Rukun Raharja Tbk: 99,00%
Shareholding                                    PT Rukun Prima Sarana: 1,00%

Modal Dasar                                     Rp20.000.000.000
Authorized Capital

Modal Disetor                                   Rp10.100.000.000
Paid-up Capital

Nominal per Saham                               Rp1.000.000
Nominal per Share

Status Operasional                              Belum Beroperasi
Operational Status                              Not Yet In Operation

Alamat                                          Office Park Thamrin Residences Unit RA
Address                                         Jl. Thamrin Boulevard A No.1-5
                                                Kel. Kebon Melati, Kec. Tanah Abang
                                                Jakarta Pusat, 10230
                                                T : (+6221) 2929 1053
                                                F : (+6221) 2357 9803




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                                                                                                                       PT Rukun Raharja Tbk    2025




  PT Raharja Energi Sentosa


  Susunan Direksi dan Dewan Komisaris             Dewan Komisaris | Board of Commissioners
  Composition of the Board of Directors and the   Djauhar Maulidi (Komisaris | Commissioner)
  Board of Commissioners                          Direksi | Board of Directors
                                                  Ogi Rulino (Direktur | Director)




*) Tidak menjalankan aktivitas komersial
*) Not conducting commercial activities



                                                                                                                   Kenaikan (Penurunan)
                                                                                                                    Increase (Decrease)
  Kinerja Keuangan                                                           2025                 2024
  Financial Performance                                                     (USD)                (USD)
                                                                                                                                    Persentase (%)
                                                                                                          Nominal (USD)
                                                                                                                                    Percentage (%)

  Laporan Posisi Keuangan
  Statement of Financial Position

  Jumlah Aset
                                                                          601.836              624.923      (23.087)                    (3,69)
  Total Assets

  Jumlah Liabilitas
                                                                             -                    -            -                        0,00
  Total Liabilities

  Jumlah Ekuitas
                                                                          601.836              624.923      (23.087)                    (3,69)
  Total Equity

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

  Pendapatan Usaha
                                                                             -                    -            -                        0,00
  Revenue

  Beban Pokok Pendapatan
                                                                             -                    -            -                        0,00
  Cost of Revenue

  Laba Bruto
                                                                             -                    -            -                        0,00
  Gross Profit

  Rugi Sebelum Beban Pajak Penghasilan
                                                                          (23.087)             (33.549)     10.462                     (31,18)
  Profit Before Income Tax

  Rugi Tahun Berjalan
                                                                          (23.087)             (33.549)     10.462                     (31,18)
  Profit for the Year

  Penghasilan Komprehensif Lain
                                                                             -                    -            -                        0,00
  Other Comprehensive Income

  Rugi Komprehensif Periode Berjalan
                                                                          (23.087)             (33.549)     10.462                     (31,18)
  Comprehensive Income for the Period




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 PT Heksa Energi Mitraniaga


 Kedudukan dan Tahun Operasi Komersial           Jakarta, 2020
 Domicile and Year of Commercial Operation

 Kegiatan Usaha                                  Jasa penyedia fasilitas LPG*)
 Business Activities                             LPG facility supply services*)

 Dasar Hukum Pendirian                           Akta No. 14 tanggal 30 Juli 2019, Notaris Mohammad Turman, S.H.
 Legal Basis of Establishment                    Deed No. 14 dated July 30, 2019, Notary Mohammad Turman, S.H.

 Kepemilikan Saham                               PT Triguna Internusa Pratama: 85,00%
 Shareholding                                    Ricky Hadianto: 8,30%
                                                 FX Sigit Luhur Prabowo: 6,70%

 Modal Dasar                                     Rp10.000.000.000
 Authorized Capital

 Modal Disetor                                   Rp2.500.000.000
 Paid-up Capital

 Nominal per Saham                               Rp100.000
 Nominal per Share

 Status Operasional                              Beroperasi
 Operational Status                              In Operation

 Alamat                                          Office Park Thamrin Residence B07-08
 Address                                         Jl. Thamrin Boulevard
                                                 Kel. Kebon Melati, Kec. Tanah Abang
                                                 Jakarta Pusat, 10230
                                                 T : (+6221) 2357 9802
                                                 F : (+6221) 2357 1097

 Susunan Direksi dan Dewan Komisaris             Dewan Komisaris | Board of Commissioners
 Composition of the Board of Directors and the   Ogi Rulino (Komisaris Utama | President Commissioner)
 Board of Commissioners                          Budi Umar Senoadji (Komisaris | Commissioner)
                                                 Direksi | Board of Directors
                                                 Faizal Al Fariz (Direktur Utama | President Director)
                                                 Ricky Hadianto (Direktur | Director)




*) LPG = Gas minyak cair
Liquefied Petroleum Gas


                                                                                                                               Kenaikan (Penurunan)
                                                                                                                                Increase (Decrease)
 Kinerja Keuangan                                                              2025                       2024
 Financial Performance                                                        (USD)                      (USD)
                                                                                                                                                Persentase (%)
                                                                                                                      Nominal (USD)
                                                                                                                                                Percentage (%)

 Laporan Posisi Keuangan
 Statement of Financial Position

 Jumlah Aset
                                                                           2.290.211               4.562.150           (2.271.939)                  (49,80)
 Total Assets

 Jumlah Liabilitas
                                                                            467.035                3.250.738           (2.783.703)                  (85,63)
 Total Liabilities

 Jumlah Ekuitas
                                                                           1.823.176               1.311.412            511.764                     39,02
 Total Equity

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

 Pendapatan Usaha
                                                                           3.937.000               2.979.663            957.337                     32,13
 Revenue

 Beban Pokok Pendapatan
                                                                          (2.566.887)             (1.729.241)          (837.646)                    48,44
 Cost of Revenue

 Laba Bruto
                                                                           1.370.113               1.250.422            119.691                      9,57
 Gross Profit

 Laba Sebelum Beban Pajak Penghasilan
                                                                            611.780                 446.553             165.227                     37,00
 Profit Before Income Tax

 Laba Tahun Berjalan
                                                                            512.592                 336.086             176.506                     52,52
 Profit for the Year




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                                                                                                                                 Kenaikan (Penurunan)
                                                                                                                                  Increase (Decrease)
 Kinerja Keuangan                                                             2025                        2024
 Financial Performance                                                       (USD)                       (USD)
                                                                                                                                                Persentase (%)
                                                                                                                      Nominal (USD)
                                                                                                                                                Percentage (%)

 Penghasilan Komprehensif Lain
                                                                            (828)                         (56)           (772)                    1.378,57
 Other Comprehensive Income

 Laba Komprehensif Periode Berjalan
                                                                           511.764                     336.030          175.734                     52,30
 Comprehensive Income for the Period




 PT Raharja Energi Bohorok


 Kedudukan dan Tahun Operasi Komersial           Jakarta, 2020
 Domicile and Year of Commercial Operation

 Kegiatan Usaha                                  Jasa profesional*)
 Business Activities                             Professional Services*)

 Dasar Hukum Pendirian                           Akta No. 18 tanggal 17 September 2020, Notaris Rini Yulianti, S.H.
 Legal Basis of Establishment                    Deed No. 18 dated September 17, 2020, Notary Rini Yulianti, S.H

 Kepemilikan Saham                               PT Rukun Raharja Tbk: 100,00%
 Shareholding

 Modal Dasar                                     Rp 40.000.000.000
 Authorized Capital

 Modal Disetor                                   Rp 10.001.000.000
 Paid-up Capital

 Nominal per Saham                               Rp 1.000.000
 Nominal per Share

 Status Operasional                              Belum Beroperasi
 Operational Status                              In Operation

 Alamat                                          Office Park Thamrin Residence Blok A No. 01-05
 Address                                         Jl. Thamrin Boulevard
                                                 Kel. Kebon Melati, Kec. Tanah Abang
                                                 Jakarta Pusat, 10230
                                                 T : (+6221) 2357 9802
                                                 F : (+6221) 2357 1097

 Susunan Direksi dan Dewan Komisaris             Dewan Komisaris | Board of Commissioners
 Composition of the Board of Directors and the   Ogi Rulino (Komisaris | Commissioner)
 Board of Commissioners                          Direksi | Board of Directors
                                                 Wilson Kurniawan (Direktur | Director)



*) Tidak menjalankan aktivitas komersial
*) Not conducting commercial activities




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                                                                                                                                   Kenaikan (Penurunan)
                                                                                                                                    Increase (Decrease)
 Kinerja Keuangan                                                               2025                          2024
 Financial Performance                                                         (USD)                         (USD)
                                                                                                                                                  Persentase (%)
                                                                                                                        Nominal (USD)
                                                                                                                                                  Percentage (%)

 Laporan Posisi Keuangan
 Statement of Financial Position

 Jumlah Aset
                                                                             595.936                    618.797           (22.861)                    (3,69)
 Total Assets

 Jumlah Liabilitas
                                                                                -                             -               -                        0,00
 Total Liabilities

 Jumlah Ekuitas
                                                                             595.936                    618.797           (22.861)                    (3,69)
 Total Equity

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

 Pendapatan Usaha
                                                                                -                             -               -                        0,00
 Revenue

 Beban Pokok Pendapatan
                                                                                -                             -               -                        0,00
 Cost of Revenue

 Laba Bruto
                                                                                -                             -               -                        0,00
 Gross Profit

 Rugi Sebelum Beban Pajak Penghasilan
                                                                             (22.861)                   (29.944)           7.083                      (23,65)
 Profit Before Income Tax

 Rugi Tahun Berjalan
                                                                             (22.861)                   (29.944)           7.083                      (23,65)
 Profit for the Year

 Penghasilan Komprehensif Lain
                                                                                -                             -               -                        0,00
 Other Comprehensive Income

 Rugi Komprehensif Periode Berjalan
                                                                             (22.861)                   (29.944)           7.083                      (23,65)
 Comprehensive Income for the Period




 PT Karya Mineral Jaya


 Kedudukan dan Tahun Operasi Komersial           Jakarta, 2017
 Domicile and Year of Commercial Operation

 Kegiatan Usaha                                  Distributor Gas Alam*)
 Business Activities                             Natural Gas Distributor*)

 Dasar Hukum Pendirian                           Akta No. 68 tanggal 23 Februari 2017, Notaris Yulia, S.H.
 Legal Basis of Establishment                    Deed No. 68 dated February 23, 2017, Notary Yulia, S.H

 Kepemilikan Saham                               PT Rukun Raharja Tbk: 55,00%
 Shareholding                                    PT Mitra Sukses Usaha: 35,93%
                                                 PT Cemerlang Indah Sentosa: 9,07%

 Modal Dasar                                     Rp 29.221.000.000
 Authorized Capital

 Modal Disetor                                   Rp 29.221.000.000
 Paid-up Capital

 Nominal per Saham                               Rp 500.000 (seri A)
 Nominal per Share                               Rp 9.260.605 (seri B)

 Status Operasional                              Belum Beroperasi
 Operational Status                              Not Yet In Operation

 Alamat                                          Office Park Thamrin Residences Blok B 07-08
 Address                                         Jl. Thamrin Boulevard
                                                 Kel. Kebon Melati, Kec. Tanah Abang
                                                 Jakarta Pusat, 10230
                                                 T : (+6221) 2929 1053
                                                 F : (+6221) 2357 9803

 Susunan Direksi dan Dewan Komisaris             Dewan Komisaris | Board of Commissioners
 Composition of the Board of Directors and the   Ir. Iriawan Yulianto (Komisaris Utama | President Commissioner)
 Board of Commissioners                          Sumantri (Komisaris | Commissioner)
                                                 Direksi | Board of Directors
                                                 Agustinus Hendrayana (Direktur Utama | President Director)
                                                 Gunarno (Direktur | Director)


*) Tidak menjalankan aktivitas komersial
*) Not conducting commercial activities


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                                                                                                                              Kenaikan (Penurunan)
                                                                                                                               Increase (Decrease)
 Kinerja Keuangan                                                              2025                           2024
 Financial Performance                                                        (USD)                          (USD)
                                                                                                                                               Persentase (%)
                                                                                                                     Nominal (USD)
                                                                                                                                               Percentage (%)

 Laporan Posisi Keuangan
 Statement of Financial Position

 Jumlah Aset
                                                                            18.805                          20.534     (1.729)                     (8,42)
 Total Assets

 Jumlah Liabilitas
                                                                           215.042                          86.876     128.166                    147,53
 Total Liabilities

 Jumlah Ekuitas
                                                                           (196.237)                    (66.342)      (129.895)                   195,80
 Total Equity

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

 Pendapatan Usaha
                                                                               -                              -           -                        0,00
 Revenue

 Beban Pokok Pendapatan
                                                                               -                              -           -                        0,00
 Cost of Revenue

 Laba Bruto
                                                                               -                              -           -                        0,00
 Gross Profit

 Laba Sebelum Beban Pajak Penghasilan
                                                                           (137.327)                    (404.414)      267.087                    (66,04)
 Profit Before Income Tax

 Laba Tahun Berjalan
                                                                           (137.327)                    (404.414)      267.087                    (66,04)
 Profit for the Year

 Penghasilan Komprehensif Lain
                                                                             4.628                      522.556       (517.928)                   (99,11)
 Other Comprehensive Income

 Laba Komprehensif Periode Berjalan
                                                                           (132.699)                    118.142       (250.841)                  (212,32)
 Comprehensive Income for the Period




 PT Banawa Rezeki Optima


 Kedudukan dan Tahun Operasi Komersial           Jakarta, 2025
 Domicile and Year of Commercial Operation

 Kegiatan Usaha                                  Angkutan laut
 Business Activities                             Maritime Transportation

 Dasar Hukum Pendirian                           Akta No. 17 tanggal 30 Oktober 2025, Rini Yulianti, S.H.
 Legal Basis of Establishment                    Deed No. 17 dated Oktober 30, 2025, Rini Yulianti, S.H.

 Kepemilikan Saham                               PT Rukun Raharja Tbk: 100,00%
 Shareholding

 Modal Dasar                                     Rp231.000.000.000
 Authorized Capital

 Modal Disetor                                   Rp57.750.000.000
 Paid-up Capital

 Nominal per Saham                               Rp1.000.000
 Nominal per Share

 Status Operasional                              Belum Beroperasi
 Operational Status                              Not Yet In Operation

 Alamat                                          Office Park Thamrin Residences A01-05
 Address                                         Jl. Thamrin Boulevard
                                                 Kel. Kebon Melati, Kec. Tanah Abang
                                                 Jakarta Pusat, 10230

 Susunan Direksi dan Dewan Komisaris             Dewan Komisaris | Board of Commissioners
 Composition of the Board of Directors and the   Djauhar Maulidi (Komisaris | Commissioner)
 Board of Commissioners                          Direksi | Board of Directors
                                                 Manggara Triantoro (Direktur | Director)




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                                                                                                                            Kenaikan (Penurunan)
                                                                                                                             Increase (Decrease)
 Kinerja Keuangan                                                            2025                       2024
 Financial Performance                                                      (USD)                      (USD)
                                                                                                                                            Persentase (%)
                                                                                                                  Nominal (USD)
                                                                                                                                            Percentage (%)

 Laporan Posisi Keuangan
 Statement of Financial Position

 Jumlah Aset
                                                                         3.441.187                       -         3.441.187                    100,00
 Total Assets

 Jumlah Liabilitas
                                                                             -                           -              -                        0,00
 Total Liabilities

 Jumlah Ekuitas
                                                                         3.441.187                       -         3.441.187                    100,00
 Total Equity

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

 Pendapatan Usaha
                                                                             -                           -              -                        0,00
 Revenue

 Beban Pokok Pendapatan
                                                                             -                           -              -                        0,00
 Cost of Revenue

 Laba Bruto
                                                                             -                           -              -                        0,00
 Gross Profit

 Rugi Sebelum Beban Pajak Penghasilan
                                                                          (31.244)                       -          (31.244)                    100,00
 Profit Before Income Tax

 Rugi Tahun Berjalan
                                                                          (31.244)                       -          (31.244)                    100,00
 Profit for the Year

 Penghasilan Komprehensif Lain
                                                                             -                           -              -                        0,00
 Other Comprehensive Income

 Rugi Komprehensif Periode Berjalan
                                                                          (31.244)                       -          (31.244)                    100,00
 Comprehensive Income for the Period




Kepemilikan Tidak Langsung Melalui PT Triguna Internusa Pratama
Indirect Ownership Through PT Triguna Internusa Pratama



 PT Trimitra Cipta Mandiri


 Kedudukan dan Tahun Operasi Komersial           Jakarta, 2008
 Domicile and Year of Commercial Operation

 Kegiatan Usaha                                  Jasa pemeliharaan LPG
 Business Activities                             LPG maintenance services

 Dasar Hukum Pendirian                           Akta No. 19 tanggal 8 November 2000, Notaris Masneri, S.H.
 Legal Basis of Establishment                    Deed No. 19 dated November 8, 2000, Notary Masneri, S.H.

 Kepemilikan Saham                               PT Triguna Internusa Pratama: 99,00%
 Shareholding                                    PT Rukun Raharja Tbk: 1,00%

 Modal Dasar                                     Rp5.000.000.000
 Authorized Capital

 Modal Disetor                                   Rp5.000.000.000
 Paid-up Capital

 Nominal per Saham                               Rp1.000.000
 Nominal per Share

 Status Operasional                              Beroperasi
 Operational Status                              In Operation

 Alamat                                          Office Park Thamrin Residence B07-08
 Address                                         Jl. Thamrin Boulevard Kel. Kebon Melati, Kec. Tanah Abang
                                                 Jakarta Pusat, 10230
                                                 T : (+6221) 2357 9802
                                                 F : (+6221) 2357 1097

 Susunan Direksi dan Dewan Komisaris             Dewan Komisaris | Board of Commissioners
 Composition of the Board of Directors and the   Deny Dwiantoro (Komisaris | Commissioner)
 Board of Commissioners                          Direksi | Board of Directors
                                                 Fattah Hermana Putra (Direktur | Director)




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                                                               97
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                                                                                                                           Together Shaping Excellence For Sustainable Growth




                                                                                                                                       Kenaikan (Penurunan)
                                                                                                                                        Increase (Decrease)
Kinerja Keuangan                                                            2025                        2024
Financial Performance                                                      (USD)                       (USD)
                                                                                                                                                        Persentase (%)
                                                                                                                              Nominal (USD)
                                                                                                                                                        Percentage (%)

Laporan Posisi Keuangan
Statement of Financial Position

Jumlah Aset
                                                                        2.256.575                   1.720.097                    536.478                    31,19
Total Assets

Jumlah Liabilitas
                                                                         764.062                     506.233                     257.829                    50,93
Total Liabilities

Jumlah Ekuitas
                                                                        1.492.513                   1.213.864                    278.649                    22,96
Total Equity

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

Pendapatan Usaha
                                                                        3.275.263                   1.459.388                   1.815.875                   124,43
Revenue

Beban Pokok Pendapatan
                                                                        (2.651.482)                (1.024.168)                 (1.627.314)                  158,89
Cost of Revenue

Laba Bruto
                                                                         623.781                     435.220                     188.561                    43,33
Gross Profit

Laba Sebelum Beban Pajak Penghasilan
                                                                         398.367                     232.393                     165.974                    71,42
Profit Before Income Tax

Laba Tahun Berjalan
                                                                         280.523                     158.119                     122.404                    77,41
Profit for the Year

Penghasilan Komprehensif Lain
                                                                          (1.874)                      826                       (2.700)                   (326,88)
Other Comprehensive Income

Laba Komprehensif Periode Berjalan
                                                                         278.649                     158.945                     119.704                    75,31
Comprehensive Income for the Period




PT Bravo Delta Persada


Kedudukan dan Tahun Operasi Komersial           Jakarta, 2008
Domicile and Year of Commercial Operation

Kegiatan Usaha                                  Penampungan, Penjernihan dan Penyaluran air
Business Activities                             Water Storage, Purification and Distribution

Dasar Hukum Pendirian                           Akta No. 2 tanggal 14 November 2008, Notaris Betty Sri Ismartini Djokopranoto, S.H
Legal Basis of Establishment                    Deed No. 2 dated November 14, 2008, Notary Betty Sri Ismartini Djokopranoto, S.H

Kepemilikan Saham                               PT Triguna Internusa Pratama: 99,00%
Shareholding                                    PT Trimitra Cipta Mandiri: 1,00%

Modal Dasar                                     Rp12.500.000.000
Authorized Capital

Modal Disetor                                   Rp10.000.000.000
Paid-up Capital

Nominal per Saham                               Rp1.000.000
Nominal per Share

Status Operasional                              Beroperasi
Operational Status                              In Operation

Alamat                                          Office Park Thamrin Residence B07-08
Address                                         Jl. Thamrin Boulevard
                                                Kel. Kebon Melati, Kec. Tanah Abang
                                                Jakarta Pusat, 10230
                                                T : (+6221) 2357 9802
                                                F : (+6221) 2357 1097

Susunan Direksi dan Dewan Komisaris             Dewan Komisaris | Board of Commissioners
Composition of the Board of Directors and the   Ignatius Tri Handoyo (Komisaris | Commissioner)
Board of Commissioners                          Direksi | Board of Directors
                                                Ricardo Agung Pribadi (Direktur | Director)




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                                                                                                                                   PT Rukun Raharja Tbk    2025



                                                                                                                               Kenaikan (Penurunan)
                                                                                                                                Increase (Decrease)
 Kinerja Keuangan                                                              2025                           2024
 Financial Performance                                                        (USD)                          (USD)
                                                                                                                                                Persentase (%)
                                                                                                                      Nominal (USD)
                                                                                                                                                Percentage (%)

 Laporan Posisi Keuangan
 Statement of Financial Position

 Jumlah Aset
                                                                          1.249.942                    1.516.932       (266.990)                   (17,60)
 Total Assets

 Jumlah Liabilitas
                                                                           159.093                      180.410         (21.317)                   (11,82)
 Total Liabilities

 Jumlah Ekuitas
                                                                          1.090.849                    1.336.552       (245.673)                   (18,38)
 Total Equity

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

 Pendapatan Usaha
                                                                           254.722                      225.728         28.994                      12,84
 Revenue

 Beban Pokok Pendapatan
                                                                           (104.202)                    (116.022)       11.820                     (10,19)
 Cost of Revenue

 Laba Bruto
                                                                            150.520                     109.706         40.814                      37,20
 Gross Profit

 Laba Sebelum Beban Pajak Penghasilan
                                                                            86.895                          51.318      35.577                      69,33
 Profit Before Income Tax

 Laba Tahun Berjalan
                                                                            74.121                          (6.823)      29.626                     66,58
 Profit for the Year

 Penghasilan Komprehensif Lain
                                                                               -                              -            -                        0,00
 Other Comprehensive Income

 Laba Komprehensif Periode Berjalan
                                                                            74.121                          44.495       29.626                     66,58
 Comprehensive Income for the Period




 PT Sarana Infrastruktur Sejahtera


 Kedudukan dan Tahun Operasi Komersial           Jakarta, 2008
 Domicile and Year of Commercial Operation

 Kegiatan Usaha                                  Treatment air
 Business Activities                             Water Treatment

 Dasar Hukum Pendirian                           Akta No. 18 tanggal 30 Oktober 2025, Rini Yulianti, S.H.
 Legal Basis of Establishment                    Deed No. 18 dated Oktober 30, 2025, Rini Yulianti, S.H.

 Kepemilikan Saham                               PT Triguna Internusa Pratama: 99,99%
 Shareholding                                    PT Rukun Prima Sarana: 0,01%

 Modal Dasar                                     Rp11.000.000.000
 Authorized Capital

 Modal Disetor                                   Rp11.000.000.000
 Paid-up Capital

 Nominal per Saham                               Rp1.000.000
 Nominal per Share

 Status Operasional                              Belum Beroperasi
 Operational Status                              Not Yet In Operation

 Alamat                                          Office Park Thamrin Residences A01-05
 Address                                         Jl. Thamrin Boulevard
                                                 Kel. Kebon Melati, Kec. Tanah Abang
                                                 Jakarta Pusat, 10230

 Susunan Direksi dan Dewan Komisaris             Dewan Komisaris | Board of Commissioners
 Composition of the Board of Directors and the   Ogi Rulino (Komisaris | Commissioner)
 Board of Commissioners                          Direksi | Board of Directors
                                                 Andre C. Loogman (Direktur | Director)




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                                                                                   Together Shaping Excellence For Sustainable Growth




                                                                                                Kenaikan (Penurunan)
                                                                                                 Increase (Decrease)
Kinerja Keuangan                                                2025        2024
Financial Performance                                          (USD)       (USD)
                                                                                                                Persentase (%)
                                                                                      Nominal (USD)
                                                                                                                Percentage (%)

Laporan Posisi Keuangan
Statement of Financial Position

Jumlah Aset
                                                              655.464       -               -                       100,00
Total Assets

Jumlah Liabilitas
                                                                 -          -               -                        0,00
Total Liabilities

Jumlah Ekuitas
                                                              655.464       -               -                       100,00
Total Equity

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

Pendapatan Usaha
                                                                 -          -               -                        0,00
Revenue

Beban Pokok Pendapatan
                                                                 -          -               -                        0,00
Cost of Revenue

Laba Bruto
                                                                 -          -               -                        0,00
Gross Profit

Laba Sebelum Beban Pajak Penghasilan
                                                               234          -               -                       100,00
Profit Before Income Tax

Laba Tahun Berjalan
                                                               234          -               -                       100,00
Profit for the Year

Penghasilan Komprehensif Lain
                                                                 -          -               -                        0,00
Other Comprehensive Income

Laba Komprehensif Periode Berjalan
                                                               234          -               -                       100,00
Comprehensive Income for the Period




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                                                                                                                                            PT Rukun Raharja Tbk    2025


Kepemilikan Tidak Langsung Melalui PT Panji Raya Alamindo Tbk
Indirect Ownership Through PT Panji Raya Alamindo Tbk



 PT Energasindo Heksa Karya


 Kedudukan dan Tahun Operasi Komersial            Jakarta, 2005
 Domicile and Year of Commercial Operation

 Kegiatan Usaha                                   Distributor gas alam
 Business Activities                              Natural gas distributor

 Dasar Hukum Pendirian                            Akta No. 4 tanggal 18 September 1998, Notaris Syaril Mamora Siregar, S.H.
 Legal Basis of Establishment                     Deed No. 4 dated September 18, 1998, Notary Syaril Mamora Siregar, S.H

 Kepemilikan Saham                                PT Panji Raya Alamindo Tbk: 67,00%
 Shareholding                                     PT Rukun Raharja Tbk: 33,00%

 Modal Dasar                                      Rp240.000.000.000
 Authorized Capital

 Modal Disetor                                    Rp240.000.000.000
 Paid-up Capital

 Nominal per Saham                                Rp100.000
 Nominal per Share

 Status Operasional                               Beroperasi
 Operational Status                               In Operation

 Alamat                                           Office Park Thamrin Residences A01-05
 Address                                          Jl. Thamrin Boulevard
                                                  Kel. Kebon Melati, Kec. Tanah Abang
                                                  Jakarta Pusat, 10230
                                                  T : (+6221) 2357 9930
                                                  F : (+6221) 2357 9936

 Susunan Direksi dan Dewan Komisaris              Dewan Komisaris | Board of Commissioners
 Composition of the Board of Directors and the    Djauhar Maulidi (Komisaris Utama | President Commissioner)
 Board of Commissioners                           Muhammad Giri Ramanda Nazaputra Kiemas(Komisaris | Commissioner)
                                                  Masaaki Nishimura (Komisaris | Commissioner)

                                                  Direksi | Board of Directors
                                                  Agustinus Hendrayana (Direktur Utama | President Director)
                                                  Budi Sulistyo (Direktur | Director)
                                                  Masataka Sengoku (Direktur | Director)
                                                  Agus Dwiputranto (Direktur | Director)
                                                  Triyono (Direktur | Director)




                                                                                                                                      Kenaikan (Penurunan)
                                                                                                                                       Increase (Decrease)
 Kinerja Keuangan                                                                2025                     2024
 Financial Performance                                                          (USD)                    (USD)
                                                                                                                                                         Persentase (%)
                                                                                                                              Nominal (USD)
                                                                                                                                                         Percentage (%)

 Laporan Posisi Keuangan Keuangan Konsolidasian
 Consolidated Statements of Financial Position

 Jumlah Aset
                                                                             94.772.364              88.163.690                6.608.674                     7,50
 Total Assets

 Jumlah Liabilitas
                                                                             31.867.196              41.197.413               (9.330.217)                   (22,65)
 Total Liabilities

 Jumlah Ekuitas
                                                                             62.905.168              46.966.277               15.938.891                     33,94
 Total Equity

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

 Pendapatan Usaha
                                                                            149.073.770              143.207.953               5.865.817                     4,10
 Revenue

 Beban Pokok Pendapatan
                                                                            (125.151.278)           (120.401.636)             (4.749.642)                    3,94
 Cost of Revenue

 Laba Bruto
                                                                             23.922.492              22.806.317                1.116.175                     4,89
 Gross Profit

 Laba Sebelum Beban Pajak Penghasilan
                                                                             14.071.791              13.213.755                 858.036                      6,49
 Profit Before Income Tax




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                                                                                                                                Kenaikan (Penurunan)
                                                                                                                                 Increase (Decrease)
 Kinerja Keuangan                                                              2025                         2024
 Financial Performance                                                        (USD)                        (USD)
                                                                                                                                                 Persentase (%)
                                                                                                                       Nominal (USD)
                                                                                                                                                 Percentage (%)

 Laba Tahun Berjalan
                                                                          11.340.777                   10.596.782        743.995                      7,02
 Profit for the Year

 Penghasilan Komprehensif Lain
                                                                           (161.024)                      7.052         (168.076)                  (2.383,38)
 Other Comprehensive Income

 Laba Komprehensif Periode Berjalan
                                                                          11.179.753                   10.603.834        575.919                      5,43
 Comprehensive Income for the Period




 PT Prima Energi Raharja


 Kedudukan dan Tahun Operasi Komersial           Jakarta, 2015
 Domicile and Year of Commercial Operation

 Kegiatan Usaha                                  Energi*)
 Business Activities                             Energy*)

 Dasar Hukum Pendirian                           Akta No. 35 tanggal 25 Mei 2012, Notaris Rini Yulianti, S.H.
 Legal Basis of Establishment                    Deed No. 35 dated May 25, 2012, Notary Rini Yulianti, S.H.

 Kepemilikan Saham                               PT Panji Raya Alamindo Tbk : 99,93%
 Shareholding                                    PT Rukun Raharja Tbk : 0,07%

 Modal Dasar                                     Rp40.004.000.000
 Authorized Capital

 Modal Disetor                                   Rp14.325.000.000
 Paid-up Capital

 Nominal per Saham                               Rp1.000.000
 Nominal per Share

 Status Operasional                              Beroperasi
 Operational Status                              In Operation

 Alamat                                          Office Park Thamrin Residences A01-05
 Address                                         Jl. Thamrin Boulevard
                                                 Kel. Kebon Melati, Kec. Tanah Abang
                                                 Jakarta Pusat, 10230
                                                 T : (+6221) 2357 9802
                                                 F : (+6221) 2929 1097

 Susunan Direksi dan Dewan Komisaris             Dewan Komisaris | Board of Commissioners
 Composition of the Board of Directors and the   Ogi Rulino (Komisaris Utama | President Commissioner)
 Board of Commissioners                          Wilson Kurniawan (Komisaris | Commissioner)
                                                 Masaaki Nishimura (Komisaris | Commissioner)

                                                 Direksi | Board of Directors
                                                 Agustinus Hendrayana (Direktur Utama | President Director)
                                                 Masataka Sengoku (Direktur | Director)
                                                 Agus Dwi Putranto (Direktur | Director)


*) Tidak menjalankan aktivitas komersial
*) Not conducting commercial activities


                                                                                                                                Kenaikan (Penurunan)
                                                                                                                                 Increase (Decrease)
 Kinerja Keuangan                                                              2025                         2024
 Financial Performance                                                        (USD)                        (USD)
                                                                                                                                                 Persentase (%)
                                                                                                                       Nominal (USD)
                                                                                                                                                 Percentage (%)

 Laporan Posisi Keuangan
 Statement of Financial Position

 Jumlah Aset
                                                                            568.575                      627.799         (59.224)                    (9,43)
 Total Assets

 Jumlah Liabilitas
                                                                            249.605                      256.317          (6.712)                    (2,62)
 Total Liabilities

 Jumlah Ekuitas
                                                                            318.970                      371.482         (52.512)                    (14,14)
 Total Equity




                                                                                   102
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                                                                                                        Laporan Tahunan
                                                                                                    PT Rukun Raharja Tbk    2025



                                                                                                  Kenaikan (Penurunan)
                                                                                                   Increase (Decrease)
 Kinerja Keuangan                                                 2025         2024
 Financial Performance                                           (USD)        (USD)
                                                                                                                 Persentase (%)
                                                                                       Nominal (USD)
                                                                                                                 Percentage (%)

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

 Pendapatan Usaha
                                                                  -          8.557       (8.577)                   (100,00)
 Revenue

 Beban Pokok Pendapatan
                                                                  -         (36.330)     36.330                    (100,00)
 Cost of Revenue

 Laba Bruto
                                                                  -         (27.773)      27.753                   (100,00)
 Gross Profit

 Rugi Sebelum Beban Pajak Penghasilan
                                                               (52.512)     (59.207)      6.695                     (11,31)
 Loss Before Income Tax

 Laba Tahun Berjalan
                                                               (52.512)     (59.207)      6.695                     (11,31)
 Profit for the Year

 Penghasilan Komprehensif Lain
                                                                  -            -            -                        0,00
 Other Comprehensive Income

 Laba Komprehensif Periode Berjalan
                                                                (52.512)    (59.207)      6.695                     (11,31)
 Comprehensive Income for the Period




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                                                                                                                      Together Shaping Excellence For Sustainable Growth




Kepemilikan Tidak Langsung Melalui PT Energasindo Heksa Karya
Indirect Ownership Through PT Energasindo Heksa Karya


 PT Majuko Utama Indonesia (Kepemilikan melalui PT Energasindo Heksa Karya)
 PT Majuko Utama Indonesia (Ownership Through PT Energasindo Heksa Karya


 Kedudukan dan Tahun Operasi Komersial           Jakarta, 2003
 Domicile and Year of Commercial Operation

 Kegiatan Usaha                                  Jasa transportasi gas
 Business Activities                             Gas transportation services

 Dasar Hukum Pendirian                           Akta No. 10 tanggal 23 Juli 2003, Notaris Rosliana, S.H.
 Legal Basis of Establishment                    Deed No. 10 dated July 23, 2003, Notary Rosliana, S.H

 Kepemilikan Saham                               PT Energasindo Heksa Karya : 99,99%
 Shareholding                                    PT Rukun Raharja Tbk : 0,01%

 Modal Dasar                                     Rp10.000.000.000
 Authorized Capital

 Modal Disetor                                   Rp10.000.000.000
 Paid-up Capital

 Nominal per Saham                               Rp100.000
 Nominal per Share

 Status Operasional                              Beroperasi
 Operational Status                              In Operation

 Alamat                                          Office Park Thamrin Residences Blok A.01-05
 Address                                         Jl. Thamrin Residence Boulevard
                                                 Kel. Kebon Melati, Kec. Tanah Abang
                                                 Jakarta Pusat, 10230

 Susunan Direksi dan Dewan Komisaris             Dewan Komisaris | Board of Commissioners
 Composition of the Board of Directors and the   Budi Sulistyo (Komisaris Utama | President Commissioner)
 Board of Commissioners                          Jugi Prajogo (Komisaris | Commissioner)

                                                 Direksi | Board of Directors
                                                 Tommy Primansyah (Direktur Utama | President Director)
                                                 Mashuna Ulie Azmi (Direktur | Director)




                                                                                                                                   Kenaikan (Penurunan)
                                                                                                                                    Increase (Decrease)
 Kinerja Keuangan                                                               2025                          2024
 Financial Performance                                                         (USD)                         (USD)
                                                                                                                                                   Persentase (%)
                                                                                                                         Nominal (USD)
                                                                                                                                                   Percentage (%)

 Laporan Posisi Keuangan Konsolidasian
 Consolidated Statement of Financial Position

 Jumlah Aset
                                                                          3.673.902                    2.478.720           1.195.182                   48,22
 Total Assets

 Jumlah Liabilitas
                                                                          2.409.396                    1.248.720          1.160.676                    92,95
 Total Liabilities

 Jumlah Ekuitas
                                                                          1.264.506                    1.230.000            34.506                      2,81
 Total Equity

 Laporan Laba Rugi dan Penghasilan Komprehensif Lain Konsolidasian
 Consolidated Statements of Profit or Loss and Other Comprehensive Income

 Pendapatan Usaha
                                                                          1.578.377                    1.196.886           381.491                     31,87
 Revenue

 Beban Pokok Pendapatan
                                                                          (864.034)                    (508.685)          (355.349)                    69,86
 Cost of Revenue

 Laba Bruto
                                                                           714.343                      688.201             26.142                      3,80
 Gross Profit

 Laba Sebelum Beban Pajak Penghasilan
                                                                           142.797                      195.379            (52.582)                    (26,91)
 Profit Before Income Tax

 Laba Tahun Berjalan
                                                                               94.344                   115.198            (20.854)                    (18,10)
 Profit for the Year

 Penghasilan Komprehensif Lain
                                                                            (4.838)                         (5.510)          672                       (12,20)
 Other Comprehensive Income

 Laba Komprehensif Periode Berjalan
                                                                            89.506                      109.688            (20.182)                    (18,40)
 Comprehensive Income for the Period



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                                                                                                                                        Laporan Tahunan
                                                                                                                                    PT Rukun Raharja Tbk    2025



 PT Artha Prima Energy


 Kedudukan dan Tahun Operasi Komersial           Jawa Barat, 2017
 Domicile and Year of Commercial Operation       West Java, 2017

 Kegiatan Usaha                                  Perdagangan CNG*)
 Business Activities                             CNG Trading*)

 Dasar Hukum Pendirian                           Akta No. 3 Tanggal 17 Juli 2017, Notaris Refki Ridwan, S.H, M.B.A.
 Legal Basis of Establishment                    Deed No. 3 Dated July 17, 2017, Notary Refki Ridwan, S.H, M.B.A.

 Kepemilikan Saham                               PT Energasindo Heksa Karya: 99,995%
 Shareholding                                    Ny. Dee Valent: 0,005%

 Modal Dasar                                     Rp10.000.000.000
 Authorized Capital

 Modal Disetor                                   Rp10.000.000.000
 Paid-up Capital

 Nominal per Saham                               Rp500.000
 Nominal per Share

 Status Operasional                              Beroperasi
 Operational Status                              In Operation

 Alamat                                          Jl. Olympic Raya Kav. C2 No. 2
 Address                                         Kab. Bogor, Jawa Barat

 Susunan Direksi dan Dewan Komisaris             Dewan Komisaris | Board of Commissioners
 Composition of the Board of Directors and the   Budi Sulistyo (Komisaris Utama | President Commissioner)
 Board of Commissioners                          Masataka Sengoku (Komisaris | Commissioner)

                                                 Direksi | Board of Directors
                                                 Dee Valent (Direktur Utama | President Director)
                                                 Agus Dwi Putranto (Direktur | Director)



*)CNG = gas alam terkompresi
        Compressed natural gas

                                                                                                                              Kenaikan (Penurunan)
                                                                                                                               Increase (Decrease)
 Kinerja Keuangan                                                             2025                        2024
 Financial Performance                                                       (USD)                       (USD)
                                                                                                                                                 Persentase (%)
                                                                                                                      Nominal (USD)
                                                                                                                                                 Percentage (%)

 Laporan Posisi Keuangan
 Statement of Financial Position

 Jumlah Aset
                                                                         12.673.111                   11.540.629       1.132.482                     9,81
 Total Assets

 Jumlah Liabilitas
                                                                          9.771.154                   9.129.158         641.996                      7,03
 Total Liabilities

 Jumlah Ekuitas
                                                                          2.901.957                   2.411.471         490.486                      20,34
 Total Equity

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

 Pendapatan Usaha
                                                                         16.810.006                   13.178.423       3.631.583                     27,56
 Revenue

 Beban Pokok Pendapatan
                                                                        (14.936.961)                 (11.426.893)     (3.510.068)                    30,72
 Cost of Revenue

 Laba Bruto
                                                                          1.873.045                   1.751.530         121.515                      6,94
 Gross Profit

 Laba Sebelum Beban Pajak Penghasilan
                                                                          1.072.094                   1.036.473         35.621                       3,44
 Profit Before Income Tax

 Laba Tahun Berjalan
                                                                           924.070                     898.941          25.129                       2,80
 Profit for the Year

 Penghasilan Komprehensif Lain
                                                                           (8.516)                      (2.515)         (6.001)                     238,61
 Other Comprehensive Income

 Laba Komprehensif Periode Berjalan
                                                                           915.554                     896.426          19.128                       2,13
 Comprehensive Income for the Period




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2025        Annual Report
            PT Rukun Raharja Tbk
                                                                                                                  Together Shaping Excellence For Sustainable Growth




  PT Bumi Karya Artha


 Kedudukan dan Tahun Operasi Komersial           Jakarta, 2018
 Domicile and Year of Commercial Operation

 Kegiatan Usaha                                  Energi*)
 Business Activities                             Energy*)

 Dasar Hukum Pendirian                           Akta No. 18 tanggal 26 April 2006, Notaris Achmad Sulomo, S.H.
 Legal Basis of Establishment                    Deed No. 18 dated April 26, 2006, Notary Achmad Sulomo, S.H.

 Kepemilikan Saham                               PT Energasindo Heksa Karya: 99,00%
 Shareholding                                    PT Rukun Raharja Tbk: 1,00%

 Modal Dasar                                     Rp3.000.000.000
 Authorized Capital

 Modal Disetor                                   Rp1.000.000.000
 Paid-up Capital

 Nominal per Saham                               Rp100.000
 Nominal per Share

 Status Operasional                              Belum Beroperasi
 Operational Status                              Not Yet In Operation

 Alamat                                          Komplek Tebet Mas Indah
 Address                                         Jalan Tebet Mas Indah VI / B 13
                                                 Tebet - Jakarta Selatan
                                                 Telpon : 021 8300 445
                                                 Fax : 021 831 2495

 Susunan Direksi dan Dewan Komisaris             Dewan Komisaris | Board of Commissioners
 Composition of the Board of Directors and the   Budi Sulistyo (Komisaris | Commissioner)
 Board of Commissioners
                                                 Direksi | Board of Directors
                                                 Agustinus Hendrayana (Direktur | Director)


*) Tidak menjalankan aktivitas komersial
*) Not conducting commercial activities


                                                                                                                               Kenaikan (Penurunan)
                                                                                                                                Increase (Decrease)
 Kinerja Keuangan                                                             2025                       2024
 Financial Performance                                                       (USD)                      (USD)
                                                                                                                                               Persentase (%)
                                                                                                                     Nominal (USD)
                                                                                                                                               Percentage (%)

 Laporan Posisi Keuangan
 Statement of Financial Position

 Jumlah Aset
                                                                              -                       69.134           (69.134)                   (100,00)
 Total Assets

 Jumlah Liabilitas
                                                                              -                          -                 -                        0,00
 Total Liabilities

 Jumlah Ekuitas
                                                                              -                       69.134           (69.134)                   (100,00)
 Total Equity

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

 Pendapatan Usaha
                                                                              -                          -                 -                        0,00
 Revenue

 Beban Pokok Pendapatan
                                                                              -                          -                 -                        0,00
 Cost of Revenue

 Laba Bruto
                                                                              -                          -                 -                        0,00
 Gross Profit

 Rugi Sebelum Beban Pajak Penghasilan
                                                                           (69.134)                      -             (69.134)                    100,00
 Loss Before Income Tax

 Rugi Tahun Berjalan
                                                                           (69.134)                      -             (69.134)                    100,00
 Loss for the Year

 Penghasilan Komprehensif Lain
                                                                              -                          -                 -                        0,00
 Other Comprehensive Income

 Rugi Komprehensif Periode Berjalan
                                                                           (69.134)                      -             (69.134)                    100,00
 Comprehensive Loss for the Period




                                                                                   106
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                                                                                                                                      Laporan Tahunan
                                                                                                                                  PT Rukun Raharja Tbk    2025


Kepemilikan Tidak Langsung Melalui PT Raharja Daya Energi
Indirect Ownership Through PT Raharja Daya Energi


 PT Adidaya Bismawisesa Internasional

 Kedudukan dan Tahun Operasi Komersial           Jakarta, 2015
 Domicile and Year of Commercial Operation

 Kegiatan Usaha                                  Energi*)
 Business Activities                             Energy*)

 Dasar Hukum Pendirian                           Akta No. 17 tanggal 28 Mei 2014, Notaris Syarifudin, S.H.
 Legal Basis of Establishment                    Deed No. 17 dated May 28, 2014, Notary Syarifudin, S.H.

 Kepemilikan Saham                               PT Raharja Daya Energi: 99,00%
 Shareholding                                    PT Rukun Raharja Tbk: 1,00%

 Modal Dasar                                     Rp10.000.000.000
 Authorized Capital

 Modal Disetor                                   Rp5.000.000.000
 Paid-up Capital

 Nominal per Saham                               Rp1.000.000
 Nominal per Share

 Status Operasional                              Belum Beroperasi
 Operational Status                              Not Yet In Operation

 Alamat                                          Office Park Thamrin Residences A01-05
 Address                                         Jl. Thamrin Boulevard
                                                 Kel. Kebon Melati, Kec. Tanah Abang
                                                 Jakarta Pusat, 10230
                                                 T : (+6221) 2929 1053
                                                 F : (+6221) 2357 9803

 Susunan Direksi dan Dewan Komisaris             Dewan Komisaris | Board of Commissioners
 Composition of the Board of Directors and the   Ogi Rulino (Komisaris | Commissioner)
 Board of Commissioners                          Direksi | Board of Directors
                                                 Wilson Kurniawan (Direktur | Director)


*) Tidak menjalankan aktivitas komersial
*) Not conducting commercial activities

                                                                                                                                Kenaikan (Penurunan)
                                                                                                                                 Increase (Decrease)
 Kinerja Keuangan                                                             2025                            2024
 Financial Performance                                                       (USD)                           (USD)
                                                                                                                                               Persentase (%)
                                                                                                                     Nominal (USD)
                                                                                                                                               Percentage (%)

 Laporan Posisi Keuangan
 Statement of Financial Position

 Jumlah Aset
                                                                           312.858                      326.867        (14.009)                    (4,29)
 Total Assets

 Jumlah Liabilitas
                                                                           139.235                      138.617          618                       0,45
 Total Liabilities

 Jumlah Ekuitas
                                                                           173.623                      188.250        (14.627)                    (7,77)
 Total Equity

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

 Pendapatan Usaha
                                                                               -                              -           -                        0,00
 Revenue

 Beban Pokok Pendapatan
                                                                               -                              -           -                        0,00
 Cost of Revenue

 Laba Bruto
                                                                               -                              -           -                        0,00
 Gross Profit

 Laba Sebelum Beban Pajak Penghasilan
                                                                           (14.627)                     (18.830)        4.203                     (22,32)
 Profit Before Income Tax

 Laba Tahun Berjalan
                                                                           (14.627)                     (18.830)        4.203                     (22,32)
 Profit for the Year

 Penghasilan Komprehensif Lain
                                                                               -                              -           -                        0,00
 Other Comprehensive Income

 Laba Komprehensif Periode Berjalan
                                                                           (14.627)                     (18.830)        4.203                     (22,32)
 Comprehensive Income for the Period



                                                                                   107
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            PT Rukun Raharja Tbk
                                                                                                                            Together Shaping Excellence For Sustainable Growth




Kepemilikan Tidak Langsung Melalui PT Petrotech Penta Nusa
Indirect Ownership Through PT Petrotech Penta Nusa



 PT Artifisial Teknologi Persada

 Kedudukan dan Tahun Operasi Komersial           Jakarta, 2005
 Domicile and Year of Commercial Operation

 Kegiatan Usaha                                  Perdagangan dan sewa pompa minyak
 Business Activities                             Oil pump rental and trading

 Dasar Hukum Pendirian                           Akta No. 12 tanggal 27 Juli 2005 Notaris Endang S. Antariksa S.H, M.Hum.
 Legal Basis of Establishment                    Deed No. 12 dated July 27, 2005 Notary Endang S. Antariksa S.H, M.Hum

 Kepemilikan Saham                               PT Petrotech Penta Nusa : 99,996%
 Shareholding                                    PT Rukun Prima Sarana : 0,004%

 Modal Dasar                                     Rp25.500.00.000
 Authorized Capital

 Modal Disetor                                   Rp25.500.000.000
 Paid-up Capital

 Nominal per Saham                               Rp1.000.000
 Nominal per Share

 Status Operasional                              Beroperasi
 Operational Status                              In Operation

 Alamat                                          Office Park Thamrin Residences Blok A Nomor 1-5,
 Address                                         Jalan Kebon Kacang Raya, Kelurahan Kebon Melati,
                                                 Kecamatan Tanah Abang, Jakarta Pusat - 10230

 Susunan Direksi dan Dewan Komisaris             Dewan Komisaris | Board of Commissioners
 Composition of the Board of Directors and the   Ir. Arief Riyanto (Komisaris Utama | President Commissioner)
 Board of Commissioners                          Rony Hartanto (Komisaris | Commissioner)
                                                 Direksi | Board of Directors
                                                 Robert Dendang (Direktur Utama | President Director)
                                                 Alen Galfani (Direktur | Director)




                                                                                                                                          Kenaikan (Penurunan)
                                                                                                                                           Increase (Decrease)
 Kinerja Keuangan                                                            2025                        2024
 Financial Performance                                                      (USD)                       (USD)
                                                                                                                                                         Persentase (%)
                                                                                                                               Nominal (USD)
                                                                                                                                                         Percentage (%)

 Laporan Posisi Keuangan
 Statement of Financial Position

 Jumlah Aset
                                                                         3.867.678                   3.697.836                   169.842                      4,59
 Total Assets

 Jumlah Liabilitas
                                                                         2.341.657                   3.288.673                  (947.016)                    (28,80)
 Total Liabilities

 Jumlah Ekuitas
                                                                         1.526.021                    409.163                   1.116.858                    272,96
 Total Equity

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

 Pendapatan Usaha
                                                                         4.336.920                   3.102.949                  1.233.971                    39,77
 Revenue

 Beban Pokok Pendapatan
                                                                         (3.489.201)                (2.274.024)                 (1.215.177)                  53,44
 Cost of Revenue

 Laba Bruto
                                                                          847.719                     828.925                     18.794                      2,27
 Gross Profit

 Laba Sebelum Beban Pajak Penghasilan
                                                                          202.368                     256.766                    (54.398)                    (21,19)
 Profit Before Income Tax

 Laba Tahun Berjalan
                                                                          241.367                     239.012                     2.355                       0,99
 Profit for the Year

 Penghasilan Komprehensif Lain
                                                                          (47.075)                    (14.174)                   (32.901)                    232,12
 Other Comprehensive Income

 Laba Komprehensif Periode Berjalan
                                                                          194.292                     224.838                    (30.546)                    (13,59)
 Comprehensive Income for the Period



                                                                                 108
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                                                                                                                                       Laporan Tahunan
                                                                                                                                   PT Rukun Raharja Tbk    2025


Kepemilikan Tidak Langsung Melalui PT Raharja Energi Cepu Tbk
Indirect Ownership Through PT Raharja Energi Cepu Tbk



 PT Raharja Energi Tanjung Jabung

 Kedudukan dan Tahun Operasi Komersial           Jakarta, 2022
 Domicile and Year of Commercial Operation

 Kegiatan Usaha                                  Pertambangan dan penggalian
 Business Activities                             Mining and excavation

 Dasar Hukum Pendirian                           Akta No. 2 tanggal 7 Maret 2022, Notaris Rini Yulianti, S.H.
 Legal Basis of Establishment                    Deed No. 2 dated March 7, 2022, Notary Rini Yulianti, S.H.

 Kepemilikan Saham                               PT Raharja Energi Cepu Tbk: 99,00%
 Shareholding                                    PT Rukun Raharja Tbk: 1,00%

 Modal Dasar                                     Rp4.000.000.000
 Authorized Capital

 Modal Disetor                                   Rp1.000.000.000
 Paid-up Capital

 Nominal per Saham                               Rp1.000.000
 Nominal per Share

 Status Operasional                              Beroperasi
 Operational Status                              In Operation

 Alamat                                          Office Park Thamrin Residences Blok A 01-05
 Address                                         Jl. Thamrin Boulevard
                                                 Kel. Kebon Melati, Kec. Tanah Abang
                                                 Jakarta Pusat, 10230
                                                 T : (+6221) 2929 1053
                                                 F : (+6221) 2357 9803

 Susunan Direksi dan Dewan Komisaris             Dewan Komisaris | Board of Commissioners
 Composition of the Board of Directors and the   Sumantri (Komisaris | Commissioner)
 Board of Commissioners
                                                 Direksi | Board of Directors
                                                 Adrian Hartadi (Direktur | Director)



                                                                                                                              Kenaikan (Penurunan)
                                                                                                                               Increase (Decrease)
 Kinerja Keuangan                                                              2025                         2024
 Financial Performance                                                        (USD)                        (USD)
                                                                                                                                                Persentase (%)
                                                                                                                     Nominal (USD)
                                                                                                                                                Percentage (%)

 Laporan Posisi Keuangan
 Statement of Financial Position

 Jumlah Aset
                                                                          46.260.683                   41.954.613     4.306.070                     10,26
 Total Assets

 Jumlah Liabilitas
                                                                          17.100.203                   23.349.259    (6.249.056)                   (26,76)
 Total Liabilities

 Jumlah Ekuitas
                                                                          29.160.480                   18.605.354    10.555.126                     56,73
 Total Equity

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

 Pendapatan Usaha
                                                                          49.313.956                   57.743.447    (8.429.491)                   (14,60)
 Revenue

 Beban Pokok Pendapatan
                                                                         (25.229.288)                 (35.298.295)   10.069.007                    (28,53)
 Cost of Revenue

 Laba Bruto
                                                                          24.084.668                   22.445.152     1.639.516                     7,30
 Gross Profit

 Laba Sebelum Beban Pajak Penghasilan
                                                                          22.845.422                   19.357.386     3.488.036                     18,02
 Profit Before Income Tax

 Laba Tahun Berjalan
                                                                          11.955.126                    8.522.337     3.432.789                     40,28
 Profit for the Year

 Penghasilan Komprehensif Lain
                                                                               -                                -         -                         0,00
 Other Comprehensive Income

 Laba Komprehensif Periode Berjalan
                                                                          11.955.126                    8.522.337     3.432.789                     40,28
 Comprehensive Income for the Period



                                                                                   109
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2025        Annual Report
            PT Rukun Raharja Tbk
                                                                                                                  Together Shaping Excellence For Sustainable Growth




 PT Raharja Energi Indonesia

 Kedudukan dan Tahun Operasi Komersial           Jakarta, 2005
 Domicile and Year of Commercial Operation

 Kegiatan Usaha                                  Pertambangan dan penggalian*)
 Business Activities                             Mining and Excavation *)

 Dasar Hukum Pendirian                           Akta No. 13 Tgl 27 Oktober 2025, Notaris Rini Yulianti, S.H
 Legal Basis of Establishment                    Deed No. 13 dated October 27 2025, Notary Rini Yulianti, S.H.

 Kepemilikan Saham                               PT Raharja Energi Cepu Tbk : 99,00%
 Shareholding                                    PT Rukun Prima Sarana : 1,00%

 Modal Dasar                                     Rp2.000.000.000
 Authorized Capital

 Modal Disetor                                   Rp500.000.000
 Paid-up Capital

 Nominal per Saham                               Rp1.000
 Nominal per Share

 Status Operasional                              Belum Beroperasi
 Operational Status                              Not Yet In Operation

 Alamat                                          Office Park Thamrin Residences A01-05
 Address                                         Jl. Thamrin Boulevard
                                                 Kel. Kebon Melati, Kec. Tanah Abang
                                                 Jakarta Pusat, 10230

 Susunan Direksi dan Dewan Komisaris             Dewan Komisaris | Board of Commissioners
 Composition of the Board of Directors and the   Sumantri (Komisaris | Commissioner)
 Board of Commissioners
                                                 Direksi | Board of Directors
                                                 Adrian Hartadi (Direktur | Director)


*) Tidak menjalankan aktivitas komersial
*) Not conducting commercial activities

                                                                                                                               Kenaikan (Penurunan)
                                                                                                                                Increase (Decrease)
 Kinerja Keuangan                                                              2025                        2024
 Financial Performance                                                        (USD)                       (USD)
                                                                                                                                               Persentase (%)
                                                                                                                     Nominal (USD)
                                                                                                                                               Percentage (%)

 Laporan Posisi Keuangan Konsolidasian
 Consolidated Statement of Financial Position

 Jumlah Aset
                                                                          15.084.977                       -          15.084.977                   100,00
 Total Assets

 Jumlah Liabilitas
                                                                            273.659                        -           273.659                     100,00
 Total Liabilities

 Jumlah Ekuitas
                                                                          14.811.318                       -          14.811.318                   100,00
 Total Equity

 Laporan Laba Rugi dan Penghasilan Komprehensif Lain Konsolidasian
 Consolidated Statements of Profit or Loss and Other Comprehensive Income

 Pendapatan Usaha
                                                                               -                           -               -                        0,00
 Revenue

 Beban Pokok Pendapatan
                                                                               -                           -               -                        0,00
 Cost of Revenue

 Laba Bruto
                                                                               -                           -               -                        0,00
 Gross Profit

 Laba Sebelum Beban Pajak Penghasilan
                                                                           (184.120)                       -          (184.120)                    100,00
 Profit Before Income Tax

 Laba Tahun Berjalan
                                                                           (184.120)                       -          (184.120)                    100,00
 Profit for the Year

 Penghasilan Komprehensif Lain
                                                                               -                           -               -                        0,00
 Other Comprehensive Income

 Laba Komprehensif Periode Berjalan
                                                                           (184.120)                       -          (184.120)                    100,00
 Comprehensive Income for the Period




                                                                                   110
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                                                                                                                                    Laporan Tahunan
                                                                                                                                PT Rukun Raharja Tbk    2025



 PT Raharja Energi Negeri

 Kedudukan dan Tahun Operasi Komersial           Jakarta, 2005
 Domicile and Year of Commercial Operation

 Kegiatan Usaha                                  Pertambangan dan penggalian*)
 Business Activities                             Mining and Excavation *)

 Dasar Hukum Pendirian                           Akta No. 14 tanggal 27 Oktober 2025, Notaris Rini Yulianti, S.H
 Legal Basis of Establishment                    Deed No. 14 dated October 27 2025, Notary Rini Yulianti, S.H.

 Kepemilikan Saham                               PT Raharja Energi Cepu Tbk : 99,00%
 Shareholding                                    PT Rukun Prima Sarana : 1,00%

 Modal Dasar                                     Rp2.000.000.000
 Authorized Capital

 Modal Disetor                                   Rp500.000.000
 Paid-up Capital

 Nominal per Saham                               Rp1.000
 Nominal per Share

 Status Operasional                              Belum Beroperasi
 Operational Status                              Not Yet In Operation

 Alamat                                          Office Park Thamrin Residences A01-05
 Address                                         Jl. Thamrin Boulevard
                                                 Kel. Kebon Melati, Kec. Tanah Abang
                                                 Jakarta Pusat, 10230

 Susunan Direksi dan Dewan Komisaris             Dewan Komisaris | Board of Commissioners
 Composition of the Board of Directors and the   Sumantri (Komisaris | Commissioner)
 Board of Commissioners
                                                 Direksi | Board of Directors
                                                 Adrian Hartadi (Direktur | Director)


*) Tidak menjalankan aktivitas komersial
*) Not conducting commercial activities

                                                                                                                              Kenaikan (Penurunan)
                                                                                                                               Increase (Decrease)
 Kinerja Keuangan                                                              2025                        2024
 Financial Performance                                                        (USD)                       (USD)
                                                                                                                                             Persentase (%)
                                                                                                                   Nominal (USD)
                                                                                                                                             Percentage (%)

 Laporan Posisi Keuangan
 Statement of Financial Position

 Jumlah Aset
                                                                            29.803                          -        29.803                     100,00
 Total Assets

 Jumlah Liabilitas
                                                                               -                            -           -                        0,00
 Total Liabilities

 Jumlah Ekuitas
                                                                            29.803                          -        29.803                     100,00
 Total Equity

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

 Pendapatan Usaha
                                                                               -                            -           -                        0,00
 Revenue

 Beban Pokok Pendapatan
                                                                               -                            -           -                        0,00
 Cost of Revenue

 Laba Bruto
                                                                               -                            -           -                        0,00
 Gross Profit

 Laba Sebelum Beban Pajak Penghasilan
                                                                             (263)                          -         (263)                     100,00
 Profit Before Income Tax

 Laba Tahun Berjalan
                                                                             (263)                          -         (263)                     100,00
 Profit for the Year

 Penghasilan Komprehensif Lain
                                                                               -                            -           -                        0,00
 Other Comprehensive Income

 Laba Komprehensif Periode Berjalan
                                                                             (263)                          -         (263)                     100,00
 Comprehensive Income for the Period




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                                                                                                                          Together Shaping Excellence For Sustainable Growth




Kepemilikan Tidak Langsung Melalui PT Raharja Energi Indonesia
Kepemilikan Tidak Langsung Melalui PT Raharja Energi Indonesia



 PT Raharja Energi Madura

 Kedudukan dan Tahun Operasi Komersial           Jakarta, 2026
 Domicile and Year of Commercial Operation

 Kegiatan Usaha                                  Investasi*)
 Business Activities                             Investment*)

 Dasar Hukum Pendirian                           Akta No. 9 tanggal 5 Desember 2025, Notaris Muhammad Hanafi, S.H
 Legal Basis of Establishment                    Deed No. 9 dated December 5, 2025, Muhammad Hanafi, S.H

 Kepemilikan Saham                               PT Raharja Energi Indonesia: 51,00%
 Shareholding                                    PT Petro Indo Pasifik : 49,00%

 Modal Dasar                                     Rp 500.000.000.000
 Authorized Capital

 Modal Disetor                                   Rp 250.000.000.000
 Paid-up Capital

 Nominal per Saham                               Rp 1.000.000
 Nominal per Share

 Status Operasional                              Belum Beroperasi
 Operational Status                              Not Yet In Operation

 Alamat                                          Graha Iskandarsyah Lt. 9, Jl. Iskandarsyah Raya No. 66, Desa/Kelurahan
 Address                                         Melawai, Kec. Kebayoran Baru, Kota Adm. Jakarta Selatan, Provinsi DKI
                                                 Jakarta, Kode Pos: 12160

 Susunan Direksi dan Dewan Komisaris             Dewan Komisaris | Board of Commissioners
 Composition of the Board of Directors and the   Sumantri (Komisaris | Commissioner)
 Board of Commissioners
                                                 Direksi | Board of Directors
                                                 Adrian Hartadi (Direktur | Director)



*) Tidak menjalankan aktivitas komersial
*) Not conducting commercial activities

                                                                                                                                       Kenaikan (Penurunan)
                                                                                                                                        Increase (Decrease)
 Kinerja Keuangan                                                              2025                     2024
 Financial Performance                                                        (USD)                    (USD)
                                                                                                                                                       Persentase (%)
                                                                                                                             Nominal (USD)
                                                                                                                                                       Percentage (%)

 Laporan Posisi Keuangan
 Statement of Financial Position

 Jumlah Aset
                                                                          14.895.254                     -                    14.895.254                   100,00
 Total Assets

 Jumlah Liabilitas
                                                                            244.540                      -                     244.540                     100,00
 Total Liabilities

 Jumlah Ekuitas
                                                                          14.650.714                     -                    14.650.714                   100,00
 Total Equity

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

 Pendapatan Usaha
                                                                               -                         -                         -                        0,00
 Revenue

 Beban Pokok Pendapatan
                                                                               -                         -                         -                        0,00
 Cost of Revenue

 Laba Bruto
                                                                               -                         -                         -                        0,00
 Gross Profit

 Laba Sebelum Beban Pajak Penghasilan
                                                                           (367.909)                     -                    (367.909)                    100,00
 Profit Before Income Tax

 Laba Tahun Berjalan
                                                                           (367.909)                     -                    (367.909)                    100,00
 Profit for the Year

 Penghasilan Komprehensif Lain
                                                                               -                         -                         -                        0,00
 Other Comprehensive Income

 Laba Komprehensif Periode Berjalan
                                                                           (367.909)                     -                    (367.909)                    100,00
 Comprehensive Income for the Period



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                                                                                                                                            Laporan Tahunan
                                                                                                                                        PT Rukun Raharja Tbk    2025


Entitas Asosiasi
Associated Entities



 PT Petrogas Jatim Utama Cendana

 Kedudukan dan Tahun Operasi Komersial           Surabaya, 2007
 Domicile and Year of Commercial Operation

 Kegiatan Usaha                                  Pertambangan minyak dan gas bumi
 Business Activities                             Natural oil and gas mining

 Dasar Hukum Pendirian                           Akta No. 5 tanggal 14 Maret 2007, Notaris Rosida, S.H.
 Legal Basis of Establishment                    Deed No. 5 dated March 14, 2007, Notary Rosida, S.H.

 Kepemilikan Saham                               PT Rukun Raharja Tbk (melalui PT Raharja Energi Cepu Tbk): 49.00%
 Shareholding                                    PT Rukun Raharja Tbk (held through PT Raharja Energi Cepu Tbk): 49.00%

 Modal Dasar                                     Rp2.000.000.000
 Authorized Capital

 Modal Disetor                                   Rp500.000.000
 Paid-up Capital

 Nominal per Saham                               Rp1.000.000
 Nominal per Share

 Status Operasional                              Beroperasi
 Operational Status                              In Operation

 Alamat                                          Surabaya
 Address

 Susunan Direksi dan Dewan Komisaris             Dewan Komisaris | Board of Commissioners
 Composition of the Board of Directors and the   Abdul Halim Soebahar (Komisaris Utama | President Commissioner)
 Board of Commissioners                          Fathur Rozi Zubair (Komisaris | Commissioner)
                                                 Sumantri (Komisaris | Commissioner)

                                                 Direksi | Board of Directors
                                                 Hadi Ismoyo (Direktur Utama | President Director)
                                                 Adrian Hartadi (Direktur | Director)
                                                 Alexandra Sinta Wahjudewanti (Direktur | Director)




                                                                                                                                     Kenaikan (Penurunan)
                                                                                                                                      Increase (Decrease)
 Kinerja Keuangan                                                             2025                          2024
 Financial Performance                                                       (USD)                         (USD)
                                                                                                                                                     Persentase (%)
                                                                                                                          Nominal (USD)
                                                                                                                                                     Percentage (%)

 Laporan Posisi Keuangan
 Statement of Financial Position

 Jumlah Aset
                                                                         20.203.486                   22.225.163          (2.021.677)                    (9,10)
 Total Assets

 Jumlah Liabilitas
                                                                          4.821.549                   4.756.120             65.429                       1,38
 Total Liabilities

 Jumlah Ekuitas
                                                                         15.381.937                   17.469.043          (2.087.106)                   (11,95)
 Total Equity

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

 Pendapatan Usaha
                                                                         23.245.795                   26.710.258          (3.464.463)                   (12,97)
 Revenue

 Beban Pokok Pendapatan
                                                                         (5.382.094)                  (6.015.368)           633.274                     (10,53)
 Cost of Revenue

 Laba Bruto
                                                                         17.863.701                   20.694.890          (2.831.189)                   (13,68)
 Gross Profit

 Laba Sebelum Beban Pajak Penghasilan
                                                                         17.337.242                   20.202.652          (2.865.410)                   (14,18)
 Profit Before Income Tax

 Laba Tahun Berjalan
                                                                         10.892.919                   12.560.585          (1.667.666)                   (13,28)
 Profit for the Year

 Penghasilan Komprehensif Lain
                                                                            4.799                         (4.084)            8.883                     (217,51)
 Other Comprehensive Income

 Laba Komprehensif Periode Berjalan
                                                                         10.897.718                   12.556.501          (1.658.783)                   (13,21)
 Comprehensive Income for the Period



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                                                                                                                              Together Shaping Excellence For Sustainable Growth




PT Banggai Ammonia Indonesia

Kedudukan dan Tahun Operasi Komersial           Jakarta, 2022
Domicile and Year of Commercial Operation

Kegiatan Usaha                                  Kimia dasar organik*)
Business Activities                             Basic Organic Chemistry*)

Dasar Hukum Pendirian                           Akta No. 2 tanggal 11 Oktober 2022, Devia Buniarto, S.H M.KN.
Legal Basis of Establishment                    Deed No. 2 dated October 11, 2022, Devia Buniarto, S.H M.KN.

Kepemilikan Saham                               PT Gavi Sejahtera Nusantara : 60,00%
Shareholding                                    PT Rukun Raharja Tbk : 40,00%

Modal Dasar                                     Rp10.000.000.000
Authorized Capital

Modal Disetor                                   Rp2.500.000.000
Paid-up Capital

Nominal per Saham                               Rp1.000.000
Nominal per Share

Status Operasional                              Belum Beroperasi
Operational Status                              Not Yet In Operation

Alamat                                          DBS Bank Tower Lantai 19, Jalan Prof. Dr. Satrio, Kav. 3- 5, Jakarta 12940, Indonesia.
Address

Susunan Direksi dan Dewan Komisaris             Dewan Komisaris | Board of Commissioners
Composition of the Board of Directors and the   Agustinus Hendrayana (Komisaris | Commissioner)
Board of Commissioners                          Direksi | Board of Directors
                                                Arief Kadarsyah (Direktur | Director)




                                                                                                                                               Kenaikan (Penurunan)
                                                                                                                                                Increase (Decrease)
Kinerja Keuangan                                                             2025                         2024
Financial Performance                                                       (USD)                        (USD)
                                                                                                                                                             Persentase (%)
                                                                                                                                 Nominal (USD)
                                                                                                                                                             Percentage (%)

Laporan Posisi Keuangan
Statement of Financial Position

Jumlah Aset
                                                                          145.182                      150.713                      (5.531)                      (3,67)
Total Assets

Jumlah Liabilitas
                                                                              -                            -                             -                       0,00
Total Liabilities

Jumlah Ekuitas
                                                                          145.182                      150.713                      (5.531)                      (3,67)
Total Equity

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

Pendapatan Usaha
                                                                              -                            -                             -                       0,00
Revenue

Beban Pokok Pendapatan
                                                                              -                            -                             -                       0,00
Cost of Revenue

Laba Bruto
                                                                              -                            -                             -                       0,00
Gross Profit

Laba Sebelum Beban Pajak Penghasilan
                                                                             37                           38                             (1)                     (3,81)
Profit Before Income Tax

Laba Tahun Berjalan
                                                                             37                           38                             (1)                     (3,81)
Profit for the Year

Penghasilan Komprehensif Lain
                                                                              -                            -                             -                       0,00
Other Comprehensive Income

Laba Komprehensif Periode Berjalan
                                                                             37                           38                             (1)                     (3,81)
Comprehensive Income for the Period




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                                                                                                                                      Laporan Tahunan
                                                                                                                                  PT Rukun Raharja Tbk    2025



 PT Hafar Daya Konstruksi

 Kedudukan dan Tahun Operasi Komersial           Jakarta, 2009
 Domicile and Year of Commercial Operation

 Kegiatan Usaha                                  Konstruksi
 Business Activities                             Construction

 Dasar Hukum Pendirian                           Akta No. 10 tanggal 17 Juni 2009, Hizmelina, S.H
 Legal Basis of Establishment                    Deed No. 10 dated June 17, 2009, Hizmelina, S.H

 Kepemilikan Saham                               PT Pertosea Engineering Procurement Construction : 51%
 Shareholding                                    PT Rukun Raharja Tbk : 49%

 Modal Dasar                                     Rp305.000.000.000
 Authorized Capital

 Modal Disetor                                   Rp305.000.000.000
 Paid-up Capital

 Nominal per Saham                               Rp1.000.000
 Nominal per Share

 Status Operasional                              Beroperasi
 Operational Status                              In Operation

 Alamat                                          K-LINK Tower Lantai 19, Jl. Jendral Gatot Subroto Kavling 59A ,
 Address                                         Desa/Kelurahan Kuningan Timur, Kec. Setiabudi, Kota Adm. Jakarta
                                                 Selatan, Provinsi DKI Jakarta,
                                                 Kode Pos: 12950

 Susunan Direksi dan Dewan Komisaris             Dewan Komisaris | Board of Commissioners
 Composition of the Board of Directors and the   Ogi Rulino (Komisaris Utama | President Commissioner)
 Board of Commissioners                          Muhamad Alfan Baharudin (Komisaris | Commissioner)
                                                 Hotasi D.P Nababan (Komisaris | Commissioner)

                                                 Direksi | Board of Directors
                                                 Emier Koesoemawiria (Direktur Utama | President Director)
                                                 Dito Danarianto S (Direktur | Director)
                                                 Bagus Pinandityo (Direktur | Director)




                                                                                                                            Kenaikan (Penurunan)
                                                                                                                             Increase (Decrease)
 Kinerja Keuangan                                                             2025                        2024
 Financial Performance                                                       (USD)                       (USD)
                                                                                                                                               Persentase (%)
                                                                                                                    Nominal (USD)
                                                                                                                                               Percentage (%)

 Laporan Posisi Keuangan
 Statement of Financial Position

 Jumlah Aset
                                                                         36.434.093                 32.615.924       3.818.169                     11,71
 Total Assets

 Jumlah Liabilitas
                                                                         10.248.668                 7.237.098        3.011.570                     41,61
 Total Liabilities

 Jumlah Ekuitas
                                                                         26.185.425                 25.378.826        806.599                      3,18
 Total Equity

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

 Pendapatan Usaha
                                                                         34.099.289                 43.214.929      (9.115.640)                   (21,09)
 Revenue

 Beban Pokok Pendapatan
                                                                        (23.030.614)                (1.145.196)     (21.885.418)                 1.911,06
 Cost of Revenue

 Laba Bruto
                                                                         11.068.675                 42.069.733      (31.001.058)                  (73,69)
 Gross Profit

 Laba Sebelum Beban Pajak Penghasilan
                                                                          6.838.469                 11.796.135      (4.957.666)                   (42,03)
 Profit Before Income Tax

 Laba Tahun Berjalan
                                                                          5.934.838                 10.650.939      (4.716.101)                   (44,28)
 Profit for the Year

 Penghasilan Komprehensif Lain
                                                                           80.143                    (66.850)         146.993                    (219,88)
 Other Comprehensive Income

 Laba Komprehensif Periode Berjalan
                                                                          6.014.981                 10.584.089      (4.569.108)                   (43,17)
 Comprehensive Income for the Period




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           PT Rukun Raharja Tbk
                                                                                                                   Together Shaping Excellence For Sustainable Growth




PT Hafar Daya Samudera

Kedudukan dan Tahun Operasi Komersial           Jakarta, 2008
Domicile and Year of Commercial Operation

Kegiatan Usaha                                  Konstruksi
Business Activities                             Construction

Dasar Hukum Pendirian                           Akta No. 15 tanggal 19 April 2007, Mita Damayanti, S.H., M.Kn
Legal Basis of Establishment                    Deed No. 15 dated April 19, 2007, Mita Damayanti, S.H., M.Kn

Kepemilikan Saham                               PT Pertosea Engineering Procurement Construction : 51%
Shareholding                                    PT Rukun Raharja Tbk : 49%

Modal Dasar                                     Rp325.000.000.000
Authorized Capital

Modal Disetor                                   Rp321.500.000.000
Paid-up Capital

Nominal per Saham                               Rp500.000
Nominal per Share

Status Operasional                              Beroperasi
Operational Status                              In Operation

Alamat                                          K-LINK Tower Lantai 19, Jl. Jendral Gatot Subroto Kavling 59A ,
Address                                         Desa/Kelurahan Kuningan Timur, Kec. Setiabudi, Kota Adm. Jakarta
                                                Selatan, Provinsi DKI Jakarta,
                                                Kode Pos: 12950

Susunan Direksi dan Dewan Komisaris             Dewan Komisaris | Board of Commissioners
Composition of the Board of Directors and the   Ogi Rulino (Komisaris Utama | President Commissioner)
Board of Commissioners                          Muhamad Alfan Baharudin (Komisaris | Commissioner)
                                                Hotasi D.P Nababan (Komisaris | Commissioner)

                                                Direksi | Board of Directors
                                                Emier Koesoemawiria (Direktur Utama | President Director)
                                                Dito Danarianto S (Direktur | Director)
                                                Bagus Pinandityo (Direktur | Director)



                                                                                                                               Kenaikan (Penurunan)
                                                                                                                                Increase (Decrease)
Kinerja Keuangan                                                             2025                        2024
Financial Performance                                                       (USD)                       (USD)
                                                                                                                                                Persentase (%)
                                                                                                                      Nominal (USD)
                                                                                                                                                Percentage (%)

Laporan Posisi Keuangan
Statement of Financial Position

Jumlah Aset
                                                                        19.863.639                  30.492.497        (10.628.858)                  (34,86)
Total Assets

Jumlah Liabilitas
                                                                          853.232                   10.138.604         (9.285.372)                  (91,58)
Total Liabilities

Jumlah Ekuitas
                                                                        19.010.407                  20.353.893         (1.343.486)                  (6,60)
Total Equity

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

Pendapatan Usaha
                                                                         6.760.849                  10.964.339         (4.203.490)                  (38,34)
Revenue

Beban Pokok Pendapatan
                                                                        (1.674.742)                 (4.906.135)        3.231.393                    (65,86)
Cost of Revenue

Laba Bruto
                                                                         5.086.107                   6.058.204         (972.097)                    (16,05)
Gross Profit

Laba Sebelum Beban Pajak Penghasilan
                                                                         (753.862)                   4.770.481         (5.524.343)                 (115,80)
Profit Before Income Tax

Laba Tahun Berjalan
                                                                         (842.035)                   4.630.145         (5.472.180)                 (118,19)
Profit for the Year

Penghasilan Komprehensif Lain
                                                                         (226.708)                     4.722           (231.430)                  (4.901,10)
Other Comprehensive Income

Laba Komprehensif Periode Berjalan
                                                                        (1.068.743)                  4.634.867         (5.703.610)                 (123,06)
Comprehensive Income for the Period




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                                                                                                                                      Laporan Tahunan
                                                                                                                                  PT Rukun Raharja Tbk   2025



 PT Hafar Capitol Nusantara

 Kedudukan dan Tahun Operasi Komersial           Jakarta, 2011
 Domicile and Year of Commercial Operation

 Kegiatan Usaha                                  Penyewaan kapal *)
 Business Activities                             Ship Chartering *)

 Dasar Hukum Pendirian                           Akta No. 05 tanggal 16 Juni 2011, Hizmelina, S.H
 Legal Basis of Establishment                    Deed No. 05 dated June 16, 2011, Hizmelina, S.H

 Kepemilikan Saham                               PT Hafar Daya Samudera : 99,99%
 Shareholding                                    PT Petrosea Engineering Procurement Construction : 0,01%

 Modal Dasar                                     Rp42.685.000.000
 Authorized Capital

 Modal Disetor                                   Rp.10.671.250.000
 Paid-up Capital

 Nominal per Saham                               Rp853.700
 Nominal per Share

 Status Operasional                              Beroperasi
 Operational Status                              In Operation

 Alamat                                          K-LINK Tower Lantai 19, Jl. Jendral Gatot Subroto Kavling 59A ,
 Address                                         Desa/Kelurahan Kuningan Timur, Kec. Setiabudi, Kota Adm. Jakarta
                                                 Selatan, Provinsi DKI Jakarta,
                                                 Kode Pos: 12950

 Susunan Direksi dan Dewan Komisaris             Dewan Komisaris | Board of Commissioners
 Composition of the Board of Directors and the   Ogi Rulino (Komisaris Utama | President Commissioner)
 Board of Commissioners                          Muhamad Alfan Baharudin (Komisaris | Commissioner)
                                                 Hotasi D.P Nababan (Komisaris | Commissioner)

                                                 Direksi | Board of Directors
                                                 Emier Koesoemawiria (Direktur Utama | President Director)
                                                 Dito Danarianto S (Direktur | Director)
                                                 Bagus Pinandityo (Direktur | Director)


*) LPG = Gas minyak cair
   Liquefied Petroleum Gas

                                                                                                                            Kenaikan (Penurunan)
                                                                                                                             Increase (Decrease)
 Kinerja Keuangan                                                            2025                         2024
 Financial Performance                                                      (USD)                        (USD)
                                                                                                                                               Persentase (%)
                                                                                                                    Nominal (USD)
                                                                                                                                               Percentage (%)

 Laporan Posisi Keuangan
 Statement of Financial Position

 Jumlah Aset
                                                                         14.140.957                 18.980.135      (4.839.178)                   (25,50)
 Total Assets

 Jumlah Liabilitas
                                                                         6.337.575                  10.584.958      (4.247.383)                   (40,13)
 Total Liabilities

 Jumlah Ekuitas
                                                                         7.803.382                  8.395.177        (591.795)                     (7,05)
 Total Equity

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

 Pendapatan Usaha
                                                                         5.091.693                  8.700.092       (3.608.399)                   (41,48)
 Revenue

 Beban Pokok Pendapatan
                                                                         (1.387.583)                (3.972.135)      2.584.552                    (65,07)
 Cost of Revenue

 Laba Bruto
                                                                         3.704.110                  4.727.957       (1.023.847)                   (21,66)
 Gross Profit

 Laba Sebelum Beban Pajak Penghasilan
                                                                          (104.414)                 3.916.766       (4.021.180)                  (102,67)
 Profit Before Income Tax

 Laba Tahun Berjalan
                                                                          (165.514)                 3.812.365       (3.977.879)                  (104,34)
 Profit for the Year

 Penghasilan Komprehensif Lain
                                                                          (120.868)                   6.372          (127.240)                   (1.996,86)
 Other Comprehensive Income

 Laba Komprehensif Periode Berjalan
                                                                          (286.382)                 3.818.737       (4.105.119)                  (107,50)
 Comprehensive Income for the Period



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                                                                                                                        Together Shaping Excellence For Sustainable Growth




Informasi Tentang Kronologis Penerbitan Dan
Pencatatan Saham Serta Kronologis Penerbitan
Dan Pencatatan Efek Lainnya
Information on the Chronology of Issuance and Listing of Shares and the Chronology of
Issuance and Listing of Other Securities

Kronologi Pencatatan Saham                                                               Chronological Record of Share Listing

                                                                                                                                                     Jumlah Saham
                                                                        Jumlah Saham Diterbitkan                                                    Beredar (Lembar
 Tanggal Penawaran                        Uraian                                                        Harga Nominal      Harga Penawaran
                                                                            (Lembar Saham)                                                               Saham)
 Offering Date                          Description                                                       Par Value         Offering Price
                                                                      Number of Shares Issued (Units)                                               Total Outstanding
                                                                                                                                                      Shares (Units)



 24 Desember 1993                 Saham Pendirian Stock
                                                                                     -                        -                     -                 170.000.000
 December 24, 1993                Founding Shares (Stock)



                           Penawaran Umum Saham Perdana
 22 Januari 2003                (Bursa Efek Surabaya)
                                                                               120.000.000                  100                    100                290.000.000
 January 22, 2003             Initial Public Offering (IPO)
                              (Surabaya Stock Exchange)



 15 Maret 2004           Hasil Pelaksanaan Konversi Waran Seri I
                                                                                 175.000                    100                    100                290.175.000
 March 15, 2004          Execution of Series I Warrant Conversion



                              Penawaran Umum Terbatas I
 1 September 2005                 (Bursa Efek Surabaya)
                                                                               362.718.750                  100                    100                652.893.750
 September 1, 2005               Limited Public Offering I
                               (Surabaya Stock Exchange)



 5 Juni 2006             Hasil Pelaksanaan Konversi Waran Seri I
                                                                                26.620.000                  100                    100                679.513.750
 June 5, 2006            Execution of Series I Warrant Conversion



                              Penawaran Umum Terbatas II
 30 April 2012                    (Bursa Efek Indonesia)
                                                                               339.756.875                  100                    677               1.019.270.625
 April 30, 2012                  Limited Public Offering II
                               (Indonesia Stock Exchange)



                            Perubahan Nilai Nominal Saham
 7 Juni 2016
                                       (Stock Split)                                 -                       25                     -                4.077.082.500
 June 7, 2016
                        Change in Par Value of Shares (Stock Split)



                        Penambahan Modal Tanpa Hak Memesan
 21 September 2018                Efek Terlebih Dahulu
                                                                               150.000.000                   25                    233               4.227.082.500
 September 21, 2018      Capital Increase Without Pre-Emptive
                                  Rights (PMTHMETD)




Kronologi Pencatatan Efek Lainnya                                                        Chronology of Other Securities Listing
Hingga 31 Desember 2025, Perseroan tidak menerbitkan                                     As of December 31, 2025, the Company had not issued any
efek selain saham sehingga tidak terdapat informasi terkait                              securities other than shares, therefore, there is no information
kronologis penerbitan dan pencatatan efek lainnya.                                       available regarding the chronology of issuance and listing of
                                                                                         other securities.




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                                                                                                                                     Laporan Tahunan
                                                                                                                                 PT Rukun Raharja Tbk   2025



Audit Eksternal
External Audit


Perseroan menunjuk akuntan publik sebagai pihak independen                          The Company appoints a public accounting firm as an independent
untuk melakukan pemeriksaan atau mengaudit Laporan Keuangan                         party to examine and audit the Financial Statements in accordance
berdasarkan standar akuntansi yang telah ditentukan oleh Ikatan                     with the accounting standards established by the Indonesian
Akuntansi Indonesia. Penunjukan akuntan publik dilakukan                            Institute of Accountants. The appointment of the public accountant
Dewan Komisaris melalui RUPS, dengan mempertimbangkan                               is made by the Board of Commissioners through the General
rekomendasi Komite Audit.                                                           Meeting of Shareholders (GMS), taking into consideration the
                                                                                    recommendation of the Audit Committee.

Penunjukan                                                                          Appointment
Berikut adalah Kantor Akuntan Publik yang melakukan audit                           The following are the Public Accounting Firms that audited the
Laporan Keuangan selama 3 tahun terakhir:                                           Company’s Financial Statements over the past three years:


 Tahun Buku                    Kantor Akuntan Publik             Akuntan Publik                   Jasa                       Opini              Biaya Jasa Audit
 Fiscal Year                   Public Accounting Firm           Public Accountant                Services                   Opinion                Audit Fee



                            Paul Hadiwinata, Hidajat,       Retno Dwi Andani SE, Ak,    Jasa Pemeriksaan Umum      Menyajikan secara wajar,    Rp2.507.200.000
                            Arsono, Retno, Palilingan dan   CPA, CA                     Laporan Keuangan Tahun     dalam semua hal yang
                            Rekan                                                       2025                       material
 2025
                            Paul Hadiwinata, Hidajat,                                   General Audit Services     Present fairly, in all
                            Arsono, Retno, Palilingan and                               for Financial Statements   material respect
                            Partners                                                    in 2025

                            Paul Hadiwinata, Hidajat,       Retno Dwi Andani SE, Ak,    Jasa Pemeriksaan Umum      Menyajikan secara wajar,    Rp2.050.000.000
                            Arsono, Retno, Palilingan dan   CPA, CA                     Laporan Keuangan Tahun     dalam semua hal yang
                            Rekan                                                       2024                       material
 2024                       Paul Hadiwinata, Hidajat,                                   General Audit Services     Present fairly, in all
                            Arsono, Retno, Palilingan and                               for Financial Statements   material respect
                            Partners                                                    in 2024


                            Paul Hadiwinata, Hidajat,       Retno Dwi Andani SE, Ak,    Jasa Pemeriksaan Umum      Menyajikan secara wajar,    Rp1.700.000.000
                            Arsono, Retno, Palilingan dan   CPA, CA                     Laporan Keuangan Tahun     dalam semua hal yang
                            Rekan                                                       2023                       material
 2023                       Paul Hadiwinata, Hidajat,                                   General Audit Services     Present fairly, in all
                            Arsono, Retno, Palilingan and                               for Financial Statements   material respect
                            Partners                                                    in 2023




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Lembaga dan Profesi Penunjang
Supporting Institutions and Professions



Akuntan Publik dan Kantor Akuntan Publik
Public Accountant and Public Accounting Firm


 Kantor Akuntan Publik (KAP)       Paul Hadiwinata, Hidajat, Arsono, Retno, Palilingan dan Rekan
 Public Accounting Firm

 Akuntan Publik (AP)               Retno Dwi Andani, S.E., Ak., CPA, CA
 Public Accountant

 Alamat                            UOB Plaza Lt. 42
 Address                           Jl. M.H. Thamrin Kav 8-10
                                   RT.9/RW.5, Gondangdia, Menteng
                                   Central Jakarta City, Jakarta 10350


 Jasa yang Diberikan               Jasa Audit     : Audit Laporan Keuangan        Audit Services : Audit of Financial Statements
 Services Rendered                 Jasa Non Audit : Tidak ada			                  Non-Audit Fee : None

 Biaya Jasa (Fee)                  Jasa Audit		    : Rp2.507.200.000		            Audit Services     : Rp2,507,200,000
 Services Fee                      Jasa Non Audit		: -			                         Non Audit Services : -




Notaris
Notary


 Nama                              Rini Yulianti, S.H.
 Name

 Alamat                            Komplek Bina Marga II
 Address                           Jl. Swakarsa V No. 57B
                                   Pondok Kelapa, Duren Sawit, Jakarta Timur

 Jasa yang Diberikan               Penyusunan Berita Acara Rapat Umum Pemegang Saham
 Services Rendered                 Drafting Minutes of the General Meeting of Shareholders




Biro Administrasi Efek
Securities Administration Bureau


 Nama                              Ficomindo Buana Registrar
 Name

 Alamat                            Jl. Kiai Caringin No. 2A
 Address                           Cideng, Jakarta Pusat

 Jasa yang Diberikan               Pencatatan Saham Perseroan
 Services Rendered                 Listing of the Company’s Shares




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Informasi pada Situs Web Perusahaan
Information on the Company’s Website




RAJA telah menyediakan website yang dapat dengan mudah           RAJA has established an official corporate website at www.
diakses oleh seluruh stakeholder yang beralamat di www.          raja.co.id, which is readily accessible to all stakeholders. The
raja.co.id. Ketersediaan informasi pada website mengacu          availability of information on the website complies with the
pada Peraturan OJK No. 8/POJK.04/2015 tentang Situs Web          provisions of the Financial Services Authority (OJK) Regulation
Emiten atau Perusahaan Publik. Keberadaan website tersebut       Number: 8/POJK.04/2015 concerning Websites of Issuers or
merupakan bagian dari keterbukaan informasi yang dilakukan       Public Companies. The website serves as part of the Company’s
Perseroan, agar seluruh stakeholder dapat memperoleh             commitment to transparency and information disclosure,
berbagai informasi terkait dengan Perseroan. Website Perseroan   enabling stakeholders to obtain comprehensive information
menyajikan informasi dalam Bahasa Indonesia dan Bahasa           regarding the Company. The website provides content in both
Inggris. Informasi pada website RAJA terdiri dari:               Indonesian and English. Information presented on RAJA’s
                                                                 website includes, among others:




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                                                                                                                        Laporan Tahunan
                                                                                                                    PT Rukun Raharja Tbk   2025




 Tentang Kami                                  Perusahaan Kami
 About Us                                      Struktur Perusahaan
                                               Struktur Organisasi
                                               Manajemen
                                               Jejak Langkah
                                               Penghargaan dan Sertifikasi

                                               Our Company
                                               Corporate Structure
                                               Organization Structure
                                               Management
                                               Milestone
                                               Certification and Awards

 Portofolio Bisnis                             Upstream
 Business Portfolio                            Midstream
                                               Downstream
                                               New Initiative

 Investor                                      Informasi Saham
 Investor                                      Presentasi Perusahaan
                                               Layanan Investor
                                               Laporan Keuangan

                                               Stock Information
                                               Corporate Presentation
                                               Investor Services
                                               Financial Statement

 ESG                                           Environmental
 ESG                                           Social
                                               Governance

 Tata Kelola Perusahaan                        Berita RUPS
 Corporate Governance                          Laporan Perusahaan
                                               Badan Tata Kelola
                                               Pedoman Perilaku dan Etika Bisnis
                                               Sistem Pelaporan Pelanggaran

                                               GMS Updates
                                               Corporate Reports
                                               Governance Bodies
                                               Code of Conduct and Business Ethics
                                               Whistle-blowing System

 Media                                         Siaran Pers
 Media                                         Galeri
                                               Berita Terkini

                                               Press Release
                                               Gallery
                                               Latest News




Selain memiliki website, Perseroan juga memanfaatkan                           In addition to maintaining its official corporate website, the
media sosial sebagai sarana berkomunikasi dengan seluruh                       Company also uses social media as a communication channel
pemangku kepentingan. Adapun akun resmi Perusahaan di                          with all stakeholders. The Company’s official social media
media sosial yaitu:                                                            accounts are as follows:


                              @rukun.raharja                            @rukun.raharja                  @rukun.raharja




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                                                                                       Laporan Tahunan
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                                                       O4      ANALISA DAN
                                                               PEMBAHASAN
                                                               MANAJEMEN
                                                               Management Discussion
                                                               and Analysis




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Tinjauan Ekonomi
Economic Review


Ekonomi dunia tahun 2025 menunjukan perlambatan di tengah          In 2025, the global economy experienced a slowdown amid
ketidakpastian kondisi perekonomian global, proteksionisme         heightened uncertainty, rising trade protectionism (including
perdagangan (tarif AS) serta dinamika industri yang semakin        U.S. tariffs), and increasingly disruptive industry dynamics.
disruptif, namun diimbangi pertumbuhan kuat di beberapa            This was partially offset by strong growth in several emerging
negara berkembang seperti Indonesia. Bank Dunia (World             markets, including Indonesia. The World Bank projects Indonesia’s
Bank) memproyeksikan perekonomian Indonesia tumbuh                 economy to expand by 5.0% during 2025–2026, before rising
5,0 persen pada periode 2025-2026, sebelum meningkat ke            to 5.2% in 2027. Growth is expected to be driven by commodity
level 5,2 persen pada 2027. Pertumbuhan ini didorong ekspor        exports and investment, although exchange rate volatility and
komoditas dan investasi, meskipun volatilitas nilai tukar rupiah   fiscal pressures remain challenges. Meanwhile, the gold market
dan tekanan fiskal menjadi tantangan, sementara pasar emas         recorded unprecedented fluctuations.
mencatat rekor fluktuasi liar.

Dikutip dari siaran pers Bank Indonesia, Nilai tukar Rupiah        According to a press release from Bank Indonesia, the Rupiah
pada 16 Desember 2025 tercatat sebesar Rp16.685 per dolar          exchange rate stood at Rp16,685 per U.S. dollar on December 16,
AS, relatif stabil bila dibandingkan dengan level akhir November   2025, relatively stable compared to end-November 2025 levels.
2025. Perkembangan nilai tukar Rupiah masih sejalan dengan         Rupiah movements remained in line with regional currencies
pergerakan mata uang regional dan mitra dagang Indonesia,          and Indonesia’s trading partners, and even strengthened
bahkan tercatat menguat bila dibandingkan dengan mata uang         against several advanced economies’ currencies, except the U.S.
negara maju, kecuali AS. Perkembangan ini didukung oleh            dollar. This development was supported by Bank Indonesia’s
langkah stabilisasi Bank Indonesia melalui intervensi pasar NDF    stabilization measures, including interventions in the Domestic
baik di off-shore maupun on-shore (DNDF), di pasar spot, dan       Non-Deliverable Forward (DNDF) both off-shore and on-shore
pembelian SBN di pasar sekunder serta inflows pada saham           market, spot market operations, secondary market purchases
dan SRBI. Selain itu, tambahan pasokan valas dari korporasi,       of government securities, and inflows into equities and Bank
termasuk dari peningkatan konversi valas ke Rupiah oleh            Indonesia Rupiah Securities (SRBI) instruments. Additional
eksportir seiring penerapan penguatan kebijakan Devisa Hasil       foreign exchange supply from corporations, particularly
Ekspor Sumber Daya Alam (DHE SDA), juga mendukung tetap            exporters converting foreign exchange earnings into Rupiah
terkendalinya nilai tukar Rupiah.                                  under the strengthened Foreign Exchange Proceeds from
                                                                   Natural Resources Export (DHE SDA) policy, also contributed
                                                                   to maintaining exchange rate stability.




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Tinjauan Industri
Industrial Review


Tren positif pertumbuhan ekonomi nasional memberikan dampak           The positive trend in Indonesia’s national economic growth
positif, terutama pertumbuhan konsumsi energi. Kementerian            has contributed to rising energy consumption. The Ministry of
Energi dan Sumber Daya Mineral (ESDM) mencatat realisasi              Energy and Mineral Resources (ESDM) reported that oil and
produksi minyak siap jual (lifting) minyak dan gas bumi (migas)       gas lifting in 2025 reached 605,300 barrels per day, slightly
sepanjang tahun 2025 mencapai 605.300 barel per hari (bph)            above the target of 605,000 barrels per day.
dari target yang dicanangkan mencapai 605.000 bph.

Laporan IHS Markit (S&P Global) pada Juni 2025 mencatat bahwa         In its June 2025 report, IHS Markit (S&P Global) noted that
overall attractiveness iklim investasi hulu migas Indonesia           Indonesia ranked ninth out of fourteen Asia-Pacific countries in
menempati peringkat ke-9 dari 14 negara di Asia Pasifik. Dari         terms of overall upstream oil and gas investment attractiveness.
empat indikator penilaian, yaitu legal & contractual, fiscal          The assessment was based on four indicators, namely legal and
systems, oil and gas risk, serta activity & success, Indonesia        contractual frameworks, fiscal systems, oil and gas risk, and
tercatat memperoleh rating rendah pada aspek fiscal systems           activity and success. Indonesia recorded relatively low ratings
(5,11) dan legal & contractual (5,34). Sementara itu, dua indikator   in fiscal systems (5.11) and legal and contractual aspects (5.34).
lainnya yaitu oil and gas risk dan activity & success mendapatkan     Meanwhile, oil and gas risk and activity and success were
rating masing-masing sebesar 5,53 dan 6,03. Penyempurnaan             recorded at 5.53 and 6.03. The refinement of upstream fiscal
kebijakan fiskal hulu migas menjadi kunci utama untuk dapat           policies remains a key priority for achieving national oil and
mencapai target produksi migas nasional yang sebagian besar           gas production targets, particularly as most fields are already
telah berada pada kondisi mature.                                     in mature condition.




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Tinjauan Operasional
Operational Review


Tinjauan operasional dalam Laporan Tahunan Perusahaan                     The operational review in the Company’s Annual Report is
disajikan berdasarkan pada pengelompokan jenis operasional                presented based on the grouping of business operations carried
usaha yang dijalankan Perseroan, yakni:                                   out by the Company, namely:
• Upstream, yaitu Lifting minyak dan gas untuk blok Cepu                  • Upstream, which includes oil and gas lifting from the Cepu
     dan blok Jabung;                                                          Block and Jabung Block;
• Midstream, yaitu bidang usaha pengangkutan gas, kompresi                • Midstream, which includes gas transportation, gas
     gas, pemeliharaan dan pengoperasian infrastruktur gas,                    compression, maintenance and operation of gas infrastructure,
     air bersih, fasilitas terminal LPG, dan Permodalan dalam                  clean water services, LPG terminal facilities, and capital
     Perusahaan Lain;                                                          participation in other companies;
• Downstream, yaitu Perdagangan natural gas dan CNG.                      • Downstream, which includes natural gas and CNG trading.

Kegiatan usaha tersebut dijalankan Perseroan di beberapa                  The Company’s business activities are conducted across several
wilayah, di antaranya Riau, Jambi, Banten, Jawa Barat, Jawa               regions, including Riau, Jambi, Banten, West Java, Central Java,
Tengah, Jawa Timur, Sulawesi Selatan, Kalimantan Utara, dan               East Java, South Sulawesi, North Kalimantan, and West Papua,
Papua Barat. dengan rincian kinerja sebagai berikut:                      with performance details presented accordingly.

                                                          Produktivitas Per Segmen
                                                          Productivity Per Segment

                                                                                                                              YOY 2024 - 2025
 Segmen                        Uraian            Satuan
                                                                 2025                2024           2023
 Segment                     Description          Unit
                                                                                                                      Nominal                   %

                   Jasa Kompresi dan Transmisi
                   Gas
                                                 MSCF         8.167.843          7.641.035      10.037.307           526.808                6,89
                   Gas Compression and
                   Transmission Services
 MIDSTREAM
                   Penyaluran Air Bersih
                                                  M3          1.352.897          1.353.186       1.351.411            (289)                (0,02)
                   Clean Water Distribution

                   Terminal LPG
                                                  Kg        244.075.440         266.271.210     175.847.190        (22.195.770)            (8,34)
                   LPG Terminal

                   Jasa Pengangkutan Gas
                                                 MMBTU        8.857.688          12.440.788     11.500.412         (3.583.100)            (28,80)
                   Gas Transportation Services

                   Perdagangan Natural gas *)
                                                 MMBTU       16.004.168          16.980.308     13.100.904          (976.140)              (5,75)
                   Natural Gas Trading *)
 DOWNSTREAM
                   Perdagangan CNG *)
                                                 MMBTU        1.500.942          1.303.724        744.744            197.218               15,13
                   CNG Trading *)

                   Jasa Pengangkutan Gas
                                                 MMBTU       14.399.797          13.485.030      9.028.619           914.767                6,78
                   Gas Transportation Services

*) diakui sebagai pendapatan perdagangan gas
   recognized as gas trading revenue

Bidang Usaha Kompresi Gas, Pengangkutan Gas, Distribusi                   Gas Compression, Gas Transportation, Clean Water Distribution,
Air Bersih dan Fasilitas Terminal LPG                                     and LPG Terminal Facilities Business
Bidang usaha jasa kompresi gas dijalankan Perseroan melalui               The Company’s gas compression services are carried out through
PT Triguna Internusa Pratama, dengan mengelola operasional                PT Triguna Internusa Pratama, which manages the operation
4 kompresor gas yang saat ini disewakan kepada pembangkit                 of 4 gas compressors currently leased to power plants in the
listrik di wilayah Cilegon.                                               Cilegon area.

Pengangkutan gas melalui PT Triguna Internusa Pratama yang                Gas transportation is also conducted through PT Triguna
bekerja sama dengan PT Petrogas Jatim Utama (PJU) yang                    Internusa Pratama in collaboration with PT Petrogas Jatim
dilaksanakan melalui konsep Bangun, Operasi dan Serah dalam               Utama (PJU), implemented under a Build (Bangun), Operate
rangka penyaluran gas ke PT Pembangkit Jawa Bali melalui                  (Operasi) and Transfer (Serah) scheme to distribute gas to PT
pipa sepanjang ± 20 Km.                                                   Pembangkit Jawa Bali via a pipeline of ±20 kilometers.

Pada tahun 2025, melalui PT Triguna Internusa Pratama,                    In 2025, through PT Triguna Internusa Pratama, the Company
Perseroan mencatatkan peningkatan pada jasa kompresi dimana               recorded an increase in gas compression services, which in 2024
pada tahun 2024 mencapai 7.641.035 MSCF, naik 6,89% menjadi               reached 7,641,035 MSCF, rising by 6.89% to 8,167,843 MSCF
8.167.843 MSCF di tahun 2025. Di sisi Midstream, penyaluran               in 2025. In the Midstream segment, clean water distribution
air bersih menurun sebesar 0,02% dibanding tahun 2024 dan                 decreased by 0.02% compared to 2024, while in the Downstream
di sisi Downstream terdapat penurunan pada perdagangan                    segment, there was decrease in both natural gas trading and
natural gas dan perdagangan CNG.                                          CNG trading.


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Volume Kompresi dan Transmisi Gas (dalam MSCF)                                Gas Compression and Transmission Volume (in MSCF)

                                                                                                                            YOY 2024 - 2025
 Segmen                             Uraian
                                                                   2025                2024           2023
 Segment                          Description
                                                                                                                     Nominal                       %



 Midstream                     Cilegon, Banten                  8.167.843           7.641.035     10.037.307         526.808                  6,89


 Jumlah
                                                                8.167.843           7.641.035     10.037.307         526.808                  6,89
 Total


Sepanjang tahun 2025 penyewaan kompresor berhasil memberikan                  Throughout 2025, compressor leasing managed to provide
performa yang konsisten kepada mitra usaha Perseroan.                         consistent performance to the Company’s business partners.

Volume Penyaluran Air Bersih (dalam m3)                                       Clean Water Distribution Volume (in m3)

                                                                                                                           YOY 2024 - 2025
 Segmen                            Uraian
                                                                  2025               2024           2023
 Segment                         Description
                                                                                                                  Nominal                      %


                           Cijanggel, Jawa Barat
 Midstream                                                     1.352.897          1.353.186      1.351.411         (289)                 (0,02)
                           Cijanggel, West Java

 Jumlah
                                                               1.352.897          1.353.186      1.351.411         (289)                 (0,02)
 Total


Hingga 31 Desember 2025, Perseroan berhasil mencatatkan                       Until December 31, 2025, the Company managed to record a
volume penyaluran air bersih sebesar 1,35 juta m3 atau mengalami              clean water distribution volume of 1.35 million m3 or an decrease
peningkatan sebesar 0,02% dibandingkan tahun 2024.                            of 0.02% compared to 2024.

Volume Fasilitas Terminal LPG (dalam kg)                                      Gas Transportation Volume (in Kg)

                                                                                                                           YOY 2024 - 2025
 Segmen                            Uraian
                                                                  2025               2024           2023
 Segment                         Description
                                                                                                                  Nominal                      %


                          Rembang, Jawa Tengah
 Midstream                                                 244.075.440        266.271.210       175.847.190     (22.195.770)                 8,34
                          Rembang, Central Java

 Jumlah
                                                           244.075.440        266.271.210       175.847.190     (22.195.770)                 8,34
 Total




Pada tahun 2025 peningkatan volume terminal LPG melalui                       In 2025, the Company recorded an increase in LPG terminal
PT Heksa Energi Mitraniaga sebesar 8,34% dari 266,27 juta                     volume through PT Heksa Energi Mitraniaga, rising by 8.34%
kg di 2024 menjadi 244,08 juta kg di 2025.                                    from 266.27 million kilograms in 2024 to 244,08 million
                                                                              kilograms in 2025.

Bidang Usaha Pengangkutan Gas                                                 Gas Transportation Business
Bidang usaha pengangkutan gas dijalankan Perseroan melalui                    Gas transportation business are carried out by the Company
PT Energasindo Heksa Karya (downstream) dan PT Triguna                        through PT Energasindo Heksa Karya (downstream) and PT
Internusa Pratama (midstream). Pada tahun 2025, volume                        Triguna Internusa Pratama (midstream). In 2025, the volume
pengangkutan gas yang dilakukan oleh Perseroan menurun                        of gas transportation managed by the Company decreased by
10,29% dibanding tahun 2024 menjadi total 23,26 juta MSCF.                    10.29% compared to 2024, reaching a total of 23.26 million MSCF.




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Volume Transportasi Gas (dalam MMBTU)                             Gas Transportation Volume (in MMBTU)

                                                                                                                     YOY 2024 - 2025
 Segmen                               Uraian
                                                      2025               2024        2023
 Segment                            Description
                                                                                                           Nominal                     %


                             Gresik, Jawa Timur
 Midstream                                         8.857.688      12.440.788      11.500.412            (3.583.100)                (28,80)
                              Gresik, East Java

                                  Jambi dan Riau
                                                   11.847.512     10.614.800      5.845.616              1.232.712                 11,61
                                  Jambi and Riau
 DownStream
                           Jawa Barat dan Banten
                                                   2.552.285          2.870.230   3.183.002              (317.945)                 (11,08)
                            West Java and Banten

 Jumlah
                                                   23.257.485     25.925.818      20.529.030            (2.668.333)                (10,29)
 Total


Bidang Usaha Perdagangan Gas Alam dan CNG                         Natural Gas Trading and CNG Business
Perseroan menjalankan bidang usaha perdagangan gas melalui        The Company operates gas trading business through PT
PT Energasindo Heksa Karya yang beroperasi di wilayah Jambi,      Energasindo Heksa Karya which operates in Jambi, Riau, West
Riau, Jawa Barat, dan Banten.                                     Java, and Banten.


Volume Perdagangan Gas (dalam MMBTU)                              Volume Perdagangan Gas (dalam MMBTU)


                                                                                                                     YOY 2024 - 2025
 Segmen                               Uraian
                                                      2025               2024        2023
 Segment                            Description
                                                                                                           Nominal                     %


                                  Jambi dan Riau
                                                   11.866.657     12.569.491      8.575.216               702.834                  (5,59)
                                  Jambi and Riau
 DownStream
                           Jawa Barat dan Banten
                                                   4.137.512          4.410.818   4.525.688              (273.306)                 (6,20)
                            West Java and Banten

 Jumlah
                                                   16.004.168     16.980.308      13.100.904             (976.140)                 (5,75)
 Total



Pada tahun 2025, volume perdagangan gas mencapai 16,00 juta       In 2025, the Company’s gas trading volume reached 16.00
MMBTU, mengalami penurunan 5,75% atau 976,14 ribu MMBTU           million MMBTU, representing an increase of 5.75% or 976.14
jika dibandingkan dengan tahun 2024 dimana tercatat volume        thousand MMBTU compared to 2024, when gas trading volume
perdagangan gas sebesar 16,98 juta MMBTU.                         stood at 16.98 million MMBTU.

Volume Perdagangan CNG (dalam MMBTU)                              CNG Trading Volume (in MMBTU)

                                                                                                                     YOY 2024 - 2025
 Segmen                               Uraian
                                                      2025               2024        2023
 Segment                            Description
                                                                                                           Nominal                     %


                           Jawa Barat dan Banten
                                                    940.252           1.029.308    728.630                (89.056)                 (8,65)
                            West Java and Banten

                                   Jawa Tengah
 DownStream                                         560.689           274.415      11.628                 286.274                  104,32
                                   Central Java

                                     Lainnya
                                                       -                  -         4.486                     -                        -
                                     Others

 Jumlah
                                                   1.500.942          1.303.724    744.744                197.218                  15,13
 Total




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                                                                                                                         Laporan Tahunan
                                                                                                                     PT Rukun Raharja Tbk   2025


Pada tahun 2025, Perseroan mencatatkan peningkatan yang                        In 2025, the Company recorded a significant increase in
pada volume perdagangan CNG sebesar 197,22 ribu MMBTU,                         CNG trading volume, reaching 197.22 thousand MMBTU, or
atau mengalami peningkatan sebesar 15,13%. Volume tersebut                     an increase of 15.13% compared to the previous year. This
disumbang dari Jawa Barat dan Banten sebesar 62,64% MMBTU,                     volume was contributed by operations in West Java and Banten
dan Jawa Tengah sebesar 37,36% MMBTU.                                          amounting to 62,64% MMBTU, and in Central Java amounting
                                                                               to 37,36% MMBTU.

                                                                                                                     Pertumbuhan 2024-2025
 Segmen                                                                                                                 Growth 2024-2025
                                            2025                   2024               2023           2022
 Segment
                                                                                                                  Nominal                   %

 Segmen Lifting Minyak Dan Gas
 Oil and Gas Lifting Segment


 UPSTREAM


 Pendapatan
                                        49.313.956             57.743.447          47.041.922         -         (8.429.491)           (14,60%)
 Revenue

 Beban
                                       (39.447.470)        (49.942.548)        (30.043.615)       (738.698)     (10.495.078)           (21.01)
 Expenses

 Pendapatan Investasi
                                        5.337.530               6.154.687          7.479.071     6.960.148       (817.157)            (13.28%)
 Investment Income

 Laba (Rugi)
                                        15.204.016             13.955.586          24.477.378    6.221.450       1.248.430             8.95%
 Profit (Loss)

 Segmen Lainnya
 Other Segment


 MIDSTREAM


 Pendapatan
                                        68.279.276             53.516.974          50.899.448    22.522.337     14.762.302             27,58%
 Revenue

 Beban
                                       (72.651.990)        (48.342.869)        (49.545.853)     (22.131.107)    (24.309.121)           50,28%
 Expenses

 Pendapatan Investasi
                                        14.410.043                  -                  -              -         14.410.043            100,00%
 Investment Income

 Laba (Rugi)
                                        10.037.329              5.174.105          1.353.595      391.230        4.863.224             93,99%
 Profit (Loss)

 Segmen Distribusi Gas Alam
 Natural Gas Distribution Segment


 DOWNSTREAM


 Pendapatan
                                       149.073.770             143.216.510     105.804.590      104.163.751      5.857.260             4,09%
 Revenue

 Beban
                                       (139.295.370)       (133.263.691)       (104.486.083)    (99.937.088)    (6.031.679)            4,53%
 Expenses

 Pendapatan Investasi
                                             -                      -                  -              -              -                      -
 Investment Income

 Laba (Rugi)
                                        9.778.400               9.952.819          1.318.507     4.226.663       -174.419              (1,75%)
 Profit (Loss)

 Jumlah
 Total

 Pendapatan
                                       266.667.002             254.476.931     203.745.960      126.686.088     12.190.071             4,79%
 Revenue

 Beban
                                       (251.394.830)       (231.549.108)       (184.075.551)    (122.806.893)   (19.845.722)           8,57%
 Expenses

 Pendapatan Investasi
                                        19.747.573              6.154.687          7.479.071     6.960.148      13.592.886            220,85%
 Investment Income

 Laba (Rugi)
                                        35.019.745             29.082.510          27.149.480    10.839.343      5.937.235             20,42%
 Profit (Loss)




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                                                                                             Together Shaping Excellence For Sustainable Growth




                                                                                                            Pertumbuhan 2024-2025
 Segmen                                                                                                        Growth 2024-2025
                                     2025           2024            2023              2022
 Segment
                                                                                                         Nominal                   %

 Persentase Pendapatan
 Percentage of Revenue

 Persentase Segmen Gas Alam
                                    55,90%        56,28%           51,93%           82,22%              (0,38%)                 (0,67)
 Natural Gas Segment Percentage

 Persentase Segmen Lifting Minyak
 dan Gas
                                    18,49%        22,69%           23,09%            0,00%              (4,20%)                 (18,50)
 Oil and Gas Lifting Segment
 Percentage

 Presentase Segmen Lainnya
                                    25,60%        21,03%           24,98%           17,78%               4,57%                  21,75
 Other Segment Percentage




Tercatat hingga 31 Desember 2025, total pendapatan segmen        As of December 31, 2025, the Company’s total revenue reached
usaha Perseroan mencapai USD266,67 juta, mengalami               USD266.67 million, an increase of 4.79% or USD12.19 million
peningkatan sebesar 4,79% atau USD12,19 juta dibandingkan        compared to 2024, when revenue stood at USD254.48 million.
tahun 2024 yang tercatat sebesar USD254,48 juta. Pendapatan      The majority of this revenue was contributed by the Natural
ini sebagian besar disumbangkan oleh Segmen Gas Alam             Gas Segment (55.90%), followed by the Other Segment (25.60%)
(55,90%), disusul oleh Segmen Lainnya (25,60%) dan Segmen        and the Oil and Gas Lifting Segment (18.49%). Overall, the
Lifting Minyak dan Gas (18,49%). Secara keseluruhan, laba        Company’s net profit rose by 20.42%, from USD29.08 million
Perseroan meningkat 20,42% dari USD29,08 juta pada tahun         in 2024 to USD35.02 million in 2025.
2024 menjadi USD35,02 juta pada tahun 2025.
                                                                 ‘
Segmen Lifting Minyak dan Gas                                    Oil and Gas Lifting Segment
Hingga akhir tahun 2025, segmen lifting minyak dan gas           By the end of 2025, the oil and gas lifting segment posted revenue
berhasil membukukan pendapatan sebesar USD49,31 juta,            of USD49.31 million, representing a decline of USD8.43 million
menurun sebesar USD8,43 juta atau 14,60% dibandingkan            or 14.60% compared to 2024, when the Company recorded
tahun 2024 dimana Perseroan mencatatkan pendapatan sebesar       revenue of USD57.74 million from upstream oil and gas lifting
USD57,74 juta di sisi Upstream Lifting minyak dan gas. Secara    activities. Overall, the segment delivered a profit of USD15.20
keseluruhan, kinerja segmen ini mencatatkan laba USD15,20        million, an increase of 8.95% compared to 2024, when the
juta atau naik 8,95% dibandingkan tahun 2024 dimana segmen       segment recorded a profit of USD13.96 million.
ini mencatakan laba sebesar USD13,96 juta.

Segmen Lainnya                                                   Other Segment
Di sisi midstream pada segmen Lainnya, Perseroan mencatat        In the midstream segment under Others, the Company recorded
pendapatan USD68,28 juta. Hal ini meningkat 27,58% atau          revenue of USD 68.28 million in 2025. It represents an increase
sebesar USD14,76 juta dibanding tahun 2024 dimana Perseroan      of 27.58% or USD 14.76 million compared to 2024, when the
mencatatkan pendapatan USD53,52 juta pada segmen ini. Beban      Company recorded revenue in this segment amounted to USD
meningkat 50,28% atau sebesar USD24,31 juta, dari USD48,34       53.52 million. Expenses rose by 50.28% or USD 24.31 million,
juta pada tahun 2024 menjadi USD72,65 juta pada tahun 2025.      from USD 48.34 million in 2024 to USD 72.65 million in 2025.
Kinerja segmen ini mencatatkan laba USD10,04 juta atau naik      Overall, the segment delivered a profit of USD 10.04 million,
93,99% dibandingkan tahun sebelumnya sebesar USD5,17 juta.       an increase of 93.99% compared to the previous year’s profit
                                                                 of USD 5.17 million.
Segmen Distribusi Gas Alam
Pada tahun 2025 pendapatan segmen distribusi gas alam            Natural Gas Distribution Segment
mengalami peningkatan sebesar 4,09% atau USD5,86 juta dari       In 2025, revenue from the natural gas distribution segment
USD143,22 juta pada tahun 2024 menjadi USD149,07 juta pada       increased by 4.09% or USD 5.86 million, rising from USD 143.22
tahun 2025. Di sisi beban juga meningkat sebesar 4,53% atau      million in 2024 to USD 149.07 million in 2025. Expenses also
sebesar USD6,03 juta dari USD133,26 juta di tahun 2024 menjadi   grew by 4.53% or USD 6.03 million, from USD 133.26 million
USD139,30 juta di tahun 2025. Secara keseluruhan, segmen         in 2024 to USD 139.30 million in 2025. Overall, the segment
ini mencatatkan penurunan laba sebesar 1,75% dari USD9,95        recorded a profit decline of 1.75%, from USD 9.95 million in
juta pada tahun 2024 menjadi USD9,78 juta pada tahun 2025.       2024 to USD 9.78 million in 2025.




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                                                                                                                         Laporan Tahunan
                                                                                                                     PT Rukun Raharja Tbk    2025



Tinjauan Keuangan
Financial Review


Tinjauan Keuangan yang disajikan dalam Laporan Tahunan ini                 The Financial Review presented in this Annual Report was
disusun dengan merujuk pada Laporan Keuangan Konsolidasian                 prepared with reference to the 2025 Consolidated Financial
tahun 2025 yang telah diaudit oleh Kantor Akuntan Publik Paul              Statements which have been audited by the Public Accounting
Hadiwinata, Hidajat, Arsono, Retno, Palilingan, dan Rekan                  Firm Paul Hadiwinata, Hidajat, Arsono, Retno, Palilingan, and
dengan pendapat menyajikan secara wajar, dalam semua hal                   Partners with an opinion of fair presentation, in all material
yang material.                                                             respects.

Laporan Posisi Keuangan                                                     Statement of Financial Position


                                                                                                                      YOY 2024 - 2025
 Uraian
                                                  2025            2024                   2023
 Description
                                                                                                          Nominal                           %

 Aset Lancar
 Current Assets

 Kas dan Setara Kas
                                               90.868.436      44.350.787             34.867.986        46.517.649                      104,89
 Cash and Cash Equivalents

 Piutang Usaha
 Trade Receivables

     Pihak Ketiga–Bersih
                                               28.026.829      33.547.375             30.538.403        (5.520.546)                     (16,46)
     Third Parties-Net

     Pihak Berelasi
                                               4.948.958           -                      -              4.948.958                      100,00
     Related Parties

 Piutang Lain-Lain
 Other Receivables

     Pihak Ketiga–Bersih
                                               5.669.426       2.646.475              3.852.230          3.022.951                      114,23
     Third Parties-Net

     Pihak Berelasi
                                                158.374        4.232.132              6.081.289         (4.073.758)                     (96,26)
     Related Parties

 Persediaan
                                                635.886         568.253                694.133            67.633                        11,90
 Inventories

 Pajak Dibayar di Muka
                                               2.881.955       2.724.851              4.134.509          157.104                         5,77
 Prepaid Taxes

 Uang Muka dan Beban Dibayar di Muka
                                               3.707.522       2.738.799               353.599           968.723                        35,37
 Advances and Prepaid Expenses

 Investasi Jangka Pendek
                                                608.701            -                      -              608.701                        100,00
 Short-Term Investment

 Aset Lancar Lain-lain
                                                103.969            -                      -              103.969                        100,00
 Other Current Assets

 Jumlah Aset Lancar
                                              137.610.056      90.808.672            80.522.149         46.801.384                      51,54
 Total Current Assets

 Aset Tidak Lancar
 Non-Current Assets

 Investasi Jangka Panjang
                                               11.962.123          -                      -             11.962.123                      100,00
 Long-Term Investment

 Piutang Usaha Pihak Ketiga–Bersih
                                                 60.288         194.053                807.649           (133.765)                      (68,93)
 Trade Receivables Third Parties-Net

 Investasi pada Entitas Asosiasi
                                               45.813.083      8.623.865              9.908.977         37.189.218                      431,24
 Investment in Associates

 Aset Pajak Tangguhan
                                               2.440.652       1.685.142               905.432           755.510                        44,83
 Deferred Tax Assets

 Taksiran Klaim Pengembalian Pajak
                                                950.969         114.615                404.071           836.354                        729,71
 Estimated Claims for Income Tax Refund



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                                                                                               Together Shaping Excellence For Sustainable Growth




                                                                                                                  YOY 2024 - 2025
 Uraian
                                         2025              2024                    2023
 Description
                                                                                                      Nominal                          %

 Aset Tetap–Bersih
                                     199.437.035       167.904.947             170.934.720          31.532.088                      18,78
 Fixed-Assets-Net

 Aset Hak Guna–bersih
                                      3.612.628         2.830.177               846.966              782.451                        27,65
 Right of Use Assets-Net

 Aset Tak Berwujud-Bersih
                                      859.930           1.070.592               1.168.007           (210.662)                       (19,68)
 Intangible Assets-Net

 Properti Minyak dan Gas-Bersih
                                     18.974.738         21.708.950             23.834.819           (2.734.212)                     (12,59)
 Oil and Gas Properties-Net

 Aset Hak Kontraktual Proyek
                                      1.484.021         3.179.196               4.075.283           (1.695.175)                     (53,32)
 Project Contractual Right Assets


 Goodwill                            25.188.426         26.810.373             24.647.777           (1.621.947)                     (6,05)


 Aset Tidak Lancar Lain-lain
                                     29.239.128         6.420.077              10.592.278           22.819.051                      355,43
 Total Non-Current Assets

 Aset Tidak Lancar
                                     340.023.021       240.541.987             248.125.979          99.481.034                      41,36
 Non-Current Assets

 Jumlah Aset
                                     477.633.077       331.350.659             496.251.958         146.282.418                      44,15
 Total Assets


Jumlah Aset
Total Assets

                     2025

                       477.633.077

                     2024

                       331.350.659

                     2023

                       496.251.958




Hingga akhir tahun 2025, total aset Perseroan mencapai              By the end of 2025, the Company’s total assets reached USD477.63
USD477,63 juta, meningkat sebesar 44,15% atau USD146,28             million, an increase of 44.15% or USD146.28 million compared
juta dibandingkan tahun 2024 dimana Perseroan mencatatkan           to 2024, when the Company recorded USD331.35 million for
aset USD331,35 juta. Peningkatan ini terutama disumbangkan          its assets. This increase was primarily driven by a significant
oleh kenaikan pada investasi pada entitas asosiasi pada tahun       increase in investments in associated entities, which rose by
2025 yang meningkat sebesar 431,24% atau USD37,19 juta              431.24% or USD37.19 million compared to 2024.
dibandingkan tahun 2024.

Aset Lancar                                                         Current Assets
Aset lancar mencapai USD137.61 juta, meningkat sebesar              Current assets amounted to USD137.61 million, an increase of
51,54% atau USD46,80 juta dibandingkan tahun sebelumnya             51.54% or USD46.80 million compared to the previous year’s
yang mencapai USD90,81 juta. Hal ini terutama disebabkan            USD90.81 million. The increase was primarily attributable to
disebabkan oleh penerimaan kas dari transaksi Initial Public        cash inflows from the Initial Public Offering (IPO) transaction
Offering (IPO) dan divestasi sebagian saham entitas anak.           and the partial divestment of shares in a Subsidiary.

Aset Tidak Lancar                                                   Non-Current Assets
Di sisi aset tidak lancar Perseroan mencatatkan aset tidak          The Company’s non-current assets totaled USD340.02 million, an
lancar sebesar USD340,02 juta, meningkat sebesar 41,36%             increase of 41.36% or USD99.48 million compared to USD240.54
atau USD99,48 juta dibandingkan tahun sebelumnya yang               million in the previous year. The rise was mainly driven by higher
mencapai USD240,54 juta. Hal ini terutama disebabkan oleh           investment in associates, the placement of Patriot Bonds in
kenaikan investasi pada entitas asosiasi, penempatan Patriot        2025 recorded as long term investment, the increase in fixed
Bonds pada tahun 2025 yang dicatat sebagai investasi jangka         assets value in line with additional acquisitions during the


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                                                                                                                        Laporan Tahunan
                                                                                                                    PT Rukun Raharja Tbk    2025


Liabilitas                                                                   Liabilities
                                                                                                                           dalam USDD | in USD


                                                                                                                     YOY 2024 - 2025
 Uraian
                                                    2025           2024                       2023
 Description
                                                                                                         Nominal                           %

 Pinjaman Bank Jangka Pendek
                                                 7.479.383      1.667.039                  1.946.030    5.812.344                      348,66
 Short-Term Bank Loans

 Utang Usaha - Pihak Ketiga
                                                26.294.712     18.523.806                  19.126.793   7.770.906                      41,95
 Trade Payables – Third Parties

 Utang Lain-lain
 Other Payables

    Pihak Ketiga
                                                 664.993        515.270                    1.199.968     149.723                       29,06
    Third Parties

    Pihak Berelasi
                                                  85.014        545.000                     545.000     (459.986)                      (84,40)
    Related Parties

 Utang Dividen
                                                 6.297.049          -                          -        6.297.049                      100,00
 Dividend Payables

 Utang Pajak
                                                 4.672.458      4.864.209                  4.005.770    (191.751)                      (3,94)
 Taxes Payable

 Uang Muka Penjualan
                                                 4.889.597      4.311.396                   534.511      578.201                       13,41
 Advances from Sales

 Beban Akrual
                                                 8.638.016      4.970.804                  2.319.732    3.667.212                      73,78
 Accrued Expenses

 Bagian Jangka Pendek Pinjaman Jangka Panjang
 Current Maturities of Long-Term Loans

 Utang Pembelian Aset Tetap
                                                     -          104.360                     121.471     (104.360)                   (100,00)
 Fixed Assets Purchase Payables

 Pinjaman Bank
                                                34.826.131     21.686.680                  25.892.716   13.139.451                     60,59
 Bank Loans

 Pinjaman Pembiayaan Konsumen
                                                 868.412        697.055                     440.786      171.357                       24,58
 Consumer Financing Loans

 Liabilitas Sewa
                                                 611.455        562.471                     216.661      48.984                         8,71
 Lease Liabilities

 Jumlah Liabilitas Jangka Pendek
                                                95.327.220     58.448.090                  56.349.438   36.879.130                     63,10
 Total Current Liabilities

 Pinjaman Jangka Panjang- Selelah Dikurangi Bagian Lancar
 Long Term Loan – Net of Current Maturities

 Utang Pembelian Aset Tetap
                                                     -           66.468                        -         (66.468)                   (100,00)
 Fixed Assets Purchase Payables

 Pinjaman Bank
                                                108.207.265    88.955.087              106.729.395      19.252.178                     21,64
 Bank Loans

 Pinjaman Pembiayaan Konsumen
                                                 957.051        1.218.903                   839.498     (261.852)                      (21,48)
 Consumer Financing Loans

 Liabilitas Sewa
                                                 602.433        353.009                     227.087      249.424                       70,66
 Lease Liabilities

 Liabilitas Pembongkaran Aset
                                                14.131.992      8.514.079                  8.360.858    5.617.913                      65,98
 Asset Dismantling Obligation

 Liabilitas Imbalan Pasca-Kerja
                                                 687.449        515.282                     550.347      172.167                       33,41
 Post-employment Benefits Liabilities

 Liabilitas Imbalan Pensiunan Direksi dan
 Komisaris
                                                 1.782.275      1.417.160                  1.049.219     365.115                       25,76
 Pension Benefit Obligation for Directors
 and Commissioners

 Jumlah Liabilitas Jangka Panjang
                                                126.368.465    101.039.988             117.756.404      25.328.477                     25,07
 Total Non-Current Liabilities

 Jumlah Liabilitas
                                                221.695.685    159.488.078             174.105.842      62.207.607                     39,00
 Total Liabilities




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                                                                                            Together Shaping Excellence For Sustainable Growth




panjang, kenaikan nilai aset tetap seiring penambahan aset        year, and the growth in other non current assets, consisting of
tetap selama tahun berjalan serta kenaikan aset tidak lancar      refundable deposits on investments, restricted deposits and
lain-lain yang kenaikannya terdiri dari refundable deposit atas   cash, and advances for the purchase of fixed assets.
investasi, deposito dan kas yang dibatasi penggunaannya serta
uang muka pembelian aset tetap.

Liabilitas                                                        Liabilities
Total liabilitas Perseroan pada akhir tahun 2025, tercatat        At the end of 2025, the Company’s total liabilities amounted
mencapai USD221,70 juta, meningkat sebesar 39,00% atau            to USD221.70 million, an increase of 39.00% or USD62.21
USD62,21 juta dibandingkan tahun 2024 yang tercatat sebesar       million compared to 2024, when liabilities stood at USD159.49
USD159,49 juta. Hal ini terutama dipengaruhi oleh peningkatan     million. This increase was primarily driven by the increase in
pinjaman bank jangka panjang.                                     long-term bank loans.

Total Liabilitas
Total Liabilities


                    2025

                      221.695.685

                    2024

                      159.488.078

                    2023

                      174.105.842




Liabilitas Jangka Pendek                                          Current Liabilities
Liabilitas jangka pendek Perseroan pada akhir tahun 2025          At the end of 2025, the Company’s current liabilities amounted
tercatat sebesar USD95,33 juta, meningkat sebesar 63,10% atau     to USD95.33 million, an increase of 63.10% or USD36.88 million
USD36,88 juta dibandingkan tahun 2024 yang tercatat sebesar       compared to 2024, when current liabilities stood at USD58.45
USD58,45 juta. Hal ini terutama terutama disebabkan karena        million. The increase was mainly due to the increase of balance
peningkatan saldo utang bank, utang usaha dan pengakuan           of bank loans, trade payables, and the recognition of interim
dividen interim kepada pemegang saham.                            dividends to shareholders.

Liabilitas Jangka Panjang                                         Non-Current Liabilities
Sementara itu di sisi liabilitas jangka panjang Perseroan pada    Meanwhile, the Company’s non-current liabilities at the end
akhir tahun 2025 tercatat sebesar USD126,37 juta, meningkat       of 2025 reached USD126.37 million, an increase of 25.07% or
sebesar 25,07% atau USD25,33 juta dibandingkan tahun 2024         USD25.33 million compared to 2024, when non-current liabilities
dimana liabilitas jangka panjang Perseroan sebesar USD101,04      totaled USD101.04 million. The increase was mainly due to the
juta. Hal ini terutama terutama disebabkan karena peningkatan     increase of balance of bank loans and the recognition of asset
saldo utang bank dan pengakuan liabilitas pembongkaran aset.      dismantling obligation.




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                                                                                                                             Laporan Tahunan
                                                                                                                         PT Rukun Raharja Tbk   2025


Ekuitas                                                                     Equity                                                          dalam USD

                                                                                                                          YOY 2024 - 2025
 Uraian
                                                   2025            2024                      2023
 Description
                                                                                                              Nominal                           %

 Modal Ditempatkan dan Disetor Penuh
                                               10.964.473      10.964.473               10.964.473               -                           0,00
 Issued and Fully Paid Capital

 Tambahan Modal Disetor
                                               32.148.722      23.231.955               23.231.955           8.916.767                      38,38
 Additional Paid in Capital

 Selisih Ekuitas dan Setoran Entitas Anak
 The Difference in the Equity of               60.300.540       5.552.967               5.552.967           54.747.573                      985,92
 Subsidiaries Deposits

 Selisih Kurs atas Penjabaran Laporan
 Keuangan dalam Mata Uang Asing
 Foreign Exchange Differences from the         (1.113.990)      (15.536)                   (5.863)          (1.098.454)                  7.070,38
 Translation of Foreign Currency Financial
 Statements

 Komponen Ekuitas Lainnya
                                               (277.282)        (54.484)                   (54.484)          (222.798)                      408,92
 Other Equity Component

 Saldo Laba
 Retained Earnings

 Telah Ditentukan Penggunaannya
                                                185.036          50.756                    31.468            134.280                        264,56
 Appropriated

 Belum Ditentukan Penggunaannya
                                              110.914.975      105.416.648              89.898.979           5.498.327                       5,22
 Unappropriated

 Total Ekuitas yang dapat Diatribusikan
 kepada Pemilik Entitas Induk
                                              213.122.474      145.146.779             129.619.495          67.975.695                      46,83
 Equity Attributable to Owners of the
 Parent Entity

 Kepentingan Non-Pengendali
                                               42.814.918      26.715.802               24.922.791          16.099.116                      60,26
 Non-controlling Interests

 Jumlah Ekuitas
                                              255.937.392      171.862.581             154.542.286          84.074.811                      48,92
 Total Equity


Jumlah Ekuitas                                                              Total Equity


                     2025

                        255.937.392

                     2024

                        171.862.581

                     2023

                        154.542.286




Pada tahun 2025, ekuitas Perseroan tercatat sebesar USD255,94               In 2025, the Company’s equity amounted to USD255.94 million,
juta meningkat sebesar 48,92% atau USD84,07 juta dibandingkan               an increase of 48.92% or USD84.07 million compared to 2024,
dengan tahun 2024 dimana ekuitas Perseroan mencapai                         when the Company’s equity stood at USD171.86 million. The
USD171,86 juta. Hal ini terutama disebabkan disebabkan oleh                 increase was primarily attributable to cash inflows from the
penerimaan kas dari transaksi Initial Public Offering (IPO) dan             Initial Public Offering (IPO) transaction and the partial divestment
divestasi sebagian saham entitas anak.                                      of shares in a Subsidiary.




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

Laporan Laba Rugi dan Penghasilan Komprehensif Lain                          Consolidated Statements of Profit or Loss and Other
Konsolidasian                                                                Comprehensive Income
                                                                                                                             dalam USDD | in USD


                                                                                                                       YOY 2024 - 2025
 Uraian
                                                   2025            2024                  2023
 Description
                                                                                                            Nominal                         %

 Pendapatan Bersih
                                                266.667.002    254.476.931           203.745.960          12.190.071                      4,79
 Net Revenue

 Beban Pokok Pendapatan
                                               (194.510.070)   (185.226.881)         (137.806.002)       (9.283.189)                      5,01
 Cost of Revenue

 Laba Bruto
                                                72.156.932      69.250.050            65.939.958          2.906.882                       4,20
 Gross Profit

 Beban Umum dan Administrasi
                                                (25.311.928)   (19.865.164)          (17.894.728)        (5.446.764)                     27,42
 General and Administrative Expenses

 Laba selisih kurs – bersih
                                                (2.220.348)      (331.908)             318.175           (1.888.440)                     568,96
 Gain on foreign exchange - net

 Pendapatan lain-lain
                                                 5.079.380      1.951.328             (5.492.247)         3.128.052                      160,30
 Other Income

 Beban lain-lain
                                                (9.836.978)     (2.623.860)           (6.119.869)        (7.213.118)                     274,90
 Other Expenses

 Laba Usaha
                                                39.867.058      48.380.446            50.350.229         (8.513.388)                     (17,60)
 Operating Profit

 Bagian laba entitas asosiasi
                                                19.747.573      6.154.687             7.479.071           13.592.886                     220,85
 Share of profit from associates

 Laba usaha sebelum beban keuangan dan
 pajak penghasilan
                                                59.614.631      54.535.133            57.829.300          5.079.498                       9,31
 Profit before financing and income tax
 expense

 Beban keuangan/bunga
                                                (10.071.435)   (10.316.208)           (9.265.045)          244.773                       (2,37)
 Finance/interest costs

 Laba sebelum pajak penghasilan
                                                49.543.196      44.218.925            40.646.477          5.324.271                      12,04
 Profit before income tax expense

 Beban pajak penghasilan
                                                (14.523.451)   (15.136.415)          (13.496.997)          612.964                       (4,05)
 Income tax expense

 Laba Tahun Berjalan
                                                35.019.745      29.082.510            27.149.480          5.937.235                      20,42
 Profit for the Year

 Jumlah Kerugian Komprehensif lain
                                                (1.400.982)      (24.380)              (131.859)         (1.376.602)                 5.646,44
 Total Other Comprehensive Loss

 Jumlah Penghasilan Komprehensif Tahun
 Berjalan                                       33.618.763      29.058.130            27.017.621          4.560.633                      15,69
 Total Comprehensive Income for the Year

 Laba Tahun Berjalan yang dapat Diatribusikan kepada:
 Profit for The Year Attributable to:

 Pemilik Entitas Induk
                                                27.240.089      25.552.112            25.606.534          1.687.977                       6,61
 Owners of the Parent Entity

 Kepentingan Non-pengendali
                                                 7.779.656      3.530.398             1.542.946           4.249.258                      120,36
 Non-controlling Interests

 Jumlah
                                                35.019.745      29.082.510            27.149.480          5.937.235                      20,42
 Total




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                                                                                                                                      Laporan Tahunan
                                                                                                                                  PT Rukun Raharja Tbk     2025



                                                                                                                                    YOY 2024 - 2025
 Uraian
                                                  2025                    2024                     2023
 Description
                                                                                                                        Nominal                          %

 Jumlah Penghasilan Komprehensif Tahun Berjalan yang dapat Diatribusikan kepada:
 Total Comprehensive Income for The Year Attributable to:

 Pemilik Entitas Induk
                                               25.894.553              25.527.284               25.510.862             367.269                         1,44
 Owners of the Parent Entity

 Kepentingan Non-pengendali
                                                7.724.210               3.530.846                1.506.759            4.193.364                       118,76
 Non-controlling interests

 Jumlah
                                               33.618.763              29.058.130               27.017.621            4.560.633                       15,69
 Total

 Laba per Saham yang Dapat Diatribusikan
 kepada Pemilik Entitas Induk-Dasar dan
 Dilusian                                        0,00644                 0,00604                 0,00606               0,00040                         6,62
 Earnings per Share Attributable to Owners
 of the Parent Entity – Basic and Diluted


Pendapatan Bersih                                                                   Net Revenue


                    2025
                          203.745.960

                    2024

                          254.476.931

                    2023

                          266.667.002



Pendapatan Bersih                                                                   Net Revenue
Pada tahun 2025, Perseroan berhasil membukukan pendapatan                           In 2025, the Company successfully recorded net revenue of
bersih sebesar USD266,67 juta, meningkat sebesar 4,79% atau                         USD266.67 million, an increase of 4.79% or USD12.19 million
USD12,19 juta dibandingkan tahun sebelumnya yang mencapai                           compared to the previous year’s USD254.48 million. The primary
USD254,48 juta. Faktor utama kenaikan pendapatan usaha tahun                        driver of revenue growth in 2025 was derived from Engineering,
2025 diperoleh dari pendapatan Engineering, Procurement,                            Procurement, and Construction (EPC) activities and gas sales.
and Construction (EPC) dan penjualan gas. Pendapatan usaha                          The Company’s operating revenue is generated from the
Perseroan diperoleh dari bisnis yang dijalankan oleh Perseroan                      businesses conducted by the Company and its Subsidiaries,
dan Perusahaan Anak, yaitu penjualan gas, lifting minyak                            including gas sales, oil and gas lifting, oil distribution services and
dan gas, jasa penyaluran minyak dan kerja sama operasi,                             joint operations, operations and maintenance, gas distribution
operasi dan pemeliharaan, jasa penyaluran gas, Engineering,                         services, EPC, and other services. The largest contribution to
Procurement, and Construction (EPC) dan lain-lain, dimana                           operating revenue was from gas sales, accounting for 53.1% and
kontribusi pendapatan terbesar diperoleh dari penjualan gas                         53.6% of the consolidated operating revenue of the Company
sebesar 53,1% dan 53,6% dari total pendapatan usaha Perseroan                       and its Subsidiaries in 2025 and 2024, respectively.
dan Perusahaan Anak untuk tahun 2025 dan 2024.

Pendapatan per Segmen Bisnis                                                        Revenue per Business Segment
                                                                                                                                          dalam USDD | in USD


                                                                                                                                    YOY 2024 - 2025
 Uraian
                                                  2025                    2024                     2023
 Description
                                                                                                                        Nominal                          %

 Pihak Ketiga
 Third Parties

 Penjualan Gas
                                               141.685.458             136.474.686              101.151.033           5.210.772                        3,82
 Sales of Gas

 Lifting minyak dan gas
                                               49.313.956              57.743.447               47.041.922            (8.429.491)                     (14,60)
 Oil and gas lifting




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                                                                                                                  YOY 2024 - 2025
 Uraian
                                              2025          2024                   2023
 Description
                                                                                                       Nominal                         %

 Jasa penyaluran minyak kerja sama
 operasi                                   34.520.337    31.535.761             31.527.938           2.984.576                       9,46
 Joint operation oil toll services

 Operasi dan Pemeliharaan
                                            9.993.202     8.809.779              9.658.733           1.183.423                      13,43
 Operating and Maintenance

 Jasa Penyaluran Gas
                                            9.168.636     9.784.980              7.624.310            -616.344                      (6,30)
 Gas Toll Services

 Jasa Kompresi dan Transmisi Gas
 Gas Compression and Transmission           2.418.575     1.394.833              1.887.102           1.023.742                      73,40
 Services

 Jasa Fasilitas LPG
                                            2.322.982     2.493.259              2.408.146           (170.277)                      (6,83)
 LPG Facility Services

 Jasa Sewa
                                            2.173.712     1.591.112              1.039.640            582.600                       36,62
 Rental Fee

 Jasa penyediaan kendaraan, tenaga kerja
 dan jasa manajemen konsultasi proyek
                                            1.669.413     1.704.831              259.909              (35.418)                      (2,08)
 Vehicles, Manpower Supply Services and
 Project Management Consulting Services

 Engineering, Procurement and
                                                -         808.000                    -               (808.000)                  (100,00)
 Construction

 Lain-lain
                                            2.934.863     2.136.243              253.007              798.620                       37,38
 Others

 Pihak berelasi
 Related Party

 Engineering, Procurement and
                                           10.465.868         -                      -              10.465.868                      100,00
 Construction

 Lain-lain
                                           266.667.002   254.476.931            203.745.960         12.190.071                       4,79
 Others


Beban Pokok Pendapatan                                                Cost of Revenue
Hingga 31 Desember 2025, beban pokok pendapatan Perseroan             As of December 31, 2025, the Company’s cost of revenue
sebesar USD194,51 juta, meningkat sebesar 5,01% atau USD9,28          amounted to USD194.51 million, an increase of 5.01% or
juta dibandingkan posisi per 31 Desember 2024 yang tercatat           USD9.28 million compared to December 31, 2024, when the
sebesar USD185,23 juta. Kenaikan beban pokok pendapatan               cost of revenue stood at USD185.23 million. The increase in
utamanya disebabkan oleh kenaikan pembelian gas serta biaya           the cost of revenue in 2025 was primarily driven by higher gas
operasi dan pemeliharaan.                                             purchase expenses, rising operations and maintenance costs.

Beban Pokok Pendapatan                                                Revenue per Business Segment                      dalam USDD | in USD


                                                                                                                  YOY 2024 - 2025
 Uraian
                                               2025          2024                   2023
 Description
                                                                                                       Nominal                         %

 Pembelian Gas
                                           107.308.975   100.318.097            73.637.314           6.990.878                       6,97
 Gas Purchases

 Lifting minyak dan gas
                                           22.165.011    31.933.238             17.656.000          (9.768.227)                     (30,59)
 Oil and gas lifting

 Penyusutan Aset Tetap
                                           14.252.427    13.678.954             11.974.879            573.473                        4,19
 Depreciation of Fixed Assets

 Operasi dan Pemeliharaan
                                           12.837.216     6.190.281              6.894.508           6.646.935                      107,38
 Operating and Maintenance

 Biaya Kerja Sama Operasi
                                           11.491.799     8.218.534              7.486.018           3.273.265                      39,83
 Joint Operation Expense

 Penyaluran Gas
                                            5.865.092     8.508.350              8.271.240          (2.643.258)                     (31,07)
 Gas Transportation

 Gaji dan Tunjangan
                                            5.633.345     4.367.498              2.857.477           1.265.847                      28,98
 Salaries and Allowance




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                                                                                                                            Laporan Tahunan
                                                                                                                        PT Rukun Raharja Tbk   2025



                                                                                                                        YOY 2024 - 2025
 Uraian
                                                  2025             2024                    2023
 Description
                                                                                                             Nominal                           %

 Deplesi properti minyak dan gas
                                               3.064.277        3.365.057               2.665.181           (300.780)                     (8,94)
 Depletion of oil and gas properties

 Sewa
                                               2.338.211        2.275.581               1.397.771            62.630                       2,75
 Lease

 Penyusutan Aset Hak Guna
                                               1.923.870        1.214.798               973.846             709.072                       58,37
 Depreciation of Right of Use Assets

 Lain-lain
                                               7.629.847        5.156.493               3.991.768           2.473.354                     47,97
 Others

 Jumlah
                                              194.510.070      185.226.881             137.806.002          9.283.189                     5,01
 Total


Laba Bruto                                                                  Gross Profit
Pada sisi Laba bruto, Perusahaan mengalami peningkatan                      The Company’s gross profit increased by 4.20% or USD2.91
sebesar 4,20% atau USD2,91 juta dari USD69,25 juta di tahun                 million, rising from USD69.25 million in 2024 to USD72.16 million.
2024 menjadi USD72,16 juta. Kondisi ini terutama dipengaruhi                This increase was primarily driven by stronger performance
oleh adanya peningkatan kinerja dari penjualan gas.                         in the sales of gas.

Beban Umum dan Administrasi                                                 General and Administrative Expenses
Pada tahun 2025, beban umum dan administrasi Perseroan                      In 2025, the Company’s general and administrative expenses
mencapai USD25,31 juta, mengalami peningkatan 27,42%                        amounted to USD25.31 million, an increase of 27.42% or
atau USD5,45 juta jika dibandingkan dengan tahun 2024 yang                  USD5.45 million compared to 2024, when expenses stood at
tercatat sebesar USD19,87 juta. Peningkatan ini terutama                    USD19.87 million. The increase in operating expenses in 2025
disebabkan oleh kenaikan beban jasa tenaga ahli serta beban                 was primarily attributable to higher professional service fees
gaji dan tunjangan.                                                         and rising salaries and allowances.

Pendapatan Lain-Lain                                                        Other Income
Pendapatan lain-lain pada tahun 2025 tercatat sebesar                       In 2025, the Company’s other income amounted to USD5.08
USD5,08 juta, meningkat 160,30% atau sebesar USD3,13 juta                   million, an increase of 160.30% or USD3.13 million compared
dibandingkan tahun 2024 dimana pendapatan beban lain-lain                   to 2024, when other income stood at USD1.95 million. This
sebesar USD1,95 juta.                                                       increase was mainly attributable to higher gains on short-term
                                                                            investment.

Laba Sebelum Pajak Penghasilan                                              Profit Before Income Tax
Laba sebelum pajak penghasilan Perseroan mengalami                          The Company’s profit before income tax rose by 12.04% or
peningkatan 12,04% atau USD5,32 juta, dari USD44,22 juta di                 USD5.32 million, from USD44.22 million in 2024 to USD49.54
tahun 2024 menjadi USD49,54 juta di tahun 2024. Peningkatan                 million in 2025. This increase was mainly driven by gains on
ini terutama berasal dari laba investasi jangka pendek sebesar              short‑term investment amounting to USD 1.70 million and
USD1,70 juta serta peningkatan pendapatan bunga sebesar                     higher interest income of USD 1.39 million.
USD1,39 juta.

Total Beban Pajak Penghasilan                                               Total Income Tax Expense
Pada tahun 2025, total beban pajak penghasilan Perseroan sebesar            In 2025, total income tax expense amounted to USD14.52
USD14,52 juta, menurun 4,05% atau sebesar USD612,96 ribu                    million, a decrease of 4.05% or USD612.96 thousand compared
dibandingkan tahun 2024 dimana total beban pajak penghasilan                to 2024, when the Company recorded USD15.14 million for total
Perseroan adalah sebesar USD15,14 juta.                                     income tax expense.

Laba Tahun Berjalan                                                         Profit for the Year
Laba tahun berjalan Perseroan di tahun 2025 tercatat mencapai               Profit for the year 2025 reached USD35.02 million, an increase of
USD35,02 juta, meningkat 20,42% atau sebesar USD5,94 juta                   20.42% or USD5.94 million compared to 2024, when net income
dibandingkan tahun 2024 yang tercatat sebesar USD29,08 juta.                stood at USD29.08 million. The increase was primarily driven by
Peningkatan ini terutama didorong oleh kontribusi bagian laba               the contribution of share of profit from associates, Hafar Group.
entitas asosiasi dari Hafar Group.

Penghasilan Komprehensif Lain                                               Other Comprehensive Income
Pada tahun 2025, Perseroan mencatatkan kerugian komprehensif                In 2025, the Company recorded other comprehensive losses of
lain menjadi sebesar USD1,40 juta, mengalami peningkatan                    USD1.40 million, an increase of 5,646.44% or USD1.38 million
5.646,44% atau sebesar USD1,38 juta dibandingkan dengan tahun               compared to 2024, when other comprehensive losses were
2024 dimana Perseroan mencatatkan kerugian komprehensif                     USD24.38 thousand. The Company’s comprehensive income for
sebesar USD24,38 ribu. Penghasilan komprehensif tahun                       the year was lower than its profit for the year, primarily due to



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                                                                                                     Together Shaping Excellence For Sustainable Growth




berjalan Perseroan yang lebih rendah dari laba tahun berjalan,            the impact of differences in foreign exchange arising from the
utamanya disebabkan oleh adanya dampak selisih kurs dari                  translation of the subsidiary’s financial statements.
penjabaran laporan keuangan entitas anak.

Penghasilan Komprehensif Tahun Berjalan                                   Comprehensive Income for the Year
Secara keseluruhan, Perseroan berhasil mencatat laba                      Overall, the Company recorded comprehensive income of
komprehensif periode berjalan tahun 2025 sebesar USD33,62                 USD33.62 million in 2025, an increase of 15.69% or USD4.56
juta, meningkat 15,69% atau sebesar USD4,56 juta dibandingkan             million compared to USD29.06 million in 2024. The Company’s
laba komprehensif tahun 2024 yakni USD29,06 juta. This                    comprehensive income for the year was lower than its profit for
increase was mainly driven by gains on short‑term investment              the year, primarily due to the impact of differences in foreign
amounting to USD 1.70 million and higher interest income of               exchange arising from the translation of the subsidiary’s
USD 1.39 million.                                                         financial statements.

Laba per Saham                                                            Earnings per Share
Tercatat hingga akhir tahun 2025, laba per saham dasar                    As of year-end 2025, earnings per share basic stood at
sebesar USD0,00644 mengalami penurunan sebesar 6,62%                      USD0.00644, a decrease of 6.62% or USD0.00040 compared
atau USD0,00040 dibandingkan laba per saham pada akhir                    to USD0.00604 in 2024.
tahun 2024 yakni sebesar USD0,00604.

Laporan Arus Kas Konsolidasian
Consolidated Statement of Cash Flows
Laporan Arus Kas Konsolidasian                                            Consolidated Statement of Cash Flows dalam USD | in USD

                                                                                                                        YOY 2024 - 2025
 Uraian
                                                  2025           2024                    2023
 Description
                                                                                                            Nominal                          %

 Arus Kas dari (untuk) Aktivitas Operasi
                                              52.814.101     47.837.970              43.644.199           4.976.131                       10,40
 Cash Flows from (for) Operating Activities

 Arus Kas dari (untuk) Aktivitas Investasi
                                              (41.586.239)   (3.483.512)             (53.323.647)        (38.102.727)                 1.093,80
 Cash Flows from (for) Investing Activities

 Arus Kas dari (untuk) Aktivitas Pendanaan
                                              39.841.301     (34.468.505)            14.444.332           74.309.806                  (215,59)
 Cash Flows from (for) Financing Activities

 Kenaikan (Penurunan) Bersih Kas dan
 Setara Kas
                                              51.069.163      9.885.953               4.764.884           41.183.210                      416,58
 Net Increase (Decrease) in Cash and Cash
 Equivalents

 Kas dan Setara Kas Awal Tahun
 Cash and Cash Equivalents as at the          44.350.787     34.867.986              30.103.102           9.482.801                       27,20
 Beginning of Year

 Dampak Perubahan Kepemilikan Entitas
 Anak
                                              (4.001.697)      15.786                     -               (4.001.697)               (25449,66%)
 Effect of Changes in Ownership of
 Subsidiaries

 Dampak perubahan selisih kurs
                                               (549.817)      (418.938)                   -               (130.879)                       31,24%
 Effect of Exchange Rate Changes

 Kas dan Setara Kas Akhir Akhir Tahun
 Cash and Cash Equivalents at the End of
                                              90.868.436     44.350.787              34.867.986           46.517.649                      104,89
 Year

Arus Kas dari (untuk) Aktivitas Operasi                                   Cash Flows from (for) Operating Activities
Aliran kas dari aktivitas operasi Perseroan dan Perusahaan                The Company’s cash flows from operating activities, together with
Anak terdiri dari penerimaan dari pelanggan, pembayaran                   those of its Subsidiaries, consisted of receipts from customers,
kepada pemasok, karyawan dan operasional, pembayaran                      payments to suppliers, employees and operational, payments
biaya keuangan/ bunga, pembayaran pajak penghasilan dan                   for finance/interest cost, payments for income taxes and tax
restitusinya, serta penerimaan/(pembayaran) lain-lain.                    restitution, as well as other receipts/(payments).

Kas bersih diperoleh dari aktivitas operasi Perseroan dan                 Net cash from operating activities of the Company and its
Perusahaan Anak adalah sebesar USD52,81 juta untuk tahun                  Subsidiaries in 2025 amounted to USD 52.81 million. This was
2025 yang berasal dari penerimaan kas dari pelanggan sebesar              primarily derived from cash receipts from customers of USD
USD267,94 juta, pembayaran kepada pemasok, karyawan                       267.94 million, offset by payments to suppliers, employees,
dan operasional sebesar USD185,63 juta, pembayaran biaya                  and operating expenses of USD 185.63 million, finance costs/
keuangan/bunga sebesar USD9,14 juta dan pembayaran                        interest payments of USD 9.14 million, income tax payments
pajak penghasilan dan restitusinya sebesar USD15,42, serta                and refunds of USD 15.42 million, and other receipts/(payments)
penerimaan/(pembayaran) lain-lain sebesar USD4,95.                        totaling USD 4.95 million.


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                                                                                                                Laporan Tahunan
                                                                                                            PT Rukun Raharja Tbk   2025


Kas bersih diperoleh dari aktivitas operasi Perseroan dan          Net cash provided by operating activities of the Company and Its
Perusahaan Anak adalah sebesar USD47,84 juta untuk tahun           Subsidiaries amounted to USD47.84 million in 2025 derived from
2025 yang berasal dari penerimaan kas dari pelanggan sebesar       cash receipts from customers of USD255.47 million, payments
USD 255.472.172, pembayaran kepada pemasok, karyawan               to suppliers, employees and operational of USD188.21 million,
dan operasional sebesar USD188,21 juta, pembayaran biaya           payments for finance/interest cost of USD9.47 million, payments
keuangan/bunga sebesar USD9,47 juta dan pembayaran pajak           for income taxes and tax restitution of USD12.19 million, and other
penghasilan dan restitusinya sebesar USD12,19 juta, serta          receipts/(payments) of USD2.23 million. The main contribution
penerimaan/(pembayaran) lain-lain sebesar USD2,23 juta.            to the increase in net cash provided by operating activities of
Kontribusi utama yang menyebabkan adanya kenaikan pada             the Company and Its Subsidiaries of USD4.98 million or 10.4%
perolehan bersih kas dari aktivitas operasi Perseroan dan          was derived from higher net receipts from the Production
Perusahaan Anak sebesar USD4,98 juta atau 10,4% diperoleh          Sharing Contract, attributable to lower operating expenses of
dari kenaikan penerimaan bersih dari Production Sharing            the Jabung Block compared to the previous year.
Contract yang disebabkan oleh lebih rendahnya pembayaran
beban operasional Blok Jabung dibandingkan tahun sebelumnya.

Arus Kas dari (untuk) Aktivitas Investasi                          Cash Flows from (for) Investing Activities
Aliran kas dari aktivitas investasi Perseroan dan Perusahaan       The Company’s cash flows from investing activities, together
Anak terdiri dari penerimaan bersih atas divestasi entitas anak    with those of its Subsidiaries, consisted of net proceeds from the
tanpa kehilangan pengendali, penerimaan dividen kas dari           divestment of subsidiary without loss of control, cash dividends
entitas asosiasi, penempatan investasi jangka pendek dan jangka    received from associates, short term and long term investment
panjang, refundable deposit, penarikan/(penempatan) kas di         placements, refundable deposits, withdrawals/(placements) of
bank dan deposito berjangka yang dibatasi penggunaannya,           restricted cash and time deposits, acquisitions and disposals of
perolehan dan pelepasan aset tetap, perolehan properti minyak      fixed assets, acquisitions of oil and gas properties, acquisitions
dan gas, perolehan aset takberwujud, pembayaran kepada pihak       of intangible assets, payments to non controlling interests, and
non pengendali, dan pembayaran atas akuisisi entitas asosiasi.     payments for the acquisition of associates.

Kas bersih digunakan untuk aktivitas investasi Perseroan           Net cash used in investing activities of the Company and its
dan Perusahaan Anak adalah sebesar USD41,59 juta untuk             subsidiaries amounted to USD41.59 million in 2025, primarily
tahun 2025, terutama digunakan untuk perolehan aset tetap          for the acquisition of gas compressor fixed assets located in
kompressor gas yang berlokasi di Sengkang, Sulawesi, serta         Sengkang, Sulawesi, and the acquisition of the associate entity
akuisisi entitas asosiasi Hafar Group.                             Hafar Group.

Kas bersih digunakan untuk aktivitas investasi Perseroan dan       Net cash used in investing activities of the Company and its
Perusahaan Anak adalah sebesar USD3,48 juta untuk tahun 2025,      subsidiaries amounted to USD3.48 million in 2025, primarily
terutama digunakan untuk perolehan aset dalam penyelesaian         for the acquisition of assets under construction for the gas
untuk kompressor gas yang berlokasi di Sengkang, Sulawesi.         compressor located in Sengkang, Sulawesi.

Kenaikan pada kas bersih digunakan untuk aktivitas investasi       The increase in net cash used in investing activities of the Company
Perseroan dan Perusahaan Anak sebesar USD38,10 juta atau           and its subsidiaries of USD38.10 million or 1,093.8% was mainly
sebesar 1.093,8% terutama digunakan untuk perolehan aset           attributable to the acquisition of assets under completion for
dalam penyelesaian untuk kompressor gas yang berlokasi di          the gas compressor located in Sengkang, Sulawesi, as well as
Sengkang, Sulawesi, serta akuisisi entitas asosiasi Hafar Group.   the acquisition of the associate entity Hafar Group.




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Arus Kas dari (untuk) Aktivitas Pendanaan                         Cash Flows from (for) Financing Activities
Aliran kas dari aktivitas pendanaan Perseroan dan Perusahaan      The Company’s cash flows from financing activities, together
Anak terutama terdiri dari penerimaan/ (pembayaran) pinjaman      with those of its Subsidiaries, primarily consisted of receipts/
bank, pembayaran dividen kas kepada pemilik entitas induk         (payments) of bank loans, payments for cash dividend to
dan kepentingan nonpengendali, penerimaan dari pinjaman           owners of the parent entity and to non controlling interests,
pembiayaan konsumen-bersih, pembayaran untuk liabilitas           receipts from consumer financing loan – net, payments for
sewa, penerimaan bersih dari pihak berelasi, penerimaan           lease liabilities, net receipts from related parties, net proceeds
bersih dari Initial Public Offering (IPO), serta setoran modal    from the Initial Public Offering (IPO), and capital contributions
dari non pengendali.                                              from non controlling interests.

Kas bersih diperoleh dari aktivitas pendanaan Perseroan dan       Net cash from financing activities of the Company and its
Perusahaan Anak untuk tahun 2025 adalah sebesar USD39,84          Subsidiaries for 2025 amounted to USD 39.84 million, primarily
juta, terutama berasal dari penerimaan bersih utang bank          derived from net proceeds of bank loans and net proceeds from
dan penerimaan dari penerimaan bersih dari Initial Public         the Initial Public Offering (IPO).
Offering (IPO).

Kas bersih digunakan untuk aktivitas pendanaan Perseroan dan      Net cash used in financing activities of the Company and its
Perusahaan Anak untuk tahun 2024 adalah sebesar USD34,47          Subsidiaries amounted to USD34.47 million in 2024, primarily
juta, terutama berasal dari pembayaran utang bank – bersih.       due to payments of bank loan-net.

Kenaikan perolehan pada kas bersih dari aktivitas pendanaan       The increase in net cash provided from financing activities of the
Perseroan dan Perusahaan Anak sebesar USD74,31 juta               Company and its Subsidiaries of USD74.31 million was mainly
terutama disebabkan oleh penerimaan bersih dari utang bank        attributable to net receipts of bank loans and net proceeds from
dan penerimaan bersih dari Initial Public Offering (IPO).         the Initial Public Offering (IPO).



Rasio Keuangan
Financial Ratios

Berikut adalah rasio keuangan Perseroan dalam 5 tahun terakhir:   The following table presents the Company’s financial ratios
                                                                  over the last 5 years:

Rasio Keuangan                                                    Financial Ratios

                                                                                                                                    Kenaikan
                                                                                                                               (Penurunan) 2024-
                                                                                                                                  2025 (poin)
 Uraian
                                          2025           2024            2023             2022                   2021               Increase
 Description
                                                                                                                                   (Decrease)
                                                                                                                               2024-2025 (points)


 Rasio Profitabilitas
 Profitability Ratio

 Imbalan Atas Aset (%)
                                         7,33            8,78            8,26            4,16                   1,38                 (1,45)
 Return on Assets (%)

 lmbalan Kepada Pemegang Saham (%)
                                         13,62          16,92           17,57            8,15                   2,71                 (3,30)
 Return on Equity (%)

 Margin Laba Bersih (%)
                                         13,13          11,43           13,33            8,56                   3,46                  1,70
 Net Profit Margin (%)

 Margin EBITDA (%)
                                         30,72          29,44           34,62            20,52                  15,84                 1,28
 EBITDA Margin (%)



Imbal Hasil Ekuitas                                               Return on Equity (ROE)
Imbal hasil ekuitas menunjukkan kemampuan Perseroan               Return on Equity (ROE) reflects the Company’s ability to generate
dalam menghasilkan laba bersih terhadap total ekuitas. ROE        net profit relative to total equity. The Company’s ROE in 2025
Perseroan pada tahun 2025 dan 2024 masing-masing sebesar          and 2024 was 13.62% and 16.92%, respectively.
13,62% dan 16,92%.

Pergerakan ROE pada tahun 2025 mencerminkan fase penguatan        The movement in ROE during 2025 illustrates the phase of
permodalan Perseroan melalui peningkatan ekuitas yang             capital strengthening through a significant increase in equity,
signifikan, yang menjadi fondasi untuk pertumbuhan jangka         which serves as the foundation for long term growth. At the
panjang. Di sisi lain, laba tahun berjalan tetap menunjukkan      same time, profit for the year continued to show solid growth
pertumbuhan yang solid sebesar 20,4%.                             of 20.4%.



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Hal ini menunjukkan bahwa Perseroan tengah berada pada             This indicates that the Company is currently in the stage of
fase optimalisasi pemanfaatan modal baru, yang diharapkan          optimizing the use of new capital, which is expected to drive a
dapat mendorong peningkatan tingkat pengembalian secara            sustainable improvement in return levels going forward.
berkelanjutan di masa mendatang.

Imbal hasil aset                                                   Return on Assets (ROA)
Imbal hasil aset menunjukkan kemampuan Perseroan dalam             Return on Assets (ROA) reflects the Company’s ability to generate
menghasilkan laba bersih terhadap total aset. ROA Perseroan        net profit relative to total assets. The Company’s ROA in 2025
pada tahun 2025 dan 2024 masing-masing sebesar 7,33% dan           and 2024 was 7.33% and 8.78%, respectively.
8,78%.

Pergerakan ROA pada tahun 2025 mencerminkan strategi               The movement in ROA during 2025 illustrates the Company’s
ekspansi Perseroan, dengan peningkatan total aset sebesar          expansion strategy, with total assets increasing by 44.1%,
44,1% yang terutama berasal dari investasi pada aset tetap,        primarily from investments in fixed assets, associates, and
entitas asosiasi, serta aset tidak lancar lainnya.                 other non current assets.

Investasi tersebut merupakan bagian dari inisiatif pertumbuhan     These investments form part of the Company’s long term growth
jangka panjang Perseroan, yang diharapkan dapat memberikan         initiatives, which are expected to deliver increasingly optimal
kontribusi yang semakin optimal terhadap kinerja keuangan          contributions to financial performance in future periods.
pada periode mendatang.


Kemampuan Membayar Utang
Debt Servicing Capacity

Rasio likuiditas dan rasio solvabilitas digunakan untuk mengukur   The liquidity ratio and solvency ratio are used to measure the
Kemampuan membayar utang Perseroan.                                Company’s debt servicing capacity.

Rasio Lancar                                                       Current Ratio
Pada tahun 2025 rasio lancar Perseroan menurun 11,01 poin          In 2025, the Company’s current ratio decreased by 11.01 points,
dari 155,37% pada tahun 2024 menjadi 144,36% pada tahun 2025.      from 155.37% in 2024 to 144.36% in 2025.

Rasio Kas                                                          Cash Ratio
Rasio kas juga meningkat 19,44 poin dibandingkan tahun 2024        The cash ratio improved by 19.44 points, rising from 75.88% in
yakni dari 75,88% menjadi 95,32% ditahun 2025.                     2024 to 95.32% in 2025.

Rasio Solvabilitas                                                 Solvency Ratio
Solvabilitas mencerminkan kemampuan Perseroan dalam                Solvency reflects the Company’s ability to meet all its obligations,
memenuhi seluruh kewajibannya, baik jangka pendek maupun           both short term and long term, as measured by the comparison
jangka panjang, yang diukur melalui perbandingan antara            between total liabilities and equity as well as assets.
jumlah liabilitas dengan ekuitas dan aset.

Rasio Debt to Equity Ratio (DER) Perseroan pada tanggal 31         The Company’s Debt to Equity Ratio (DER) as of December 31,
Desember 2025 dan 2024 masing-masing sebesar 0,87x dan             2025 and 2024 was 0.87x and 0.93x, respectively, while the Debt
0,93x, sedangkan Debt to Asset Ratio (DAR) masing- masing          to Asset Ratio (DAR) was 0.46x and 0.48x, respectively.
sebesar 0,46x dan 0,48x.

Perbaikan rasio solvabilitas ini mencerminkan penguatan            The improvement in solvency ratios demonstrates the
struktur permodalan Perseroan, yang didorong oleh peningkatan      strengthening of the Company’s capital structure, driven by
ekuitas sebesar 48,9%, terutama dari tambahan modal disetor        an increase in equity of 48.9%, primarily from additional paid
dan transaksi ekuitas entitas anak, yang tumbuh lebih tinggi       in capital and equity transactions of Subsidiaries, which grew
dibandingkan peningkatan liabilitas sebesar 39,0%.                 at a higher rate compared to the 39.0% increase in liabilities.

Dengan demikian, Perseroan memiliki struktur permodalan            Accordingly, the Company maintains a stronger capital structure
yang semakin kuat dengan tingkat leverage yang sehat dan           with a healthy and well managed level of leverage, providing
terjaga, memberikan ruang yang memadai untuk mendukung             sufficient capacity to support future business expansion.
ekspansi usaha ke depan.




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Kolektibilitas Piutang                                                             Receivables Collectibility
Perhitungan kolektibilitas piutang Perseroan dilakukan dengan                      The Company’s accounts receivable collectibility is assessed
berdasarkan pada rasio perputaran piutang Perseroan. Pada                          based on its receivables turnover ratio. In 2025, the Company’s
tahun 2025 kolektibilitas piutang Perseroan adalah 8,07 kali,                      receivables turnover stood at 8.07 times, an improvement
meningkat dibandingkan tahun 2024 yakni 7,54 kali. Sementara itu,                  compared to 7.54 times in 2024. Meanwhile, the average
jangka waktu yang dibutuhkan Perseroan untuk mengumpulkan                          collection period required by the Company to collect receivables
piutang tahun 2025 adalah 45,22 hari, mengalami peningkatan                        in 2025 was 45.22 days, showing an improvement compared to
dibandingkan tahun 2024 yaitu 48,40 hari.                                          48.40 days in 2024.

Kemampuan Membayar Utang                                                           Debt Servicing Capacity

                                                                                                                                                   Kenaikan (Penurunan)
                                                                                                                                                      2024-2025 (poin)
 Uraian
                                                     2025                2024                  2023                 2022              2021          Increase (Decrease)
 Description
                                                                                                                                                     2024-2025 (points)


 Rasio Likuiditas
 Liquidity Ratios

 Rasio Lancar (%)
                                                    144,36             155,37               142,90                217,15            329,59                (11,01)
 Current Ratio (%)

 Rasio Kas (%)
                                                    95,32               75,88                 61,88               111,55            188,17                19,44
 Cash Ratio (%)

 Rasio Solvabilitas
 Solvency Ratios

 Rasio Utang Terhadap Aset (%)
                                                    46,42               48,13                 52,98               48,92              49,05                (1,71)
 Debt to Assets Ratio (%)

 Rasio Utang Terhadap Ekuitas (%)
                                                    86,62               92,80               112,66                95,79              96,28                (6,18)
 Debt to Equity Ratio (%)

 Tingkat Kolektibilitas Piutang
 Receivables Collectibility

 Tingkat Perputaran Piutang (Kali)
                                                     8,07                7,54                  6,50                 7,76              8,00                 0,53
 Receivables Turnover Ratio (Times)

 Lama Penagihan Rata-rata (Hari)
                                                    45,22               48,40                 56,15               47,06              45,65                (3,18)
 Average Collection Period (Days)



Struktur Modal
Capital Structure

Perseroan melakukan pengelolaan modal dengan tujuan untuk                          The Company manages its capital with the objective of maintaining
mendorong usaha agar mampu memiliki struktur modal yang                            a strong capital structure to achieve business goals and maximize
kuat untuk mencapai tujuan bisnis dan memaksimalkan nilai                          shareholder value. The Company’s management strives to
pemegang saham. Manajemen Perseroan berupaya menjaga                               maintain healthy capital ratios through capital monitoring
rasio modal yang sehat melalui aktivitas pemantauan modal                          activities using various measures of financial leverage, such
dengan menggunakan berbagai ukuran leverage keuangan,                              as debt-to-equity ratios.
seperti rasio utang terhadap ekuitas.

Struktur Modal                                                                     Capital Structure                                                        dalam USD
                                                    2025                                          2024                                             2023

                                                       Persentase terhadap
                                                                                                      Persentase terhadap                              Persentase terhadap
 Uraian                                                    Liabilitas dan
                                                                                                       Liabilitas & Ekuitas                             Liabilitas & Ekuitas
 Description                                                  Ekuitas
                                          USD                                         USD                 Percentage to                USD                 Percentage to
                                                          Percentage to
                                                                                                       Liabilities & Equity                             Liabilities & Equity
                                                        Liabilities & Equity


 Liabilitas Jangka Pendek
                                      95.327.220             19,96%              58.448.090                17,64%                  56.349.438                17,15%
 Current Liabilities

 Liabilitas Jangka Panjang
                                      126.368.465            26,46%              101.039.988               30,49%                  117.756.404               35,83%
 Non-current Liabilities

 Jumlah Liabilitas
                                      221.695.685            46,42%              159.488.078               48,13%                  174.105.842               52,98%
 Total Liabilities




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                                                       2025                                        2024                                          2023

                                                          Persentase terhadap
                                                                                                      Persentase terhadap                            Persentase terhadap
 Uraian                                                       Liabilitas dan
                                                                                                       Liabilitas & Ekuitas                           Liabilitas & Ekuitas
 Description                                                     Ekuitas
                                           USD                                          USD               Percentage to           USD                    Percentage to
                                                             Percentage to
                                                                                                       Liabilities & Equity                           Liabilities & Equity
                                                           Liabilities & Equity


 Jumlah Ekuitas
                                      255.937.392              53,58%               171.862.581            51,87%             154.542.286                   47,02%
 Total Equity

 Jumlah Liabilitas dan Ekuitas
                                      477.633.077              100,00%              331.350.659            100,00%            328.648.128                  100,00%
 Total Liabilities and Equity



Pada tahun 2025, proporsi permodalan dari ekuitas sebesar                             In 2025, the proportion of capital derived from equity stood
53,58%, mengalami peningkatan jika dibandingkan tahun                                 at 53.58%, an increase compared to 51.87% in 2024. This
2024 yakni sebesar 51,87%. Hal ini terutama dipengaruhi oleh                          increase was primarily attributable to the Company’s stronger
peningkatan kinerja perusahaan dibandingkan dengan tahun lalu.                        performance relative to the previous year.


Informasi Tentang Ikatan yang Material Untuk
Investasi Barang Modal
Information on Material Commitments for Capital Investment

Ikatan yang Material untuk Investasi Barang Modal                                     Material Commitments for Capital Expenditurel
Ikatan material terkait investasi barang modal yang masih                             Material commitments related to capital expenditure that
berlaku pada tahun 2025 diungkapkan dalam tabel berikut.                              remained effective in 2025 are disclosed in the following table.


                                                           Tujuan Ikatan                        Sumber Dana
               Pihak 1              Pihak 2                                       Jangka Waktu                   Mata Uang     Proteksi Risiko Mata Uang Asing
 No                                                        Purpose of                           Source of
               Party 1              Party 2                                       Term/Duration                  Currency      Foreign Exchange Risk Protection
                                                           Commitment                           Funds


 1             PT Rukun Raharja     PT Pertamina Gas       Kerja sama Operasi     20 Tahun        Utang Bank     USD           Perseroan senantiasa memperhatikan
               Tbk                                         Pembangunan Pipa       20 Years        Bank Loan                    risiko penggunaan mata uang asing
                                                           Minyak Rokan                                                        dalam setiap transaksi termasuk
                                                           Joint Operation for                                                 rencana investasi barang modal.
                                                           the Construction                                                    D a l a m h a l i n i , Pe rs e ro a n j u g a
                                                           of the Rokan Oil                                                    memastikan bahwa sumber pendanaan
                                                           Pipeline                                                            maupun pembayaran investasi telah
                                                                                                                               memperhitungkan eksposur mata
 2             PT Petrotech Penta   PT Pertamina Patra     Pembangunan            10 Tahun        Utang Bank     Rp            uang asing. Sebagai langkah mitigasi,
               Nusa                 Niaga                  Pipa Penyaluran        10 Years        Bank Loan                    Perseroan melakukan evaluasi atas
                                                           BBM Tanjung                                                         kecukupan arus kas dalam mata uang
                                                           Batu, Balikpapan-                                                   yang sama ( natural hedging ) serta
                                                           Samarinda                                                           mempertimbangkan opsi lindung nilai
                                                           Construction of the                                                 (hedging) apabila diperlukan. Dengan
                                                           Fuel Distribution                                                   demikian, Perseroan berkomitmen
                                                           Pipeline Tanjung                                                    untuk menjaga stabilitas keuangan
                                                           Batu, Balikpapan–                                                   dan meminimalkan dampak fluktuasi
                                                           Samarinda                                                           nilai tukar terhadap kegiatan usaha.

 3             PT Triguna Internusa Energi Equity Epic     Penyedia sewa       6,7 Tahun          Utang Bank     USD           The Company consistently monitors the
               Pratama              (sengkang) Pty.Ltd.    booster compression 6.7 Years          Bank Loan                    risks associated with foreign currency
                                                           plant                                                               usage in all transactions, including
                                                           Booster                                                             capital expenditure plans. In this regard,
                                                           compression plant                                                   the Company ensures that both funding
                                                           leasing                                                             sources and investment payments
                                                                                                                               consider foreign exchange exposure.
                                                                                                                               As part of its mitigation strategy, the
                                                                                                                               Company evaluates the adequacy
                                                                                                                               of cash flows in the same currency
                                                                                                                               (natural hedging) and considers the use
                                                                                                                               of hedging instruments when necessary.
                                                                                                                               Through these measures, the Company
                                                                                                                               remains committed to safeguarding
                                                                                                                               financial stability and minimizing the
                                                                                                                               impact of exchange rate fluctuations
                                                                                                                               on its business operations.




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Investasi Barang Modal
Capital Goods Investment

Informasi mengenai investasi barang modal yang dilakukan                 Information about capital goods investment made by the Company
Perseroan dalam kurun waktu 2 tahun terakhir dijelaskan                  in the last 2 years is described in detail in the table below.
secara rinci pada tabel di bawah ini.

                                                                                                                       YOY 2024 - 2025
 Investasi Barang Modal                   Tujuan          Nilai 2025 (USD)       Nilai 2024 (USD)
 Capital Goods Investment                Purpose          2025 Value (USD)       2024 Value (USD)
                                                                                                           Nominal                          %

 Tanah                             Pendukung perasional
                                                             2.684.321                  -                2.684.321                       100,00
 Land                               Operational Support

 Bangunan                          Pendukung perasional
                                                             2.531.803               869.309             1.662.494                       191,24
 Building                           Operational Support

 Jaringan Pipa                     Pendukung perasional
                                                             1.925.666              2.396.161            (470.495)                       (19,64)
 Pipeline Network                   Operational Support

 Fasilitas LPG                     Pendukung perasional
                                                             13.642.659              103.550             13.539.109                  13074,95
 LPG Facility                       Operational Support

 Mesin dan Peralatan               Pendukung perasional
                                                             1.283.474               790.593              492.881                        62,34
 Machinery and Equipment            Operational Support

 Peralatan Kantor                  Pendukung perasional
                                                              280.301                153.523              126.778                        82,58
 Office Equipment                   Operational Support

 Kendaraan                         Pendukung perasional
                                                             1.240.317              1.248.968              (8.651)                       (0,69)
 Vehicles                           Operational Support

 Aset dalam penyelesaian           Pendukung perasional
                                                                 -                  6.163.972            (6.163.972)                 (100,00)
 Assets in progress                 Operational Support

 Properti Minyak dan Gas           Pendukung perasional
                                                                 -                  1.239.188            (1.239.188)                 (100,00)
 Oil and Gas Properties             Operational Support

 Akuisisi Perusahaan               Pendukung perasional
                                                             23.851.320             2.671.764            21.179.556                      792,72
 Company Aquisition                 Operational Support


 Total Capital Expenditure                                   47.439.861             15.637.058           31.802.803                      203,38




Informasi dan Fakta Material yang Terjadi Setelah
Tanggal Laporan Akuntan
Material Information and Facts After the Accountant’s Reporting Date

Tidak terdapat informasi dan fakta material yang terjadi setelah         There was no information or material facts that occurred after
tanggal laporan akuntan.                                                 the accountant’s reporting date.




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Prospek Usaha
Business Prospects

Tantangan ke depan akan semakin berat. imbas dari serangan         The challenges ahead are expected to become increasingly
Amerika Serikat dapat mempengaruhi harga minyak global             complex. Geopolitical tensions, particularly the impact of actions
karena Venezuela merupakan salah satu pemasok minyak mentah        by the United States, may influence global oil prices, given
di pasar global. Krisis di Venezuela ini menjadi momentum          Venezuela’s role as one of the major suppliers of crude oil in
penting untuk memperkuat ketahanan energi dengan terus             the international market. The crisis in Venezuela has therefore
mempercepat transisi menuju energi terbarukan.                     become an important momentum to strengthen energy resilience
                                                                   by accelerating the transition toward renewable energy.

Kementerian Energi dan Sumber Daya Mineral (ESDM) menyusun         In response, the Ministry of Energy and Mineral Resources
arah kebijakan sektor energi yang akan dijalankan mulai 2026.      (ESDM) has outlined the policy direction for the energy sector
Fokus utama kebijakan tersebut diarahkan pada penguatan            beginning in 2026. The main focus of these policies will be on
ketahanan energi nasional, peningkatan produksi minyak dan         reinforcing national energy security, increasing oil and gas
gas bumi (migas), percepatan transisi energi, serta pengendalian   production, accelerating the energy transition, and managing
produksi mineral dan batubara agar tetap sejalan dengan            mineral and coal production in alignment with global market
dinamika pasar global. Pemerintah juga akan mempercepat            dynamics. The Government also intends to fast-track the
implementasi program bioenergi. Mulai tahun 2026, bauran           implementation of bioenergy programs. Starting in 2026, the
bahan bakar nabati ditingkatkan melalui penerapan biodiesel        biofuel mix will be enhanced through the introduction of B50
B50, bioetanol E10–E15, hingga pengembangan bioavtur untuk         biodiesel, E10–E15 bioethanol, and the development of bioavtur
sektor penerbangan.                                                for the aviation sector.

Di sisi hilir, pemerintah mendorong peningkatan kapasitas          On the downstream side, the Government is committed to
pengolahan minyak di dalam negeri, baik melalui optimalisasi       expanding domestic oil refining capacity, both by optimizing
kilang eksisting maupun pembangunan kilang baru.                   existing refineries and constructing new ones.

Kebijakan lainnya mencakup percepatan pengembangan energi          At the same time, policies will emphasize the acceleration of
hijau guna meningkatkan bauran energi baru terbarukan              green energy development to increase the share of renewable
(EBT), serta penambahan kapasitas terpasang daya listrik,          energy in the national energy mix. This includes expanding
terutama di daerah dengan pertumbuhan ekonomi tinggi dan           installed electricity capacity, particularly in regions with
wilayah tertinggal, terdepan, dan terluar (3T). Pemerintah juga    high economic growth as well as in frontier, outermost, and
melanjutkan program listrik desa dan bantuan pasang baru           underdeveloped areas (3T). The Government will also continue
listrik untuk memperluas akses energi.                             rural electrification programs and provide new electricity
                                                                   connections to broaden access to energy.

Dalam menghadapi dinamika tersebut, PT Rukun Raharja Tbk           Against this backdrop, PT Rukun Raharja Tbk reaffirms its
berkomitmen untuk tidak hanya meningkatkan produksi minyak         commitment not only to increasing oil and gas production in
dan gas guna mendukung kebutuhan energi nasional, tetapi juga      support of national energy needs, but also to actively developing
untuk mengembangkan sektor Energi Baru Terbarukan (EBT).           the Renewable Energy Sector.




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Target dan Realisasi 2025 Serta Proyeksi 2026
2025 Target Achievement and 2026 Projection

Perseroan berhasil membuktikan bahwa strategi dan arah           Comparison Between Achieved and Targeted Results
bisnis yang telah direncanakan berjalan dengan baik. Pada        The Company has successfully proven that the planned
tahun 2025, Perseroan berhasil membukukan pendapatan             strategy and business direction are working well. In 2025,
bersih sebesar USD266,67 juta, meningkat sebesar 4,79%           the Company successfully recorded net revenue of USD266.67
atau USD12,19 juta dibandingkan tahun sebelumnya yang            million, an increase of 4.79% or USD12.19 million compared
mencapai USD254,48 juta. Faktor utama kenaikan pendapatan        to the previous year’s USD254.48 million. The primary driver
usaha tahun 2025 diperoleh dari pendapatan Engineering,          of revenue growth in 2025 was derived from Engineering,
Procurement, and Construction (EPC) dan penjualan gas.           Procurement, and Construction (EPC) activities and gas sales.

Laba tahun berjalan Perseroan di tahun 2025 tercatat             Profit for the year 2025 reached USD35.02 million, an increase of
mencapai USD35,02 juta, meningkat 20,42% atau sebesar            20.42% or USD5.94 million compared to 2024, when net income
USD5,94 juta dibandingkan tahun 2024 yang tercatat sebesar       stood at USD29.08 million. The increase was primarily driven by
USD29,08 juta. Peningkatan ini terutama didorong oleh            the contribution of share of profit from associates, Hafar Group.
kontribusi bagian laba entitas asosiasi dari Hafar Group.

Selain itu, pada tahun 2025, Perseroan melakukan pembangunan     In 2025, the Company carried out the construction of a compressor
kompresor di Sengkang, Sulawesi Selatan yang sudah beroperasi    in Sengkang, South Sulawesi, which commenced operations in
pada Q4 2025, pembangunan pipa BBM Tanjung Batu–Samarinda,       the fourth quarter of 2025, the Tanjung Batu–Samarinda fuel
serta pengembangan pipa di wilayah Jawa Barat.                   pipeline, and pipeline development in West Java.




Aspek Pemasaran
Marketing Aspects

Pada tahun 2025, permintaan energi tercatat tetap tinggi,        In 2025, energy demand remained strong, supported by the
seiring dengan berlanjutnya pemulihan ekonomi. Perseroan         continued recovery of the economy. The Company pursued
melanjutkan strategi pada pemeliharaan stabilitas produksi dan   a strategy focused on maintaining production stability while
peningkatan infrastruktur pemasaran. Tujuan utamanya adalah      simultaneously strengthening marketing infrastructure. The
untuk memastikan kelancaran operasional dan mendukung            main purpose is to ensure smooth operations and safeguard
keberlanjutan rantai pasok di pasar.                             the sustainability of the supply chain in the market.

Strategi Pemasaran                                               Marketing Strategy
Untuk mewujudkan visi Perseroan sebagai perusahaan investasi     To achieve the Company’s vision as a reliable investment
yang andal, Perseroan bersama anak perusahaan secara konsisten   enterprise, the Company together with its subsidiaries consistently
merumuskan berbagai strategi pengembangan bisnis. Saat           formulates various business development strategies. At present,
ini, strategi pengembangan bisnis yang dilakukan perusahaan      in addition to strengthening the Company’s core business in
selain memperkuat bisnis utama Perseroan dibidang energi         the energy sector, the strategies undertaken also focus on
adalah meningkatkan diversifikasi usaha. Adapun beberapa         increasing business diversification. The business development
strategi pengembangan bisnis yang kami jalankan pada tahun       strategies implemented in 2025 include:
2025 antara lain:
1. Mengakuisisi atas Perusahaan Pelayaran dan Engineering,       1.   Acquiring a Shipping Company and an Engineering,
      Procurement, Construction, and Installation (EPCI) di           Procurement, Construction, and Installation (EPCI) entity
      industri migas lepas Pantai untuk memperluas eksistensi         in the Offshore oil and gas industry to expand presence
      dalam seluruh supply chain industry migas.                      across the entire oil and gas supply chain.
2. Memulai operasional komersial atas fasilitas compressor di    2.   Commencing commercial operations of the compressor
      Sengkang, Sulawesi Selatan sebagai bagian dari penguatan        facility in Sengkang, South Sulawesi as part of strengthening
      peran Perseroan dalam bisnis midstream gas.                     the Company’s role in the midstream gas business.
3. Perseroan melalui anak Perusahaannya di bidang upstream       3.   Through its upstream subsidiary, acquiring participation
      melakukan akuisisi atas hak partisipasi di Blok Madura          rights in the Madura Strait Block to strengthen the portfolio
      Strait untuk memperkuat portofolio di sektor hulu minyak        in the upstream oil and gas sector.
      dan gas.
4. Melakukan uji tuntas untuk akuisisi dua perusahaan            4.   Conducting due diligence for the acquisition of two shipping
      pelayaran yang memiliki aset operasional berupa dua             companies with operational assets comprising two Liquefied
      unit kapal Liquified Natural Gas Carrier (LNGC) dan satu        Natural Gas Carrier (LNGC) vessels and one Very Large
      unit Very Large Gas Carrier (VLGC) sebagai tambahan aset        Gas Carrier (VLGC) vessel, as additional strategic assets
      strategis Perseroan dalam mendukung pengembangan                to support midstream gas business development.
      bisnis midstream gas.




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5.   Mengeksplorasi potensi pengembangan LNG plant sebagai                         5.   Exploring the potential development of an LNG plant as
     bagian dari strategi hilirisasi energi dan peningkatan nilai                       part of the energy downstreaming strategy and to enhance
     tambah dari sumber daya energi.                                                    the added value of energy resources.
6.   Melakukan penjajakan dan uji tuntas atas Perusahaan                           6.   Conducting assessment and due diligence of a gas trading
     perdagangan gas yang beroperasi di Banten sebagai                                  Company operating in Banten as a portfolio development
     strategi pengembangan portfolio di bidang downstream.                              strategy in the downstream sector.
7.   Memulai penjajakan untuk akuisisi Perusahaan yang                             7.   Initiating assessment for the acquisition of a Company
     bergerak dalam bidang pengolahan air sebagai langkah                               engaged in water processing as an initial step in developing
     awal pengembangan portofolio Perseroan di sektor                                   the Company’s portfolio in environmental infrastructure
     infrastruktur lingkungan dan utilitas.                                             and utilities.
8.   Membangun dan memperkuat komunikasi bisnis dengan                             8.   Building and strengthening business communication
     para pemangku kepentingan terkait untuk mendukung                                  with relevant stakeholders to support further business
     pengembangan bisnis lebih lanjut.                                                  development.



Dividen dan Kebijakan Dividen
Dividends and Dividend Policy

Kebijakan Dividen                                                                  Dividend Policy
Kebijakan dividen Perseroan mengacu pada peraturan Perseroan                       The Company’s dividend policy is guided by its Articles of
dan peraturan Perundang-Undangan. Selain itu, kebijakan                            Association and applicable laws and regulations. In addition,
pembagian dividen juga melihat kinerja keuangan, serta strategi                    the policy on dividend distribution considers the Company’s
Perusahaan di masa depan.                                                          financial performance as well as its future strategic plans.

Berdasarkan Keputusan Rapat Umum Pemegang Saham (RUPS)                             Based on the Resolution of the General Meeting of Shareholders
tanggal 30 April 2025, para pemegang saham menyetujui                              (GMS) held on April 30, 2025, the shareholders approved the
pembagian dividen yang berasal dari laba bersih yang dapat                         distribution of dividends derived from the net income attributable
diatribusikan kepada pemilik entitas induk tahun 2024 sebesar                      to the owners of the parent entity of 2024 amounting to USD
USD25,55 juta ekuivalen Rp253,62 miliar.                                           25.55 million, equivalent to Rp 253.62 billion.

Adapun dividen yang diberikan Perseroan kepada pemegang                            The dividends distributed by the Company to shareholders over
Saham dalam 3 tahun terakhir adalah sebagai berikut:                               the past three (3) years are presented in the following table.


                                                                                                         Tahun buku
 Uraian                                                                                                  Fiscal Year
 Description
                                                                         2024                               2023                              2022

 Laba Bersih (dalam USD)
                                                                  USD25.552.112                       USD25.606.534                      USD8.821.573
 Net Income (in USD)

 Jumlah Dividen (dalam Rp)                                        USD15.021.615/                     USD10.000.000/                     USD4.500.000/
 Total Dividend (in Rp)                                          Rp253.624.950.000                  Rp160.629.135.000                  Rp67.083.799.275

 Dividen per Saham (dalam Rp)
                                                                       Rp60                                Rp38                             Rp15,87
 Dividend per Share (in Rp)


 Payout Ratio (%)                                                     58,79%                              39,05%                            51,01%


                                                          Akta No. 32 tanggal 30 April 2025   Akta No. 122 tanggal 29 Mei 2024   Akta No.69 tanggal 29 Mei 2023
 Dasar Hukum
                                                          Deed Number 32 dated April 30,      Deed Number 122 dated May 29,      Deed Number 69 dated May 29,
 Legal Basis
                                                                       of 2025                              2024                              2023

 Tanggal Pengumuman                                                 15 Mei 2025                         1 Juni 2024                      31 Mei 2023
 Announcement Date                                                  May 15, 2025                       June 1, 2024                      May 31, 2023

 Tanggal Pembayaran                                                  4 Juni 2025                        26 Juni 2024                      27 Juni 2023
 Payment Date                                                       June 4, 2025                       June 26, 2024                     June 27, 2023




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Realisasi Penggunaan Dana Hasil Penawaran Umum
Realization of Use of Proceeds from Public Offering

Pada tanggal 31 Desember 2002, Perusahaan memperoleh             On December 31, 2002, the Company obtained an effective
surat pernyataan efektif dari Ketua Badan Pengawas Pasar         statement from the Chairman of the Capital Market Supervisory
Modal (“Bapepam”) dengan surat Nomor S-2699/PM/2002 untuk        Agency (“Bapepam”) through Letter Number S-2699/PM/2002,
melakukan Penawaran Umum Saham Perdana Perusahaan                granting approval for the Company’s Initial Public Offering of
kepada masyarakat sejumlah 120.000.000 (seratus dua puluh        120,000,000 (one hundred twenty million) registered ordinary
juta) lembar saham biasa atas nama disertai dengan waran         shares accompanied by 84,000,000 (eighty-four million) warrants
sebanyak 84.000.000 (delapan puluh empat juta) lembar            distributed free of charge. Each warrant holder was entitled
waran yang diberikan secara cuma-cuma. Setiap pemegang           to purchase one share of the Company at an exercise price of
satu waran berhak membeli satu saham Perusahaan dengan           Rp100 per share. The exercise period was from July 21, 2003,
harga pelaksanaan sebesar Rp100 per saham. Pembelian dapat       until January 22, 2006. Warrants not exercised by the end of the
dilakukan selama masa pelaksanaan yaitu mulai tanggal 21         period expired. All shares were listed on the Surabaya Stock
Juli 2003 sampai dengan 22 Januari 2006. Bila waran tidak        Exchange on January 22, 2003.
dilaksanakan sampai dengan masa berlaku habis, maka waran
tersebut menjadi kedaluwarsa. Seluruh saham tersebut telah
dicatat di Bursa Efek Surabaya tanggal 22 Januari 2003.

Pada tanggal 28 Juni 2005, Perusahaan memperoleh surat           On June 28, 2005, the Company obtained another effective
pernyataan efektif dari Ketua Bapepam dengan surat Nomor:        statement from the Chairman of Bapepam through Letter
S1697/PM/2005 untuk melakukan Penawaran Umum Terbatas            Number S-1697/PM/2005, approving the Company’s Limited
I kepada para pemegang saham dalam rangka penerbitan Hak         Public Offering I in connection with the issuance of Pre-emptive
Memesan Efek Terlebih Dahulu (“HMETD”). Jumlah saham hasil       Rights (HMETD). The total shares issued under this offering
penawaran umum terbatas I adalah sebanyak 362.718.750 (tiga      amounted to 362,718,750 (three hundred sixty-two million
ratus enam puluh dua juta tujuh ratus delapan belas ribu tujuh   seven hundred eighteen thousand seven hundred fifty) shares
ratus lima puluh ribu) lembar saham dengan harga pelaksanaan     at an exercise price of Rp100 per share.
Rp100 setiap saham.

Pada tanggal 30 April 2012, Perusahaan memperoleh surat          On April 30, 2012, the Company received an effective statement
pernyataan efektif dari Ketua Bapepam dengan surat No.           from the Chairman of Bapepam through Letter Number S-4933/
S-4933/BL/2012 untuk melakukan penawaran umum terbatas           BL/2012, approving Limited Public Offering II in connection with
II kepada para pemegang saham dalam rangka penerbitan            the issuance of Pre-emptive Rights (HMETD) for Registered
HMETD Saham Biasa Atas Nama dengan nilai nominal Rp              Ordinary Shares with a nominal value of Rp100 per share. Under
100 setiap saham, dengan ketentuan setiap pemegang 2 (dua)       this scheme, every two existing shares entitled the holder to one
saham lama berhak atas 1 (satu) HMETD untuk membeli 1            Pre-emptive Right (HMETD) to purchase one new share. The
(satu) saham baru. Jumlah saham hasil penawaran umum             total shares issued under Limited Public Offering II amounted
terbatas II adalah sebanyak 339.756.875 saham dengan nilai       to 339,756,875 shares at an exercise price of Rp677 per share.
harga pelaksanaan Rp677 setiap saham.

Perusahaan telah melakukan penambahan modal sebanyak             In addition, the Company increased its paid-up capital by 10%
10% (sepuluh persen) dari modal disetor melalui mekanisme        (ten percent) through a mechanism of capital increase without
penambahan modal tanpa memberikan HMETD dahulu dengan            Pre-emptive Rights (HMETD), in compliance with prevailing
memperhatikan ketentuan perundang-undangan yang berlaku          capital market regulations, particularly the Regulation of the
di bidang pasar modal khususnya Peraturan Otoritas Jasa          Financial Services Authority Number 38/POJK.04/2014 concerning
Keuangan No. 38/POJK.04/2014 tentang penambahan modal            capital increases without Pre-emptive Rights. This action was
perusahaan tanpa memesan efek terlebih dahulu, berdasarkan       formalized under Deed Number 20 dated September 21, 2018,
Akta No. 20 tanggal 21 September 2018 dibuat oleh Rini           drawn up before Notary Rini Yulianti, S.H., and duly notified to
Yulianti S.H., yang mana telah diberitahukan kepada Menteri      the Minister of Law and Human Rights through Notification of
Hukum dan Hak Asasi Manusia berdasarkan surat penerimaan         Amendment to the Company’s Articles of Association Number
pemberitahuan perubahan anggaran dasar Perusahaan No.            AHU-AH.01.03-0245634 dated September 24, 2018.
AHUAH.01.03-0245634 tanggal 24 September 2018.




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Informasi Material Terkait Investasi, Ekspansi,
Divestasi, Akuisisi, Restrukturisasi Utang dan/atau
Modal
Material Information Related to Investment, Expansion, Divestment, Acquisition, Debt and/or Capital
Restructuring

Informasi Material Mengenai Investasi                               Material Information on Investment
Pada tahun 2025, Perseroan telah melakukan aktivitas investasi:     In 2025, the Company undertook the following investment
                                                                    activities:

  • RATU, entitas anak, melakukan penempatan dana pada                • RATU, a subsidiary, placed funds in the Patriot Bond issued
    Patriot Bond yang diterbitkan oleh Badan Pengelola                  by Daya Anagata Nusantara Investment Management Agency
    Investasi Daya Anagata Nusantara (BPI Danantara) yang               (BPI Danantara), consisting of Series A Bonds amounting
    terdiri dari Obligasi Seri A sebesar Rp50.000.000.000 dan           to Rp50,000,000,000 and Series B Bonds amounting to
    Obligasi Seri B sebesar Rp50.000.000.000. Obligasi Seri A           Rp50,000,000,000. Series A Bonds will mature on October
    akan jatuh tempo pada tanggal 22 Oktober 2030, sedangkan            22, 2030, while Series B Bonds will mature on October
    Obligasi Seri B akan jatuh tempo pada tanggal 22 Oktober            22, 2032. Each bond carries a coupon (yield) of 2% per
    2032. Masing-masing obligasi memberikan kupon (imbal                annum. The fair value balance as of December 31, 2025,
    hasil) sebesar 2% per tahun. Saldo (nilai wajar) per 31             was Rp100,348,360,656, equivalent to USD 5,979,523.
    Desember 2025 adalah sebesar Rp100.348.360.656 atau
    ekuivalen AS$5.979.523.
  • Perusahaan melakukan penempatan dana pada Patriot                 • The Company also placed funds in the Patriot Bond issued
    Bond yang diterbitkan oleh Badan Pengelola Investasi                by Daya Anagata Nusantara Investment Management Agency
    Daya Anagata Nusantara (BPI Danantara) yang terdiri dari            (BPI Danantara), consisting of Series A Bonds amounting
    Obligasi Seri A sebesar Rp50.000.000.000 dan Obligasi               to Rp50,000,000,000 and Series B Bonds amounting to
    Seri B sebesar Rp50.000.000.000. Obligasi Seri A akan               Rp50,000,000,000. Series A Bonds will mature on October
    jatuh tempo pada tanggal 22 Oktober 2030, sedangkan                 22, 2030, while Series B Bonds will mature on October
    Obligasi Seri B akan jatuh tempo pada tanggal 21 Oktober            21, 2032. Each bond carries a coupon (yield) of 2% per
    2032. Masing-masing obligasi memberikan kupon (imbal                annum. The fair value balance as of December 31, 2025,
    hasil) sebesar 2% per tahun. Saldo (nilai wajar) per 31             was Rp100,400,000,000, equivalent to USD 5,982,600.
    Desember 2025 adalah sebesar Rp100.400.000.000 atau
    ekuivalen AS$5.982.600.

Informasi Material Mengenai Ekspansi                                Material Information on Expansion
Sepanjang tahun 2025, Perseroan tidak melakukan aktivitas           Throughout 2025, the Company did not engage in any activities
atau mengambil keputusan strategis yang berkaitan dengan            or make any strategic decisions related to business expansion
ekspansi usaha yang dikategorikan sebagai informasi material.       that would be categorized as material information. Therefore,
Dengan demikian, tidak terdapat informasi material yang dapat       there is no material information to report regarding expansion
dilaporkan terkait kegiatan ekspansi pada periode tersebut.         activities during this period.

Informasi Material Mengenai Divestasi                               Material Information on Divestment
Pada tanggal 14 Agustus 2025, Perseroan mengantongi Rp60            On August 14, 2025, the Company realized Rp60 billion from
miliar dari hasil divestasi 10 juta saham di PT Raharja Energi      the divestment of 10 million shares in PT Raharja Energi Cepu
Cepu Tbk (RATU). Perseroan telah menjual 10 juta saham dengan       Tbk (RATU). The Company sold 10 million shares at Rp6,000 per
harga Rp6.000 per lembar. Jumlah saham RAJA turun menjadi           share. As a result, RAJA’s shareholding decreased to 1.89 billion
1,89 miliar (69,628%) dari sebelumnya 1,9 miliar lembar (69,996%)   shares (69.628%) from the previous 1.9 billion shares (69.996%)
dari saham tercatat RATU. Harga transaksi divestasi itu lebih       of RATU’s listed shares. The divestment transaction price was
rendah 17,8% atau Rp1.300 dari harga penutupan saham RATU           17.8% lower, or Rp1,300 below RATU’s closing price of Rp7,300
senilai Rp7.300 per saham. Transaksi ini memenuhi Peraturan         per share. This transaction complied with Regulation No. 42/
No. 42/POJK.04/2020 tentang Transaksi Afiliasi dan Benturan         POJK.04/2020 concerning Affiliated Transactions and Conflict
Kepentingan. Transaksi ini dilakukan berdasarkan prinsip            of Interest. The transaction was conducted on an arm’s length
kewajaran (arm’s length basis) dan sesuai dengan peraturan          basis and in accordance with applicable laws and regulations.
perundang-undangan yang berlaku. Adapun sifat hubungan              The affiliated relationship between the Company and RATU
afiliasi antara Perseroan dan RATU merupakan Perusahaan             is that RATU is a controlled entity, with 69.628% of its shares
terkendali Perseroan yang sahamnya dimiliki oleh Perseroan          directly owned by the Company.
secara langsung sebesar 69,628%.




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Informasi Material Mengenai Penggabungan/Peleburan Usaha          Material Information on Merger/Business Combination
Selama tahun 2025, tidak terdapat aktivitas penggabungan          During 2025, the Company did not undertake any merger activities
usaha (merger) yang dilakukan oleh Perseroan yang tergolong       that qualify as material information. Accordingly, there is no
sebagai informasi material. Dengan demikian, tidak terdapat       material information on mergers to be reported.
informasi material mengenai penggabungan usaha yang perlu
dilaporkan.

Informasi Material Mengenai Akuisisi                              Material Information on Acquisition
Pada tanggal 15 Agustus 2025, Perseroan telah menandatangani      On August 15, 2025, the Company signed a Share Purchase Deed
Akta Jual Beli Saham sehubungan dengan pengambilalihan            in connection with the acquisition of shares in the following
saham pada entitas sebagai berikut:                               entities:
• PT Hafar Daya Konstruksi (“HDK”) – sebesar empat puluh          • PT Hafar Daya Konstruksi (“HDK”) – 49% ownership; and
     sembilan persen (49%); dan
• PT Hafar Daya Samudera (“HDS”) – sebesar empat puluh            •    PT Hafar Daya Samudera (“HDS”) – 49% ownership.
     sembilan persen (49%).
HDK merupakan perseroan terbatas yang bergerak di bidang          HDK is a limited liability company engaged in civil construction
konstruksi bangunan sipil untuk sektor minyak dan gas bumi,       for the oil and gas sector, including engineering, procurement,
termasuk kegiatan engineering, procurement, dan instalasi, di     and installation activities in Indonesia. HDS is a limited liability
wilayah Indonesia. HDS merupakan perseroan terbatas yang          company engaged in marine transportation services in Indonesia.
bergerak di bidang jasa angkutan laut di Indonesia.

Transaksi ini dilaksanakan dengan mematuhi Peraturan              This transaction was carried out in compliance with the
Otoritas Jasa Keuangan (“OJK”) No. 31/POJK.04/2015 tentang        Regulation of the Financial Services Authority (OJK) Number
Keterbukaan Atas Informasi atau Fakta Material oleh Emiten        31/POJK.04/2015 concerning Disclosure of Material Information
atau Perusahaan Publik (“POJK 31/2015”); (ii) POJK No. 45         or Facts by Issuers or Public Companies (“POJK 31/2015”);
tahun 2024 tentang Pengembangan & Penguatan Emiten dan            Regulation of the Financial Services Authority (OJK) Number
Perusahaan Publik (“POJK 45/2024”); dan (iii) Surat Keputusan     45/2024 concerning Development and Strengthening of Issuers
Direksi PT Bursa Efek Indonesia No.Kep-00066/BEI/09-2022          and Public Companies (“POJK 45/2024”); and the Decree of the
perihal Perubahan Peraturan No. I-E tentang Kewajiban             Board of Directors of PT Bursa Efek Indonesia Number Kep-
Penyampaian Informasi (“Peraturan I-E”),                          00066/BEI/09-2022 concerning Amendments to Regulation No.
                                                                  I-E on Information Disclosure Obligations (“Regulation I-E”).

Para pihak dalam transaksi ini bertindak secara independen dan    The parties involved in this transaction acted independently
tidak memiliki hubungan afiliasi sebagaimana dimaksud dalam       and have no affiliated relationship as defined under prevailing
ketentuan yang berlaku pada Otoritas Jasa Keuangan (OJK).         regulations of the Financial Services Authority (OJK). This
Transaksi ini sejalan dengan roadmap bisnis Perseroan             initiative is aligned with the Company’s business roadmap
dan merupakan bagian dari strategi pengembangan sektor            and forms part of its midstream sector development strategy.
midstream. Langkah ini memperkuat posisi Perseroan di             It strengthens the Company’s position in the EPCI sector,
sektor EPCI, khususnya pada infrastruktur migas lepas pantai,     particularly offshore oil and gas infrastructure, while creating
sekaligus menciptakan sinergi dengan entitas anak yang telah      synergies with subsidiaries already operating in the same field.
lebih dahulu beroperasi di bidang tersebut.

Perseroan optimistis bahwa inisiatif ini akan memperluas          The Company is confident that this initiative will broaden
portofolio bisnis, meningkatkan daya saing, serta memberikan      its business portfolio, enhance competitiveness, and deliver
nilai tambah yang signifikan bagi seluruh pemangku kepentingan.   significant added value to all stakeholders.

Informasi Material Mengenai Restrukturisasi Utang/Modal           Material Information on Debt/Capital Restructuring
Selama tahun buku yang berakhir pada tanggal 31 Desember          During the fiscal year ended December 31, 2025, the Company
2025, Perseroan tidak melakukan restrukturisasi utang maupun      did not carry out any debt or capital restructuring, whether in the
modal, baik dalam bentuk penjadwalan ulang pembayaran,            form of payment rescheduling, debt-to-equity swaps, or other
konversi utang menjadi ekuitas, maupun perubahan struktur         capital structure alterations. The Company has consistently
permodalan lainnya. Perseroan mampu mengelola arus kas            managed its operational cash flows and liquidity position with a
operasional dan posisi likuiditas dengan prinsip kehati-hatian,   focus on prudent principles, ensuring that all financial obligations
sehingga seluruh kewajiban keuangan dapat dipenuhi tepat          were fulfilled on time in accordance with applicable credit
waktu sesuai dengan perjanjian kredit yang berlaku. Dengan        agreements. Consequently, there were no material corporate
demikian, tidak terdapat aksi korporasi material yang bertujuan   actions aimed at restructuring debt or capital to improve the
untuk menata ulang struktur kewajiban atau permodalan             Company’s financial condition throughout the reporting period.
guna memperbaiki kondisi keuangan Perseroan di sepanjang
periode pelaporan.




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Transaksi-Transaksi dan Saldo dengan Pihak-Pihak
Berelasi
Transactions and Balances with Related Parties

Dalam kegiatan usaha normal, Grup melakukan transaksi               In the ordinary course of business, the Group engages in
usaha dan keuangan dengan pihak-pihak berelasi dengan               commercial and financial transactions with related parties.
rincian sebagai berikut:                                            The details are as follows:

Saldo piutang lain-lain dengan pihak berelasi pada tanggal          Other receivables from related parties as of December 31,
31 Desember 2025 dan 2024, terdiri dari:                            2025 and 2024 consist of:

                                                                                       (Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)
                                                                                           (Presented in full US Dollars, unless otherwise stated)



 Pihak yang Berelasi
                                                                             2025                                       2024
 Related Parties


 PT Sentosa Bersama Mitra                                                     694                                    3.718.862


 PT Hafar Daya Konstruksi                                                    23.321                                       -


 Direksi dan karyawan                                                       134.359                                   513.270


 Jumlah                                                                     158.374                                  4.232.132


 Persentase terhadap jumlah aset konsolidasian                               0,03%                                     1,28%




PT Sentosa Bersama Mitra (“SBM”)                                    PT Sentosa Bersama Mitra (“SBM”)
Pada tanggal 9 Maret 2023, Perusahaan dan SBM menandatangani        On March 9, 2023, the Company and SBM entered into a loan
perjanjian pinjaman, di mana Perusahaan menyetujui untuk            agreement under which the Company agreed to provide SBM
memberikan pinjaman kepada SBM hingga Rp3.000.000.000               with a loan facility of up to Rp3,000,000,000 (equivalent to USD
(setara dengan AS$182.692) untuk kebutuhan modal kerja.             182,692) for working capital needs. The agreement was valid
Perjanjian ini berlaku hingga 8 Maret 2024 dan dapat diperpanjang   until March 8, 2024, and could be extended upon mutual consent
berdasarkan kesepakatan kedua belah pihak. Selanjutnya, pada        of both parties. Subsequently, on September 18, 2023, the
tanggal 18 September 2023, Perusahaan dan SBM menandatangani        Company and SBM signed another loan agreement, whereby the
perjanjian pinjaman, di mana Perusahaan akan memberikan             Company agreed to provide SBM with a loan of USD 5,000,000
pinjaman kepada SBM sebesar AS$5.000.000 untuk kebutuhan            for temporary working capital needs. This agreement was valid
modal kerja sementara. Perjanjian ini berlaku hingga 17 Desember    until December 17, 2023, and could also be extended upon
2023 dan dapat diperpanjang berdasarkan kesepakatan kedua           mutual consent. Both agreements were later extended until
belah pihak. Perjanjian-perjanjian tersebut telah diperpanjang      December 31, 2025. As of December 31, 2025, the outstanding
dengan jangka waktu hingga 31 Desember 2025. Saldo per 31           balance was nil (2024: USD 3,718,862).
Desember 2025 adalah nihil (2024: AS$3.718.862).

Saldo utang lain-lain dengan pihak berelasi pada tanggal 31         Other payables to related parties as of December 31, 2025 and
Desember 2025 dan 2024, terdiri dari                                2024 consist of:

                                                                                       (Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)
                                                                                           (Presented in full US Dollars, unless otherwise stated)



 Pihak yang Berelasi
                                                                             2025                                       2024
 Related Parties


 Ny. Dee Valent                                                              85.014                                       -


 PT Sentosa Bersama Mitra                                                      -                                      545.000


 Persentase terhadap jumlah liabilitas konsolidasian                         0,04%                                     0,34%




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Beban jasa ahli dari pihak berelasi untuk tahun-tahun yang            Professional service expenses from related parties for the
berakhir pada tanggal 31 Desember 2025 dan 2024, terdiri dari:        years ended December 31, 2025 and 2024 consist of:
                                                                                          (Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)
                                                                                              (Presented in full US Dollars, unless otherwise stated)



    Pihak yang Berelasi
                                                                                2025                                       2024
    Related Parties


    PT Sentosa Bersama Mitra                                                   500.000                                       -


    Persentase terhadap beban umum dan administrasi konsolidasian              1,98%                                      0,00%



Sifat Hubungan Dengan Pihak Berelasi                                  Nature of Relationship with Related Parties
Sifat hubungan dengan pihak berelasi adalah sebagai berikut:          The nature of relationships with related parties is as follows:
• Direksi dan karyawan adalah manajemen kunci Grup.                   • The Board of Directors and employees are the Group’s
                                                                          key management.
•       PT Sentosa Bersama Mitra (“SBM”) adalah pemegang              • PT Sentosa Bersama Mitra (“SBM”) is a shareholder of
        saham Perusahaan.                                                 the Company.
•       Selain yang disebut di atas, merupakan perusahaan/ entitas    • Other related parties are companies/entities that share
        yang mempunyai kesamaan pemegang saham dan atau                   common shareholders and/or are under the control of the
        dalam satu kendali pemegang saham akhir.                          same ultimate shareholder.

Kewajaran dan Alasan Dilakukan Transaksi                              Fairness and Rationale for Transactions
Seluruh transaksi yang dilakukan hingga Desember 2025                 All transactions conducted up to December 2025 were carried
dilakukan secara wajar (Arm’s Length) dan sesuai dengan               out on an arm’s length basis and in accordance with normal
persyaratan komersial normal. Kewajaran transaksi dengan              commercial terms. The fairness of transactions with related parties
pihak terkait atau mengandung benturan kepentingan telah              or those involving potential conflicts of interest was ensured in
dilakukan secara wajar sesuai peraturan perundangundangan.            compliance with prevailing laws and regulations. Transactions
Transaksi dilakukan atas dasar alasan kebutuhan Perseroan             were undertaken based on the Company’s operational needs
dan bebas dari konflik kepentingan.                                   and were free from conflicts of interest.

Grup menerapkan PSAK No. 224, “Pengungkapan pihak-pihak               The Group applies Indonesian Financial Accounting Standards
berelasi”. PSAK ini mensyaratkan pengungkapan hubungan,               (IFAS/PSAK) Number 224, “Related Party Disclosures”. This
transaksi dan saldo pihak-pihak berelasi, termasuk komitmen           standard requires disclosure of relationships, transactions,
dalam laporan keuangan konsolidasian.                                 and balances with related parties, including commitments, in
                                                                      the consolidated financial statements.

Pemenuhan Peraturan dan Ketentuan Terkait                             Compliance with Regulations and Provisions
Transaksi dengan pihak afiliasi yang dilakukan Perseroan telah        Transactions with affiliated parties conducted by the Company
sesuai dengan Peraturan Bapepam dan LK No. KEP-347/BL/2012            have complied with the Regulation of the Capital Market
tanggal 25 Juni 2012 tentang “Penyajian dan Pengungkapan              and Financial Institution Supervisory Agency (Bapepam-LK)
Laporan Keuangan Emiten atau Perusahaan Publik.’’                     Number KEP-347/BL/2012 dated June 25, 2012, concerning
                                                                      “Presentation and Disclosure of Financial Statements of Issuers
                                                                      or Public Companies.”

Kebijakan Mekanisme Review atas Transaksi dan Pemenuhan               Policy on Transaction Review Mechanism and Regulatory
Peraturan Terkait                                                     Compliance
Perseroan memiliki kebijakan mengenai persyaratan dan kondisi         The Company has established policies governing the terms
transaksi yang mengandung benturan kepentingan dan/atau               and conditions of transactions involving conflicts of interest
transaksi dengan pihak berelasi.                                      and/or related parties.

Secara umum persyaratan dan kondisi transaksi dengan pihak            Generally, the terms and conditions of related party transactions
berelasi dilakukan sebagaimana dengan pihak ketiga yang di-           are conducted in the same manner as with third parties, reviewed
review oleh Komite Audit serta wajib mendapatkan persetujuan          by the Audit Committee, and must obtain approval from the
dari Dewan Komisaris.                                                 Board of Commissioners.

Selama tahun 2025, tidak terdapat pelanggaran atas peraturan          Throughout 2025, there were no violations of laws and regulations
perundang-undangan terkait dengan transaksi dengan pihak              related to transactions with related parties, nor were there any
berelasi serta tidak terdapat transaksi yang mengandung               transactions involving conflicts of interest.
benturan kepentingan.




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Perubahan Peraturan Perundang-Undangan yang
Berpengaruh Signifikan Terhadap Perusahaan
Changes in Laws and Regulations Affecting the Company


Pada tahun 2025, tidak terdapat perubahan Peraturan Perundang-      In 2025, there was not any amendments to laws and regulations
Undangan yang berpengaruh terhadap Perseroan.                       that had an impact on the Company.




Perubahan Kebijakan Akuntansi
Changes in Accounting Policies


Dewan Standar Akuntansi Keuangan Ikatan Akuntan Indonesia           The Financial Accounting Standards Board of the Institute
telah menerbitkan amandemen dan penyesuaian berikut, yang           of Indonesia Chartered Accountants (DSAK-IAI) has issued
berlaku efektif untuk tahun buku yang dimulai pada 1 Januari 2025   amendments and adjustments effective for the fiscal year
yang relevan namun tidak menyebabkan perubahan signifikan           beginning January 1, 2025. These standards are relevant but
atas kebijakan akuntansi Grup dan tidak memberikan dampak           did not result in significant changes to the Group’s accounting
yang material terhadap jumlah yang dilaporkan di laporan            policies and did not have a material impact on the amounts
keuangan konsolidasian interim periode berjalan.                    reported in the interim consolidated financial statements.
  • PSAK 117 Asuransii                                                • IFAS/PSAK 117 Insurance
  • Amendemen PSAK 221 Perubahan Kurs Valuta Asing                    •    Amendment to IFAS/PSAK 221 Foreign Currency Translation
      tentang Kekurangan Ketukaran.                                        concerning Exchange Deficiency

                                                                    In addition, the following revised accounting standards have
Standar akuntansi revisian berikut telah diterbitkan berlaku        been issued, effective January 1, 2026, and have not been early
efektif sejak tanggal 1 Januari 2026 dan belum diterapkan           adopted by the Group:
secara dini oleh Grup:                                                • Amendment to IFAS/PSAK 109 “Financial Instruments”
  • Amandemen PSAK 109, “Instrumen Keuangan” dan PSAK                     and Indonesian Financial Accounting Standards (IFAS/
       107, “Instrumen Keuangan: Pengungkapan”.                           PSAK) 107 “Financial Instruments: Disclosures”




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                                                       O5      TATA KELOLA
                                                               PERUSAHAAN
                                                               Good Corporate Governance




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Struktur Tata Kelola Perusahaan
Good Corporate Governance Structure


Perseroan telah memiliki kecukupan struktur dan Infrastruktur            The Company has established a sound structure and
Tata Kelola Perusahaan yang Baik/Good Corporate Governance               infrastructure for Good Corporate Governance (GCG) to ensure
(“GCG”) guna memastikan bahwa penerapan prinsip GCG                      that the implementation of GCG principles delivers positive
di Perseroan dapat memberikan output kinerja yang positif                performance outcomes in line with stakeholder expectations.
sesuai ekspektasi para pemangku kepentingan. Mengacu pada                Pursuant to Law Number 40 of 2007 concerning Limited Liability
Undang-Undang Nomor 40 tahun 2007 Tentang Perseroan                      Companies, the Company’s Organs consist of the General
Terbatas (UU PT), Organ Perseroan terdiri dari Rapat Umum                Meeting of Shareholders (GMS), the Board of Commissioners,
Pemegang Saham (RUPS), Dewan Komisaris dan Direksi.                      and the Board of Directors. The governance framework adopts
Sistem kepengurusan menganut sistem dua badan (two tier                  a two-tier system, comprising the Board of Commissioners and
system), yaitu Dewan Komisaris dan Direksi, yang memiliki                the Board of Directors, each vested with clear authority and
wewenang dan tanggung jawab yang jelas sesuai fungsinya                  responsibilities in accordance with their respective functions
masing-masing sebagaimana diamanahkan dalam anggaran                     as mandated by the Articles of Association and prevailing laws
dasar dan peraturan perundang-undangan.                                  and regulations.

Sebagaimana dimaksud dalam Anggaran Dasar dan peraturan                  As stipulated in the Articles of Association and applicable laws and
perundang-undangan yang berlaku, masing-masing organ                     regulations, each organ plays a vital role in the implementation
mempunyai peran penting dalam penerapan GCG dan                          of GCG and carries out its functions, duties, and responsibilities
menjalankan fungsi, tugas, dan tanggung jawabnya untuk                   for the benefit of the Company.
kepentingan Perseroan.

Struktur Organisasi Tata Kelola Perusahaan yang Baik                     Organizational Structure of Good Corporate Governance (GCG)




                                                    Rapat Umum Pemegang
                                                           Saham
                                                         General Meeting of Shareholders




                               Dewan Komisaris                                                   Direksi
                                Board of Commissioners                                      Board of Directors




             Komite Audit                 Komite Nominasi,                    Sekretaris                               Unit
                                         Remunerasi, dan GCG                 Perusahaan                            Audit Internal
             Audit Committee             Nomination, Remuneration,         Corporate Secretary                    Internal Audit Unit
                                            and GCG Committee




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Rapat Umum Pemegang Saham (RUPS)
General Meeting of Shareholders (GMS)


Rapat Umum Pemegang Saham (RUPS) adalah Organ Perseroan                               The General Meeting of Shareholders (GMS) is the Company’s
yang mempunyai wewenang yang tidak diberikan kepada Direksi                           organ vested with authorities not conferred upon the Board
atau Dewan Komisaris dalam batas yang ditentukan dalam                                of Directors or the Board of Commissioners, within the limits
Undang-Undang ini dan/atau Anggaran Dasar.                                            prescribed by law and/or the Articles of Association.

Pelaksanaan RUPS tahun 2025                                                           Conduct of the GMS in 2025
Pada tahun 2025, Perseroan melaksanakan 1 kali RUPS, yaitu                            In 2025, the Company held one GMS, on April 30, 2025. The
pada tanggal 30 April 2025. Pelaksanaan RUPS dilakukan                                GMS was conducted in accordance with Law Number 40 of
sesuai Undang-undang No. 40 Tahun 2007 tentang Perseroan                              2007 concerning Limited Liability Companies and the Financial
Terbatas dan Peraturan Otoritas Jasa Keuangan Nomor 15/                               Services Authority Regulation Number 15/POJK.04/2020
POJK.04/2020 tentang Rencana dan Penyelenggaraan Rapat                                concerning the Planning and Convening of General Meetings
Umum Pemegang Saham Perusahaan Terbuka.                                               of Shareholders of Public Companies.

Rapat Umum Pemegang Saham Tahunan tanggal 30 April 2025                               The Annual General Meeting of Shareholders on April 30, 2025



 Hari/Tanggal                                  Rabu, 30 April 2025
                                               Wednesday, April 30 2025
 Day/Date

 Waktu                                         10.36 WIB
                                               10.36 Western Indonesian Time
 Time

 Tempat                                        Thamrin Nine Ballroom, Chubb Square, Ground Floor, Jalan MH. Thamrin No.10 Jakarta -10230
 Venue

 Kuorum                                        Rapat dihadiri oleh para pemegang saham dan/atau kuasanya yang hadir dan/atau diwakili baik melalui eASY.KSEI maupun
                                               hadir secara fisik dalam Rapat sebanyak 3.278.633.064 (tiga miliar dua ratus tujuh puluh delapan juta enam ratus tiga puluh
 Quorum                                        tiga ribu enam puluh empat) saham yang merupakan 77,562% (tujuh puluh tujuh koma lima ratus enam puluh dua persen) dari
                                               4.227.082.500 (empat miliar dua ratus dua puluh tujuh juta delapan puluh dua ribu lima ratus) saham yang merupakan seluruh
                                               saham yang telah dikeluarkan atau ditempatkan oleh Perseroan sampai dengan tanggal Rapat , karenanya ketentuan mengenai
                                               kuorum Rapat sebagaimana diatur dalam Pasal 23 ayat 1 huruf (a) dan Pasar 23 ayat (4) huruf (a) Anggaran Dasar Perseroan serta
                                               Pasal 41 ayat 1 huruf (a) dan pasal 42 huruf (a) Peraturan Otoritas Jasa Keuangan Nomor 15/POJK.04/2020 tentang Rencana dan
                                               Penyelenggaraan Rapat Umum Pemegang Saham Perusahaan Terbuka (POJK No.15/2020), telah terpenuhi.

                                               The Meeting was attended by shareholders and/or their proxies, either through the eASY.KSEI platform or by physical presence,
                                               representing a total of 3,278,633,064 (three billion two hundred seventy-eight million six hundred thirty-three thousand sixty-four)
                                               shares, equivalent to 77.562% (seventy-seven point five six two percent) of the 4,227,082,500 (four billion two hundred twenty-
                                               seven million eighty-two thousand five hundred) shares issued and outstanding as of the Meeting date. Accordingly, the quorum
                                               requirements stipulated in Article 23 paragraph 1 letter (a) and Article 23 paragraph 4 letter (a) of the Company’s Articles of
                                               Association, as well as Article 41 paragraph 1 letter (a) and Article 42 letter (a) of the Financial Services Authority Regulation
                                               Number 15/POJK.04/2020 on the Planning and Implementation of General Meetings of Shareholders of Public Companies, were
                                               duly met.

 Kehadiran                                     Dewan Komisaris | Board of Commissioners:
                                               Rudiantara                   : Komisaris Utama | President Commissioner
 Attendance                                    M. Arsjad Rasjid PM          : Komisaris | Commissioner
                                               Rachmat Gobel                : Komisaris Independen | Independent Commissioner
                                               Orias Petrus Moedak          : Komisaris Independen | Independent Commissioner
                                               D. Andhi Nirwanto            : Komisaris Independen | Independent Commissioner

                                               Direksi | Board of Directors :
                                               Djauhar Maulidi                  : Direktur Utama | President Director
                                               Sumantri                         : Direktur | Director
                                               Ogi Rulino                       : Direktur | Director

                                               Lain-lain | Others
                                               Djauhar Maulidi, mewakili PT Sentosa Bersama Mitra
                                               Djauhar Maulidi, representing PT Sentosa Bersama Mitra

                                               Idrus Alhas, mewakili Tuan Hapsoro selaku pemegang saham
                                               Idrus Alhas, representing Mr. Hapsoro as shareholder

                                               Retno Dwi Andani, mewakili Kantor Akuntan Publik
                                               Paul Hadiwinata, Hidajat, Arsono, Retno, Palilingan & Rekan
                                               Retno Dwi Andani, representing Public Accounting Firm
                                               Paul Hadiwinata, Hidajat, Arsono, Retno, Palilingan & Partners

                                               Faradila Madina, mewakili Kantor Biro Administrasi Efek PT Ficomindo Buana Registrar
                                               Faradila Madina, representing the Securities Administration Bureau of PT Ficomindo Buana Registrar




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Hasil Keputusan RUPS telah dituangkan melalui Berita Acara                              The resolutions of the GMS were recorded in the Minutes of the
Rapat Umum Pemegang Saham Tahunan PT Rukun Raharja                                      Annual General Meeting of Shareholders (AGMS) of PT Rukun
Tbk No. 32 tanggal 30 April 2025. Seluruh keputusan dalam                               Raharja Tbk No. 32 dated April 30, 2025. All resolutions in the
RUPS dilakukan dengan musyawarah mufakat. Adapun hasil                                  GMS were adopted through deliberation and consensus. The
keputusan RUPS beserta pelaksanaannya dan tindak lanjutnya                              resolutions of the GMS, along with their implementation and
oleh Manajemen hingga akhir tahun 2025 adalah sebagai berikut:                          follow-up by Management until the end of 2025 are as follows:

Pelaksanaan RUPS tahun 2024                                                             Conduct of GMS in 2024



                                 Agenda                                                           Keputusan                                            Tindak Lanjut
 No
                                 Agenda                                                          Resolution(s)                                           Follow Up


  1   Persetujuan atas Laporan Tahunan Direksi, Laporan           1. Menerima dan menyetujui Laporan Tahunan Perseroan termasuk                    Telah ditindaklanjuti
      tugas pengawasan Dewan Komisaris dan pengesahan                Laporan Tugas Pengawasan Dewan Komisaris Perseroan untuk tahun                 Duly Followed-Up
      Neraca serta Laporan Laba Rugi Perseroan untuk tahun           buku yang berakhir pada tanggal 31 Desember 2024.
      buku yang berakhir pada tanggal 31 Desember 2024               Received and approved the Company’s Annual Report,
      Approval of the Annual Report of the Board of Directors,       including the Supervisory Report of the Board of
      the supervisory report of the Board of Commissioners,          Commissioners, for the fiscal year ended December 31, 2024.
      and the ratification of the Balance Sheet and the
      Statement of Profit and Loss of the Company for the         2. Mengesahkan Laporan Keuangan Konsolidasian Perseroan tanggal 31
      fiscal year ended December 31, 2024                            Desember 2024 dan untuk tahun yang berakhir pada tanggal tersebut
                                                                     disertai Laporan Auditor Independen yang telah diaudit oleh Kantor
                                                                     Akuntan Publik Paul Hadiwinata, Hidajat, Arsono, Retno, Palilingan &
                                                                     Rekan sebagaimana ternyata dari laporannya Nomor 00247/2.1133/
                                                                     AU.1/02/0754-4/1/III/2025 tertanggal 5 Maret 2024 dengan pendapat
                                                                     Wajar Tanpa Pengecualian serta memberikan pembebasan dan
                                                                     pelunasan sepenuhnya (acquit et de charge) kepada seluruh anggota
                                                                     Direksi dan Dewan Komisaris Perseroan atas tindakan pengurusan dan
                                                                     pengawasan yang telah dilakukan selama tahun buku yang berakhir
                                                                     pada tanggal 31 Desember 2024, sepanjang tindakan-tindakan mereka
                                                                     tersebut tercermin dalam Laporan Tahunan dan Laporan Keuangan
                                                                     Konsolidasian 31 Desember 2024 serta untuk tahun yang berakhir
                                                                     pada tanggal tersebut disertai Laporan Auditor Independen.
                                                                     Ratified the Company’s Consolidated Financial Statements as of
                                                                     December 31, 2024 and for the fiscal year then ended, together with
                                                                     the Independent Auditor’s Report audited by the Public Accounting
                                                                     Firm Paul Hadiwinata, Hidajat, Arsono, Retno, Palilingan & Partners,
                                                                     as set forth in Report Number 00247/2.1133/AU.1/02/0754-4/1/III/2025
                                                                     dated March 5, 2024, which expressed an Unqualified Opinion (WTP/
                                                                     fairly presented in all material respects), and granted full release and
                                                                     discharge (acquit et de charge) to all members of the Company’s Board
                                                                     of Directors and the Board of Commissioners for the management and
                                                                     supervisory actions carried out during the fiscal year ended December
                                                                     31, 2024, insofar as such actions are reflected in the Annual Report
                                                                     and the Consolidated Financial Statements as of December 31, 2024,
                                                                     together with the Independent Auditor’s Report.

  2   Persetujuan penggunaan laba Perseroan untuk tahun           1. Laba yang dapat diatribusikan kepada Pemilik Entitas Induk sebesar            Telah ditindaklanjuti
      buku yang berakhir 31 Desember 2024                            USD 25.552.112 (dua puluh lima juta lima ratus lima puluh dua ribu             Duly Followed-Up
      Approval of the appropriation of the Company’s net profit      seratus dua belas dollar amerika serikat);dan
      for the fiscal year ended December 31, 2024.                   The net profit attributable to the Owners of the Parent Entity
                                                                     amounted to USD 25,552,112 (twenty-five million five hundred
                                                                     fifty-two thousand one hundred twelve United States dollars); and

                                                                  2. Laba Ditahan Perseroan sesuai Laporan Keuangan per tanggal 31
                                                                     Desember 2024 sebesar USD 105.467.404 (seratus lima juta empat
                                                                     ratus enam puluh tujuh ribu empat ratus empat puluh empat dollar
                                                                     amerika serikat).
                                                                     The Company’s retained earnings as per the Financial Statements dated
                                                                     December 31, 2024 amounted to USD 105,467,404 (one hundred five
                                                                     million four hundred sixty-seven thousand four hundred four United
                                                                     States dollars).




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                                 Agenda                                                            Keputusan                                             Tindak Lanjut
 No
                                 Agenda                                                           Resolution(s)                                            Follow Up


  2    Persetujuan penggunaan laba Perseroan untuk tahun           Digunakan sebagai berikut:                                                        Telah ditindaklanjuti
       buku yang berakhir 31 Desember 2024                         were appropriated as follows:                                                      Duly Followed-Up
       Approval of the appropriation of the Company’s net profit   1. Menetapkan penyisihan untuk dana Cadangan Perseroan sesuai
       for the fiscal year ended December 31, 2024.                   dengan Pasal 70 ayat (1) Undang-Undang Perseroan Terbatas sebesar
                                                                      Rp100.000.000,- (seratus juta rupiah);
                                                                      To be allocated as a reserve fund of IDR 100,000,000 (one hundred
                                                                      million rupiah) in accordance with Article 70 paragraph (1) of the Limited
                                                                      Liability Company Law.
                                                                   2. Menetapkan pembagian dividen sebesar USD 15,021,615 (lima belas
                                                                      juta dua puluh satu ribu enam ratus lima belas dollar amerika serikat)
                                                                      atau ekuivalen Rp253.624.950.000,- (dua ratus lima puluh tiga miliar
                                                                      enam ratus dua puluh empat juta Sembilan ratus lima puluh ribu
                                                                      rupiah) dengan kurs Tengah Bank Indonesia Rp16.884,- (enam belas
                                                                      ribu delapan ratus delapan puluh empat rupiah) per tanggal 25 April
                                                                      2025. Dividen tersebut akan dibagikan tunai kepada para pemegang
                                                                      saham sebesar ekuivalen Rp60,- (enam puluh rupiah) per saham
                                                                      yang namanya tercatat dalam Daftar Pemegang Saham Perseroan
                                                                      pada tanggal 15 Mei 2025 pada pukul 16.00 Waktu Indonesia Barat
                                                                      (“Recording Date”) dengan memperhatikan peraturan PT Bursa Efek
                                                                      Indonesia untuk perdagangan saham di Bursa Efek Indonesia, dengan
                                                                      catatan bahwa untuk saham Perseroan yang berada dalam penitipan
                                                                      kolektif, berlaku ketentuan sebagai berikut:
                                                                      To be distributed as a dividend of USD 15,021,615 (fifteen million twenty-
                                                                      one thousand six hundred fifteen United States dollars), equivalent to
                                                                      IDR 253,624,950,000 (two hundred fifty-three billion six hundred twenty-
                                                                      four million nine hundred fifty thousand rupiah), based on the Bank
                                                                      Indonesia middle exchange rate of IDR 16,884 per USD as of April 25,
                                                                      2025. The dividend shall be distributed in cash to shareholders at IDR
                                                                      60 (sixty rupiah) per share to those whose names are recorded in the
                                                                      Company’s Shareholders Register on May 15, 2025 at 16:00 Western
                                                                      Indonesia Time (“Recording Date”), subject to the regulations of the
                                                                      Indonesia Stock Exchange. For shares held in collective custody, the
                                                                      following provisions apply:

                                                                       • Cum Dividen di Pasar Reguler dan Negosiasi pada tanggal 09 Mei
                                                                         2025;
                                                                         Cum Dividend in Regular and Negotiated Market on May 9, 2025;
                                                                       • Ex Dividen di Pasar Reguler dan Negosiasi pada tanggal tanggal 14
                                                                         Mei 2025;
                                                                         Ex Dividend in Regular and Negotiated Market on May 14, 2025;
                                                                       • Cum Dividen di Pasar Tunai pada tanggal 15 Mei 2025; dan
                                                                         Cum Dividend in Cash Market on May 15, 2025; and
                                                                       • Ex Dividen di Pasar Tunai pada tanggal 16 Mei 2025;
                                                                         Ex Dividend in Cash Market on May 16, 2025.

                                                                       Pembayaran dividen tunai kepada para pemegang saham yang berhak
                                                                       akan dilaksanakan selambatnya pada tanggal 04 Juni 2025.
                                                                       The cash dividend payment to entitled shareholders shall be made no
                                                                       later than June 4, 2025.

                                                                   3. Tantiem untuk Dewan Komisaris dan Direksi Perseroan yang pembagiannya
                                                                      didelegasikan kepada Dewan Komisaris;
                                                                      To be allocated as tantiem (performance-based compensation) for the
                                                                      Board of Commissioners and the Board of Directors, with its distribution
                                                                      delegated to the Board of Commissioners;
                                                                   4. Menetapkan sisa laba bersih tahun berjalan untuk tahun buku yang
                                                                      berakhir pada tanggal 31 Desember 2024 dicatat sebagai laba yang
                                                                      ditahan oleh Perseroan atau retained earnings; dan
                                                                      Has resolved to allocate the remaining net profit for the financial year
                                                                      ended December 31, 2024, as the Company’s retained earnings; and
                                                                   5. Memberikan kuasa kepada Direksi Perseroan untuk melaksanakan
                                                                      segala sesuatunya sehubungan dengan pembagian dividen tersebut
                                                                      di atas sesuai dengan peraturan perundang-undangan yang berlaku.
                                                                      To grant authority to the Board of Directors to take all necessary actions
                                                                      in connection with the above dividend distribution in compliance with
                                                                      prevailing laws and regulations.




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                                Agenda                                                       Keputusan                                            Tindak Lanjut
No
                                Agenda                                                      Resolution(s)                                           Follow Up


 3   Persetujuan atas Penunjukan Kantor Akuntan Publik            Menyetujui pendelegasian wewenang kepada Dewan Komisaris                    Telah ditindaklanjuti
     Independen untuk mengaudit pembukuan Perseroan               Perseroan untuk menunjuk Kantor Akuntan Publik yang terdaftar                Duly Followed-Up
     untuk tahun buku yang berakhir pada tanggal 31               di OJK serta menetapkan kriteria Kantor Akuntan Publik untuk
     Desember 2025                                                melakukan audit atas Laporan Keuangan Perseroan untuk Tahun
     Approval of the appointment of an Independent Public         Buku yang akan berakhir pada 31 Desember 2025 dan untuk
     Accounting Firm to audit the Company’s books for the         menetapkan honorarium dan persyaratan lainnya bagi Kantor
     fiscal year ending December 31, 2025.                        Akuntan Publik tersebut sesuai dengan ketentuan yang berlaku.
                                                                  Approved the delegation of authority to the Company’s Board of
                                                                  Commissioners to appoint a Public Accounting Firm registered
                                                                  with the Financial Services Authority (OJK), to establish the criteria
                                                                  for such Public Accounting Firm to audit the Company’s Financial
                                                                  Statements for the fiscal year ending December 31, 2025, and to
                                                                  determine the honorarium and other requirements for the appointed
                                                                  Public Accounting Firm in accordance with prevailing regulations.

 4   Persetujuan atas penetapan remunerasi anggota           1. Menyetujui pelimpahan wewenangan kepada Dewan Komisaris Perseroan             Telah ditindaklanjuti
     Direksi dan honorarium anggota Dewan Komisaris             dalam menentukan gaji dan tunjangan lainnya untuk anggota Direksi              Duly Followed-Up
     Perseroan untuk tahun buku 2025                            Perseroan, dengan mempertimbangkan kegiatan operasional Perseroan
     Approval of the determination of remuneration for the      sehari-hari maupun kondisi keuangan Perseroan.
     members of the Board of Directors and honorarium for       Approved the delegation of authority to the Company’s Board of
     the members of the Board of Commissioners of the           Commissioners to determine the salaries and other benefits of the
     Company for the fiscal year 2025.                          members of the Board of Directors, considering the Company’s daily
                                                                operational activities and financial condition.
                                                             2. Menyetujui penetapan gaji atau honorarium dan tunjangan bagi Dewan
                                                                Komisaris minimal sama dengan tahun 2024 dan memperhatikan tingkat
                                                                persaingan dengan Perusahaan sejenis dan kondisi keuangan Perseroan.
                                                                Approved the determination of salaries or honorarium and allowances
                                                                for the members of the Board of Commissioners, at least equal to those
                                                                of 2024, with due regard to industry competitiveness and the Company’s
                                                                financial condition.

 5   Persetujuan atas perubahan susunan Direksi dan/atau     1. Menyetujui memberhentikan dengan hormat                                       Telah ditindaklanjuti
     Dewan Komisaris Perseroan                                  Approved to respectfully dismiss:                                              Duly Followed-Up
     Approval of the changes in the composition of the           • Sumantri dari jabatannya selaku Direktur Perseroan
     Company’s Board of Directors and/or Board of                   Sumantri from his position as Director of the Company
     Commissioners.                                              • Orias Petrus Moedak dari jabatannya selaku Komisaris
                                                                   Independen Perseroan
                                                                   Orias Petrus Moedak from his position as Independent
                                                                   Commissioner of the Company
                                                                Terhitung efektif sejak tanggal ditutupnya Rapat ini dengan ucapan
                                                                terima kasih atas kontribusi dan pemikirannya selama masa
                                                                jabatannya tersebut serta memberikan pembebasan dan pelunasan
                                                                tanggung jawab sepenuhnya (acquit et decharge) atas tindakan
                                                                pengurusan dan pengawasan yang telah dijalankan sejak tanggal 01
                                                                Januari 2025 sampai dengan tanggal ditutupnya Rapat ini, sepanjang
                                                                tercermin dalam laporan tahunan dan laporan keuangan Perseroan.
                                                                effective as of the closing of this Meeting, with gratitude expressed for
                                                                their contributions and insights during their term of office, and with
                                                                the granting of full release and discharge (acquit et de charge) for
                                                                the management and supervisory actions carried out from January
                                                                1, 2025 until the closing of this Meeting, insofar as such actions are
                                                                reflected in the Company’s Annual Report and Financial Statements.




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                                                                                                                                               Laporan Tahunan
                                                                                                                                           PT Rukun Raharja Tbk   2025



                               Agenda                                                          Keputusan                                             Tindak Lanjut
 No
                               Agenda                                                         Resolution(s)                                            Follow Up


  5    Persetujuan atas perubahan susunan Direksi dan/atau     2. Susunan anggota Direksi dan Dewan Komisaris Perseroan yang baru                Telah ditindaklanjuti
       Dewan Komisaris Perseroan                                  terhitung sejak tanggal penutupan Rapat ini sampai dengan penutupan             Duly Followed-Up
       Approval of the changes in the composition of the          Rapat Umum Pemegang Saham Tahunan Perseroan yang diselenggarakan
       Company’s Board of Directors and/or Board of               pada tahun 2026 menjadi sebagai berikut:
       Commissioners.                                             Approved the new composition of the Board of Directors and the Board
                                                                  of Commissioners of the Company, effective as of the closing of this
                                                                  Meeting until the closing of the Annual General Meeting of Shareholders
                                                                  to be convened in 2026, as follows:

                                                                   Direksi
                                                                   Board of Directors
                                                                   Direktur Utama | President Director : Djauhar Maulidi
                                                                   Direktur | Director : Ogi Rulino

                                                                   Dewan Komisaris
                                                                   Board of Commissioners
                                                                   Komisaris Utama | President Commissioner: Rudiantara
                                                                   Komisaris | Commissioner : M. Arsjad Rasjid PM
                                                                   Komisaris Independen | Independent Commissioner : Rachmat Gobel
                                                                   Komisaris Independen | Independent Commissioner : D. Andhi Nirwanto

                                                               3. Memberikan kuasa dan wewenang dengan hak subtitusi kepada
                                                                  Direksi Perseroan untuk melakukan segala tindakan yang diperlukan
                                                                  sehubungan dengan perubahan susunan anggota Direksi dan Dewan
                                                                  Komsisaris Perseroan, tanpa ada yang dikecualikan sesuai dengan
                                                                  peraturan perundang-undangan yang berlaku.
                                                                  Granted authority and power of substitution to the Company’s Board
                                                                  of Directors to undertake all necessary actions in connection with the
                                                                  changes in the composition of the Board of Directors and the Board
                                                                  of Commissioners, without exception, in compliance with prevailing
                                                                  laws and regulations.

  6    Persetujuan perubahan pasal 3 Anggaran Dasar            1. Menyetujui perubahan Pasal 3 Anggaran Dasar Perseroan dalam rangka             Telah ditindaklanjuti
       Perseroan dalam rangka penyesuaian terhadap                penyesuaian dengan Peraturan Badan Pusat Statistik (BPS) No.2/2020              Duly Followed-Up
       klasifikasi Baku Lapangan Usaha (KBLI)                     tentang Klasifikasi Baku Lapangan Usaha Indonesia (KBLI) 2020.
       Approval of the amendment to Article 3 of the              Approved the amendment to Article 3 of the Company’s Articles of
       Company’s Articles of Association to align with the        Association to align with the Regulation of the Statistics Indonesia (BPS)
       Indonesian Standard Industrial Classification (KBLI).      No. 2/2020 concerning the Indonesian Standard Industrial Classification
                                                                  (KBLI) 2020
                                                               2. Memberikan Kuasa dan Wewenang kepada Direksi dengan hak subtitusi
                                                                  untuk melakukan segala tindakan yang diperlukan, sehubungan dengan
                                                                  perubahan Pasal 3 Anggaran Dasar Perseroan tersebut, tanpa ada
                                                                  yang dikecualikan, sesuai dengan peratuan perundang-undangan yang
                                                                  berlaku.
                                                                  Granted authority and power of substitution to the Board of Directors
                                                                  to undertake all necessary actions in connection with the amendment
                                                                  to Article 3 of the Company’s Articles of Association, without exception,
                                                                  in compliance with prevailing laws and regulations.




Pada tahun 2024, Perseroan melaksanakan 1 kali RUPS,                                 In 2024, the Company convened one General Meeting of
yaitu pada tanggal 29 Mei 2024. Pelaksanaan RUPS dilakukan                           Shareholders (GMS), held on May 29, 2024. The GMS was
sesuai Undang-undang No. 40 Tahun 2007 tentang Perseroan                             conducted in accordance with Law Number 40 of 2007 concerning
Terbatas dan Peraturan Otoritas Jasa Keuangan Nomor 15/                              Limited Liability Companies and the Financial Services
POJK.04/2020 tentang Rencana dan Penyelenggaraan Rapat                               Authority Regulation No. 15/POJK.04/2020 on the Planning
Umum Pemegang Saham Perusahaan Terbuka.                                              and Implementation of General Meetings of Shareholders of
                                                                                     Public Companies.




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Rapat Umum Pemegang Saham Tahunan tanggal 29 Mei 2024                        Annual General Meeting of Shareholders – May 29, 2024


 Hari/Tanggal                         Rabu, 29 Mei 2024
                                      Wednesday, May 29 2024
 Day/Date

 Waktu                                10.30 WIB
                                      10.30 Western Indonesian Time
 Time

 Tempat                               Samisara Ballroom, Sopo Del Tower Jalan Mega Kuningan Barat Jakarta Selatan
 Venue

 Kuorum                               RUPS Tahunan dihadiri oleh pemegang saham dan/atau kuasanya yang hadir dan/atau diwakili melalui eASY.KSEI maupun hadir
                                      secara fisik dalam rapat sebanyak 3.499.077.904 (tiga miliar empat ratus sembilan puluh sembilan juta tujuh puluh tujuh ribu
 Quorum                               sembilan ratus empat) saham yang merupakan 82,77% (delapan puluh dua koma tujuh puluh tujuh persen) dari 4.227.082.500
                                      (empat miliar dua ratus dua puluh tujuh juta delapan puluh dua ribu lima ratus) saham yang merupakan seluruh saham yang
                                      telah dikeluarkan atau ditempatkan oleh Perseroan sampai dengan tanggal Rapat, karenanya ketentuan mengenai kuorum Rapat
                                      sebagaimana diatur dalam pasal 23 ayat I huruf (a) Anggaran Dasar Perseroan dan Pasal 41 ayat I huruf (a) Peraturan Otoritas Jasa
                                      Keuangan Nomor 15/POJK.04/2020 tentang Rencana dan Penyelenggaraan Rapat Umum Pemegang Saham Perusahaan Terbuka
                                      (“POJK No.15/2020”), telah terpenuhi.
                                      The Annual General Meeting of Shareholders (AGMS) was attended by shareholders and/or their proxies, either through the eASY.
                                      KSEI platform or by physical presence, representing a total of 3,499,077,904 (three billion four hundred ninety-nine million seventy-
                                      seven thousand nine hundred four) shares, equivalent to 82.77% (eighty two point seventy seven percent) of the 4,227,082,500
                                      (four billion two hundred twenty-seven million eighty-two thousand five hundred) shares issued and fully paid by the Company
                                      as of the date of the Meeting. Accordingly, the quorum requirements as stipulated in Article 23 paragraph (1) letter (a) of the
                                      Company’s Articles of Association and Article 41 paragraph (1) letter (a) of the Financial Services Authority Regulation Number:
                                      15/POJK.04/2020 on the Planning and Convening of General Meetings of Shareholders of Public Companies (“POJK No. 15/2020”)
                                      were duly fulfilled.

 Kehadiran                            Dewan Komisaris | Board of Commissioners:
                                      Rudiantara                   : Komisaris Utama | President Commissioner
 Attendance                           D. Andhi Nirwanto            : Komisaris Independen | Independent Commissioner
                                      Orias Petrus Moedak          : Komisaris Independen | Independent Commissioner

                                      Direksi | Board of Directors :
                                      Djauhar Maulidi                  : Direktur Utama | President Director
                                      M. Oka Lesmana Firdauzi          : Direktur | Director
                                      Sumantri                         : Direktur | Director
                                      Ogi Rulino                       : Direktur | Director

                                      Lain-lain | Other:
                                      Ridwan Samhuri, mewakili PT Sentosa Bersama Mitra
                                      Ridwan Samhuri, representing PT Sentosa Bersama Mitra

                                      Idrus Alhas, mewakili Tuan Hapsoro selaku pemegang saham
                                      Idrus Alhas, representing Mr. Hapsoro as shareholder

                                      Retno Dwi Andani, mewakili Kantor Akuntan Publik
                                      Paul Hadiwinata, Hidajat, Arsono, Retno, Palilingan & Rekan
                                      Retno Dwi Andani, representing Public Accounting Firm
                                      Paul Hadiwinata, Hidajat, Arsono, Retno, Palilingan & Partners

                                      Faradila Madina, mewakili Kantor Biro Administrasi Efek PT Ficomindo Buana Registrar
                                      Faradila Madina, representing the Securities Administration Bureau of PT Ficomindo Buana Registrar




Hasil Keputusan RUPS telah dituangkan melalui Berita Acara                   The resolutions of the GMS of PT Rukun Raharja Tbk have
Rapat Umum Pemegang Saham Tahunan PT Rukun Raharja                           been recorded in the Minutes of the Annual General Meeting of
Tbk No. 122 tanggal 29 Mei 2024. Seluruh keputusan dalam                     Shareholders Number 122 dated May 29, 2024. All resolutions of
RUPS dilakukan dengan musyawarah mufakat. Adapun hasil                       the GMS were adopted by consensus. The resolutions, together
keputusan RUPS beserta pelaksanaannya dan tindak lanjutnya                   with their implementation and follow-up actions by Management
oleh Manajemen hingga akhir tahun 2024 adalah sebagai berikut:               up to the end of 2024, were as follows:




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                                                                                                                                                      Laporan Tahunan
                                                                                                                                                  PT Rukun Raharja Tbk   2025



                                Agenda                                                               Keputusan                                              Tindak Lanjut
 No
                                Agenda                                                              Resolution(s)                                             Follow Up


   1   Persetujuan Laporan Tahunan dan pengesahan Laporan 1.           Menerima dan menyetujui Laporan Tahunan Perseroan termasuk                       Telah ditindaklanjuti
       Keuangan Konsolidasian Perseroan serta Laporan Tugas            Laporan Tugas Pengawasan Dewan Komisaris Perseroan untuk tahun                    Duly Followed-Up
       Pengawasan Dewan Komisaris Perseroan selama tahun               buku yang berakhir pada tanggal 31 Desember 2023 serta rencana kerja
       buku 2023                                                       dan pengembangan Perseroan.
       Approval of the Annual Report and ratification of the           Received and approved the Company’s Annual Report, including the Supervisory
       Company’s Consolidated Financial Statements, as well as         Report of the Board of Commissioners for the fiscal year ended December
       the Supervisory Report of the Board of Commissioners            31, 2023, as well as the Company’s work plan and development program.
       for the fiscal year 2023.
                                                               2.      Mengesahkan Laporan Keuangan Konsolidasian 31 Desember 2023
                                                                       dan untuk tahun yang berakhir pada tanggal tersebut disertai Laporan
                                                                       Auditor Independen yang telah diaudit oleh Kantor Akuntan Publik Paul
                                                                       Hadiwinata, Hidajat, Arsono, Retno, Palilingan & Rekan sebagaimana
                                                                       ternyata dari laporannya nomor 00415/2.1133/AU.1/02/0754-3/1/III.2024
                                                                       tetanggal 22 Maret 2024 dengan pendapat wajar tanpa pengecualian,
                                                                       serta memberikan pembebasan dan pelunasan sepenuhnya (acquit et de
                                                                       charge) kepada seluruh anggota Direksi dan Dewan Komisaris Perseroan
                                                                       atas tindakan pengurusan dan pengawasan yang telah dilakukan selama
                                                                       tahun buku yang berakhir pada 31 Desember 2023, sepanjang tindakan-
                                                                       tindakan mereka tersebut tercemin dalam Laporan Tahunan dan Laporan
                                                                       Keuangan Konsolidasian 31 Desember 2023 serta untuk tahun yang
                                                                       berakhir pada tanggal tersebut disertai Laporan Auditor Independen.
                                                                       Ratified the Consolidated Financial Statements as of December 31, 2023
                                                                       and for the fiscal year then ended, together with the Independent Auditor’s
                                                                       Report audited by the Public Accounting Firm Paul Hadiwinata, Hidajat,
                                                                       Arsono, Retno, Palilingan & Partners, as set forth in its report Number:
                                                                       00415/2.1133/AU.1/02/0754-3/1/III.2024 dated March 22, 2024, which
                                                                       expressed an unqualified opinion; and granted full release and discharge
                                                                       (acquit et de charge) to all members of the Board of Directors and the
                                                                       Board of Commissioners for the management and supervisory actions
                                                                       carried out during the fiscal year ended December 31, 2023, insofar as
                                                                       such actions are reflected in the Annual Report and the Consolidated
                                                                       Financial Statements as of December 31, 2023 and for the fiscal year
                                                                       then ended, together with the Independent Auditor’s Report.

   2   Persetujuan penggunaan laba bersih Perseroan tahun              Menyetujui penggunaan (i) Laba yang dapat Diatribusikan kepada Pemilik           Telah ditindaklanjuti
       buku 2023                                                       Entitas Induk sejumlah USD 25.606.534 (dua puluh lima juta enam ratus             Duly Followed-Up
       Approval of the appropriation of the Company’s net profit       enam ribu lima ratus tiga puluh empat Dollar Amerika Serikat); dan
       for the fiscal year 2023                                        (ii) Laba Ditahan Perseroan sesuai Laporan Keuangan per tanggal 31
                                                                       Desember 2023 sebesar USD 89.930.447 (delapan puluh sembilan juta
                                                                       sembilan ratus tiga puluh ribu empat ratus empat puluh tujuh Dollar
                                                                       Amerika Serikat), sebagai berikut:
                                                                       Approved the use of (i) Profit Attributable to Owners of the Parent
                                                                       Entity amounting to USD 25,606,534 (twenty-five million six hundred
                                                                       six thousand five hundred thirty-four United States Dollars); and (ii) the
                                                                       Company’s Retained Earnings as per the Financial Statements dated
                                                                       December 31, 2023 amounting to USD 89,930,447 (eighty-nine million
                                                                       nine hundred thirty thousand four hundred forty-seven United States
                                                                       Dollars), as follows:

                                                                   1. Menetapkan penyisihan untuk dana cadangan Perseroan sesuai
                                                                      dengan Pasal 70 ayat (1) Undang- Undang Perseroan Terbatas sebesar
                                                                      Rp100.000.000 (seratus juta Rupiah).
                                                                      To be allocated Rp100,000,000 (one hundred million Rupiah) as statutory
                                                                      reserve in accordance with Article 70 paragraph (1) of the Limited Liability
                                                                      Company Law.
                                                                   2. Menetapkan pembagian dividen sebesar USD 10.000.000 (sepuluh juta
                                                                      Dollar Amerika Serikat) atau ekuivalen Rp160.629.135.000 (seratus enam
                                                                      puluh miliar enam ratus dua puluh sembilan ribu seratus tiga puluh lima
                                                                      rupiah) dengan kurs tengah Bank Indonesia Rp16.064 (enam belas ribu
                                                                      enam puluh empat rupiah) per tanggal 27 Mei 2024. Dividen tersebut
                                                                      akan dibagikan secara tunai kepada para pemegang saham sebesar
                                                                      ekuivalen Rp38 (tiga puluh delapan Rupiah) per saham, yang namanya
                                                                      tercatat pada Daftar Pemegang Saham Perseroan pada tanggal 10 Juni
                                                                      2024 pada pukul 16.00 Waktu Indonesia Barat (“Recording Date”) dengan
                                                                      memperhatikan peraturan PT Bursa Efek Indonesia untuk perdagangan
                                                                      saham di Bursa Efek Indonesia, dengan catatan bahwa untuk saham
                                                                      Perseroan yang berada di dalam penitipan koletif, berlaku ketentuan
                                                                      sebagai berikut:
                                                                      To be distributed as cash dividends amounting to USD 10,000,000 (ten
                                                                      million United States Dollars), equivalent to Rp160,629,135,000 (one
                                                                      hundred sixty billion six hundred twenty-nine million one hundred
                                                                      thirty-five thousand Rupiah) based on the Bank Indonesia middle rate of
                                                                      Rp16,064 per USD as of May 27, 2024. The dividends shall be distributed
                                                                      in cash to shareholders at Rp38 (thirty-eight Rupiah) per share, whose
                                                                      names were recorded in the Company’s Shareholders Register on June
                                                                      10, 2024 at 16:00 Western Indonesian Time (“Recording Date”), subject
                                                                      to the regulations of the Indonesia Stock Exchange, with the following
                                                                      provisions for shares held in collective custody:




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                                Agenda                                                             Keputusan                                             Tindak Lanjut
No
                                Agenda                                                            Resolution(s)                                            Follow Up


 2   Persetujuan penggunaan laba bersih Perseroan tahun                                                                                              Telah ditindaklanjuti
                                                                       • Cum Dividen di Pasar Regular dan Negosiasi pada tanggal 6
     buku 2023                                                                                                                                        Duly Followed-Up
                                                                      		 Juni 2024
     Approval of the appropriation of the Company’s net profit
                                                                         Cum Dividend in Regular and Negotiated Market on June 6,
     for the fiscal year 2023
                                                                      		 2024
                                                                       • Ex Dividen di Pasar Regular dan Negosiasi pada tanggal 7 Juni
                                                                      		 2024
                                                                         Ex Dividend in Regular and Negotiated Market on June 7, 2024
                                                                       • Cum Dividen di Pasar Tunai pada tanggal 10 Juni 2024
                                                                         Cum Dividend in Cash Market on June 10, 2024
                                                                       • Ex Dividen di Pasar Tunai pada tanggal 11 Juni 2024
                                                                         Ex Dividend in Cash Market on June 11, 2024

                                                                    Pembayaran dividen tunai kepada para pemegang saham yang berhak
                                                                    akan dilaksanakan selambatnya pada tanggal 28 Juni 2024.
                                                                    Payment of cash dividends to entitled shareholders shall be made no
                                                                    later than June 28, 2024.
                                                                 3. Tantiem untuk pengurus Perseroan (Dewan Komisaris dan Direksi)
                                                                    dengan total sebesar USD 1.187.433,32 (satu juta seratus delapan puluh
                                                                    tujuh ribu empat ratus tiga puluh tiga koma tida dua Dollar Amerika
                                                                    Serikat) atau ekuivalen Rp 19.074.928.852,48 (sembilan belas miliar
                                                                    tujuh puluh empat juta sembilan ratus dua puluh delapan ribu delapan
                                                                    ratus lima puluh dua koma empat delapan Rupiah) yang pembagiannya
                                                                    didelegasikan kepada Dewan Komisaris.
                                                                    Approved tantiem for the Company’s management (Board of Commissioners
                                                                    and Board of Directors) totaling USD 1,187,433.32 (one million one hundred
                                                                    eighty-seven thousand four hundred thirty-three point thirty-two United
                                                                    States Dollars), equivalent to Rp19,074,928,852.48 (nineteen billion
                                                                    seventy-four million nine hundred twenty-eight thousand eight hundred
                                                                    fifty-two point forty-eight Rupiah), with the distribution delegated to the
                                                                    Board of Commissioners.
                                                                 4. Menetapkan sisa laba bersih tahun berjalan untuk tahun buku yang
                                                                    berakhir pada tanggal 31 Desember 2023 dicatat sebagai laba yang
                                                                    ditahan oleh Perseroan atau retained earnings.
                                                                    Recorded the remaining net profit for the fiscal year ended December
                                                                    31, 2023 as the Company’s retained earnings.
                                                                 5. Memberikan kuasa kepada Direksi Perseroan untuk melaksanakan
                                                                    segala sesuatunya sehubungan dengan pembagian dividen tersebut di
                                                                    atas sesuai dengan peraturan perundang-undangan yang berlaku.
                                                                    Granted authority to the Board of Directors to take all necessary actions
                                                                    in relation to the above dividend distribution in accordance with prevailing
                                                                    laws and regulations.

 3   Penetapan gaji dan tunjangan bagi Direksi, dan           1.    Menyetujui pelimpahan wewenang kepada Dewan Komisaris Perseroan                  Telah ditindaklanjuti
     honorarium serta tunjangan bagi Dewan Komisaris                dalam menentukan gaji dan tunjangan lainnya serta tantiem untuk                   Duly Followed-Up
     Perseroan untuk tahun buku 2024                                anggota Direksi Perseroan.
     Determination of salary and allowances for the Board of        Approved the delegation of authority to the Board of Commissioners of
     Directors, and honorarium and allowances for the Board         the Company to determine the salaries, other allowances, and tantiem
     of Commissioners of the Company for the fiscal year 2024       (performance bonuses) for the members of the Board of Directors of
                                                                    the Company.
                                                                 2. Menyetujui penetapan gaji atau honorarium dan tunjangan untuk tahun
                                                                    2024 dengan jumlah sebesar Rp7.848.271.848 (tujuh miliar delapan
                                                                    ratus empat puluh delapan juta dua ratus tujuh puluh satu ribu delapan
                                                                    ratus empat puluh delapan Rupiah) dengan rekomendasi dari Komite
                                                                    Remunerasi untuk selanjutnya ditetapkan oleh Dewan Komisaris,
                                                                    dengan tetap mempertimbangkan benchmark industri dan kemampuan
                                                                    Perseroan.
                                                                    Approved the determination of salaries or honorarium and allowances for
                                                                    the fiscal year 2024 in the total amount of Rp7,848,271,848 (seven billion
                                                                    eight hundred forty-eight million two hundred seventy-one thousand
                                                                    eight hundred forty-eight Rupiah), based on the recommendation of
                                                                    the Remuneration Committee, to be further stipulated by the Board
                                                                    of Commissioners, considering account industry benchmarks and the
                                                                    financial capability of the Company.

 4   Penunjukan Kantor Akuntan Publik untuk melakukan             Memberikan kuasa dan wewenang kepada Dewan Komisaris Perseroan                     Telah ditindaklanjuti
     audit Laporan Keuangan Konsolidasian Perseroan tahun         untuk menunjuk Kantor Akuntan Publik yang memiliki pengalaman,                      Duly Followed-Up
     buku 2024                                                    kredibilitas yang baik, dan terdaftar di Otoritas Jasa Keuangan (OJK)
     Appointment of Public Accounting Firm to audit the           untuk melakukan audit atas Laporan Keuangan Perseroan untuk
     Consolidated Financial Statements of the Company for         Tahun Buku yang akan berakhir tanggal 31 Desember 2024 serta untuk
     Fiscal Year 2024                                             menetapkan jumlah honorarium dan persyaratan lain sehubungan
                                                                  penunjukan Kantor Akuntan Publik tersebut, dengan memperhatikan
                                                                  rekomendasi dan usulan dari Direksi dan Komite Audit.
                                                                  Granted authority and power to the Board of Commissioners of the
                                                                  Company to appoint a Public Accounting Firm with adequate experience,
                                                                  good credibility, and registered with the Financial Services Authority (OJK)
                                                                  to audit the Company’s Financial Statements for the fiscal year ending
                                                                  on December 31, 2024, and to determine the amount of honorarium
                                                                  and other terms and conditions related to such appointment, with due
                                                                  consideration of the recommendations and proposals from the Board of
                                                                  Directors and the Audit Committee.




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                              Agenda                                                         Keputusan                                            Tindak Lanjut
 No
                              Agenda                                                        Resolution(s)                                           Follow Up


  5    Perubahan susunan Dewan Komisaris dan/atau Direksi   1. Menyetujui dan menerima pengunduran diri Tuan M. Oka Lesmana                   Telah ditindaklanjuti
       Perseroan                                               Firdauzi dari jabatannya selaku Direktur Perseroan terhitung sejak tanggal      Duly Followed-Up
       Changes in the composition of the Board of              diterimanya surat pengunduran diri resmi oleh Perseroan tertanggal 28
       Commissioners and/or the Board of Directors of the      Mei 2024. Perseroan menyampaikan ucapan terima kasih atas kontribusi
       Company                                                 dan pemikirannya selama masa jabatannya sebagai anggota Direksi
                                                               Perseroan dan memberikan pembebasan dan pelunasan tanggung jawab
                                                               sepenuhnya (acquit et de charge) atas tindakan pengurusan yang telah
                                                               dijalankan sampai dengan ditutupnya Rapat ini, sepanjang tercermin
                                                               dalam laporan keuangan Perseroan.
                                                               Approved and accepted the resignation of Mr. M. Oka Lesmana Firdauzi
                                                               from his position as Director of the Company, effective as of the date
                                                               the Company received his official resignation letter dated May 28, 2024.
                                                               The Company hereby expressed its gratitude for his contributions and
                                                               insights during his term of office as a member of the Board of Directors,
                                                               and granted full release and discharge (acquit et de charge) for the
                                                               management actions carried out until the closing of this Meeting, insofar
                                                               as such actions are reflected in the Company’s financial statements.
                                                            2. Susunan Direksi dan Dewan Komisaris Perseroan yang baru terhitung
                                                               sejak tanggal Rapat ini sampai dengan penutupan Rapat Umum Pemegang
                                                               Saham Tahunan Perseroan pada tahun 2026 menjadi sebagai berikut:
                                                               Approved the new composition of the Board of Directors and the Board
                                                               of Commissioners of the Company, effective as of the closing of this
                                                               Meeting until the closing of the Annual General Meeting of Shareholders
                                                               of the Company in 2026, as follows:

                                                               Direksi
                                                               Board of Directors
                                                               Direktur Utama | President Director : Djauhar Maulidi
                                                               Direktur | Director : Sumantri
                                                               Direktur | Director : Ogi Rulino

                                                               Dewan Komisaris
                                                               Board of Commissioners
                                                               Komisaris Utama | President Commissioner: Rudiantara
                                                               Komisaris | Commissioner : M. Arsjad Rasjid PM
                                                               Komisaris Independen | Independent Commissioner : Rachmat Gobel
                                                               Komisaris Independen | Independent Commissioner : Orias Petrus Moedak
                                                               Komisaris Independen | Independent Commissioner : D. Andhi Nirwanto

                                                            3. Memberi kuasa dan wewenang dengan hak substitusi kepada Direksi
                                                               Perseroan untuk melakukan segala tindakan yang diperlukan sehubungan
                                                               dengan perubahan anggota Direksi dan Dewan Komisaris Perseroan
                                                               tersebut, tanpa ada yang dikecualikan sesuai dengan peraturan dan
                                                               perundang-undangan yang berlaku.
                                                               Granted authority and power, with the right of substitution, to the
                                                               Company’s Board of Directors to undertake all necessary actions in
                                                               connection with the changes in the composition of the Board of Directors
                                                               and the Board of Commissioners, without exception, in accordance with
                                                               prevailing laws and regulations.




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Dewan Komisaris
Board of Commissioners
Dewan Komisaris adalah Organ Perseroan yang memiliki            The Board of Commissioners is a Company’s organ responsible
tugas mengawasi dan memberikan nasihat terhadap jalannya        for supervising and providing advice on the management of
Perseroan yang dilakukan oleh Direksi. Dewan Komisaris juga     the Company carried out by the Board of Directors. The Board
memiliki tugas untuk memastikan pelaksanaan tata Kelola         of Commissioners is also tasked with ensuring the effective
perusahaan yang baik di Perseroan dapat berjalan dengan baik    implementation of good corporate governance throughout all
di seluruh tingkatan atau jenjang organisasi.                   levels of the organization within the Company.

Komposisi dan Masa Jabatan                                      Composition and Term of Office
Pada tahun 2025, terdapat perubahan komposisi Dewan             In 2025, there was a change in the composition of the Company’s
Komisaris Perseroan, sesuai dengan Akta RUPS No. 33 tanggal     Board of Commissioners pursuant to the Deed of the General
30 April 2025. Susunan Dewan Komisaris PT Rukun Raharja         Meeting of Shareholders (GMS) Number 33 dated April 30, 2025.
Tbk sepanjang tahun 2025 adalah sebagai berikut:                The composition of the Commissioners of PT Rukun Raharja
                                                                Tbk during 2025 was as follows:


1 Januari 2025-30 April 2025                                    January 1, 2025–April 30, 2025


 Nama                                                                    Jabatan
 Name                                                                    Position



                                                                    Komisaris Utama
 Rudiantara
                                                                 President Commissioner

                                                                       Komisaris
 M. Arsjad Rasjid PM
                                                                     Commissioner

                                                                   Komisaris Independen
 Rachmat Gobel
                                                                Independent Commissioner

                                                                   Komisaris Independen
 Orias Petrus Moedak
                                                                Independent Commissioner

                                                                   Komisaris Independen
 D. Andhi Nirwanto
                                                                Independent Commissioner



30 April 2025-31 Desember 2025                                  April 30, 2025–December 31, 2025



 Nama                                                                  Jabatan
 Name                                                                  Position



                                                                   Komisaris Utama
 Rudiantara
                                                                President Commissioner

                                                                      Komisaris
 M. Arsjad Rasjid PM
                                                                    Commissioner

                                                                  Komisaris Independen
 Rachmat Gobel
                                                               Independent Commissioner

                                                                  Komisaris Independen
 D. Andhi Nirwanto
                                                               Independent Commissioner




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Susunan Direksi per 31 Desember 2025                                            Composition of the Board of Directors as December 31, 2025



 Jabatan                                  Nama                       Dasar Pengangkatan                         Masa Jabatan                      Periode
 Position                                 Name                       Basis of Appointment                       Term of Office                    Period


                                                          Akta Berita Acara RUPSLB No 70 tanggal 29 29 Mei 2023 s.d. RUPS yang akan
 Komisaris Utama                                                           Mei 2023                    diselenggarakan pada 2026                   Ke-3
                                       Rudiantara
 President Commissioner                                   Deed of Minutes of EGMS No. 70 dated May May 29, 2023 until the GMS to be held            3rd
                                                                            29, 2023                             in 2026

                                                          Akta Berita Acara RUPSLB No 70 tanggal 29 29 Mei 2023 s.d. RUPS yang akan
 Komisaris                                                                 Mei 2023                    diselenggarakan pada 2026                   Ke-3
                                   M. Arsjad Rasjid PM
 Commissioner                                             Deed of Minutes of EGMS No. 70 dated May May 29, 2023 until the GMS to be held            3rd
                                                                            29, 2023                             in 2026

                                                          Akta Berita Acara RUPSLB No 70 tanggal 29 29 Mei 2023 s.d. RUPS yang akan
 Komisaris Independen                                                      Mei 2023                    diselenggarakan pada 2026                   Ke-3
                                     Rachmat Gobel
 Independent Commissioner                                 Deed of Minutes of EGMS No. 70 dated May May 29, 2023 until the GMS to be held            3rd
                                                                            29, 2023                             in 2026

                                                          Akta Berita Acara RUPSLB No 70 tanggal 29 29 Mei 2023 s.d. RUPS yang akan
 Komisaris Independen                                                      Mei 2023                    diselenggarakan pada 2026                   Ke-1
                                    D. Andhi Nirwanto
 Independent Commissioner                                 Deed of Minutes of EGMS No. 70 dated May May 29, 2023 until the GMS to be held            1st
                                                                            29, 2023                             in 2026


Profil singkat masing-masing anggota Dewan Komisaris dapat                      A brief profile of each member of the Board of Commissioners
dilihat pada bagian Profil Dewan Komisaris dalam bab Profil                     can be found in the Board of Commissioners’ Profile section in
Perusahaan.                                                                     the Company Profile chapter.

Tugas dan Tanggung Jawab Dewan Komisaris                                        Duties and Responsibilities of the Board of Commissioners
Dewan Komisaris mempunyai tugas, tanggung jawab, dan                            The Board of Commissioners has the following duties,
wewenang sebagai berikut:                                                       responsibilities and authorities:
1. Memantau kinerja dan memberi nasihat kepada Direksi                          1. Monitoring performance and advising the Board of Directors
    terkait pengelolaan Perseroan.                                                  on the management of the Company.
2. Meninjau Laporan Keuangan, Rencana Tahunan, dan                              2. Reviewing the Company’s Financial Statements, Annual
    Anggaran Perseroan.                                                             Plan and Budget.
3. Menentukan remunerasi Direksi.                                               3. Determining the remuneration of the Board of Directors
4. Mempersiapkan Laporan Pengawasan Perseroan dan                               4. Preparing the Company’s Supervisory Report and reporting
    melaporkannya pada RUPS Tahunan.                                                it to the Annual GMS.
5. Melaksanakan keputusan RUPS Tahunan dan melaporkannya.                       5. Implementing the resolutions of the Annual GMS and
                                                                                    report them

Wewenang dan Hak Dewan Komisaris                                                Authority and Rights of the Board of Commissioners
Wewenang dan hak Dewan Komisaris diatur dalam Anggaran                          The authority and rights of the Board of Commissioners are
Dasar perusahaan dan dapat disesuaikan dengan ketentuan                         regulated in the Company’s Articles of Association and may be
hukum dan peraturan yang berlaku. Wewenang dewan komisaris                      adjusted to the provisions of applicable laws and regulations.
meliputi fungsi pengawasan Perseroan, penunjukan Direksi,                       The authority of the Board of Commissioners includes the
penetapan kebijakan strategis Perseroan, pengawasan dan                         Company’s supervisory function, appointment of the Board of
evaluasi laporan keuangan, serta berhak untuk mendapatkan                       Directors, determination of the Company’s strategic policies,
melakukan fungsi pengawasan tadi secara independen dan                          supervision and evaluation of financial statements, and the right
optimal.                                                                        to obtain the supervisory function independently and optimally.

Pedoman dan Tata Tertib                                                         Guidelines and Code of Conduct
Dewan Komisaris memiliki pedoman dan tata tertib kerja                          The Board of Commissioners operates under guidelines and code
yang tercantum dalam Anggaran Dasar Perseroan. Pedoman                          of conduct stipulated in the Company’s Articles of Association.
tersebut disusun berdasarkan Undang-Undang Perseroan                            These guidelines are prepared in accordance with Law Number
No. 40 Tahun 2007 tentang Perseroan Terbatas serta telah                        40 of 2007 on Limited Liability Companies and harmonized
diselaraskan dengan Peraturan Otoritas Jasa Keuangan 33/                        with Financial Services Authority Regulation Number: 33/
POJK.04/2014 tentang Direksi dan Dewan Komisaris Emiten                         POJK.04/2014 concerning the Board of Directors and the Board
atau Perusahaan Publik.                                                         of Commissioners of Issuers or Public Companies.

Independensi                                                                    Independence
Perseroan memberikan jaminan bagi anggota Dewan Komisaris                       The Company guarantees that members of the Board of
agar mampu bertindak independen serta tidak terlibat dalam                      Commissioners may act independently and are free from
konflik kepentingan yang dapat mengganggu pelaksanaan                           conflicts of interest that could compromise the execution of
tugas dan tanggung jawabnya. Dewan Komisaris selalu bekerja                     their duties and responsibilities. The Board of Commissioners




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dengan profesionalisme, penuh komitmen, dan memprioritaskan                              consistently performs its role with professionalism, strong
kepentingan Perseroan serta para pemangku kepentingan.                                   commitment, and by prioritizing the interests of the Company
                                                                                         and its stakeholders.

Komisaris Independen                                                                     Independent Commissioners
Mengacu ketentuan pada Peraturan Otoritas Jasa Keuangan                                  Pursuant to Financial Services Authority Regulation Number:
No. 33/POJK.04/2014, setiap perusahaan terbuka diwajibkan                                33/POJK.04/2014, every public company is required to have
untuk memiliki Komisaris Independen paling sedikit 30% dari                              Independent Commissioners representing at least 30% of
seluruh anggota Dewan Komisaris. Saat ini, Perseroan memiliki                            the total members of the Board of Commissioners. Currently,
2 dari 4 anggota Dewan Komisaris yang merupakan Komisaris                                the Company has 2 out of 4 members serving as Independent
Independen, sehingga persyaratan tersebut telah terpenuhi.                               Commissioners, thereby meeting the requirement. The appointed
Pihak yang ditunjuk sebagai Komisaris Independen telah                                   Independent Commissioners have fulfilled the criteria for
memenuhi kriteria pengangkatan sebagai berikut:                                          appointment as stipulated in the regulation.



 Kriteria Komisaris Independen
                                                                                                              Rachmat Gobel                 D. Andhi Nirwanto
 Criteria for Independent Commissioners


 Bukan merupakan orang yang bekerja atau mempunyai wewenang dan tanggung jawab untuk
 merencanakan, memimpin, mengendalikan, atau mengawasi kegiatan Perseroan dalam waktu 6 bulan
 terakhir, kecuali untuk pengangkatan kembali sebagai Komisaris Independen pada periode berikutnya.
 Not a person who works or has the authority and responsibility to plan, lead, control, or supervise the
 Company’s activities in the last 6 months, except for reappointment as an Independent Commissioner in
 the next period.


 Tidak mempunyai saham, baik langsung maupun tidak langsung pada Perseroan.
 Not having any shares, either directly or indirectly, in the Company


 Tidak mempunyai hubungan afiliasi dengan Perseroan, baik anggota Dewan Komisaris, anggota Direksi,
 Pemegang Saham Utama/Saham Mayoritas atau Pemegang Saham Pengendali Perseroan.
 Not having any affiliation relationship with the Company, either as a member of the Board of
 Commissioners, member of the Board of Directors, Main Shareholder/Majority Shareholder or Controlling
 Shareholder of the Company.

 Tidak mempunyai hubungan usaha, baik langsung maupun tidak langsung, yang berkaitan dengan
 kegiatan usaha Perseroan.
 Not having any business relationship, either directly or indirectly, related to the Company’s business
 activities.



Kebijakan Rapat Dewan Komisaris                                                          Board of Commissioners Meeting Policy
Kebijakan rapat Dewan Komisaris tercantum dalam Piagam                                   The policy on Board of Commissioners meetings is set forth in
Dewan Komisaris. Rapat internal Dewan Komisaris wajib                                    the Board of Commissioners Charter. Internal meetings of the
diselenggarakan sekurang-kurangnya 6 kali dalam setahun                                  Board of Commissioners must be convened at least six times
atau disesuaikan dengan kebutuhan Perseroan.                                             a year or as deemed necessary by the Company.

Pelaksanaan Rapat Dewan Komisaris                                                        Conduct of Board of Commissioners Meetings
Sepanjang tahun 2025, Dewan Komisaris telah melaksanakan                                 Throughout 2025, the Board of Commissioners held a total
rapat Dewan Komisaris sebanyak 8 kali serta rapat gabungan                               of 8 Board of Commissioners meetings and 6 joint meetings.
6 kali. Berikut adalah frekuensi dan kehadiran Rapat Dewan                               The frequency and attendance of the Board of Commissioners
Komisaris pada rapat Dewan Komisaris sepanjang 2025:                                     meetings during 2025 are presented as follows:




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Kehadiran pada Rapat Dewan Komisaris                                                  Attendance at Board of Commissioners Meetings


 Nama                                                       Jabatan                                  Jumlah Rapat        Kehadiran Rapat       % Kehadiran
 Name                                                       Position                               Number of Meetings   Meeting Attendance     % Attendance



                                                      Komisaris Utama
 Rudiantara                                                                                                8                    8                       100
                                                   President Commissioner


                                                          Komisaris
 M. Arsjad Rasjid PM                                                                                       8                    8                       100
                                                        Commissioner


                                                     Komisaris Independen
 Rachmat Gobel                                                                                             8                    8                       100
                                                  Independent Commissioner


                                                     Komisaris Independen
 Orias Petrus Moedak*)                                                                                     3                    3                       100
                                                  Independent Commissioner


                                                     Komisaris Independen
 D. Andhi Nirwanto                                                                                         8                    8                       100
                                                  Independent Commissioner


*) Berhenti menjabat sebagai Komisaris Independen pada tanggal 30 April 2025.
*) Resigned from the position of Independent Commissioner effective April 30, 2025.


Kehadiran pada Rapat Gabungan                                                         Attendance at Joint Meetings


 Nama                                                       Jabatan                                  Jumlah Rapat        Kehadiran Rapat       % Kehadiran
 Name                                                       Position                               Number of Meetings   Meeting Attendance     % Attendance



                                                      Komisaris Utama
 Rudiantara                                                                                                6                    6                       100
                                                   President Commissioner


                                                          Komisaris
 M. Arsjad Rasjid PM                                                                                       6                    6                       100
                                                        Commissioner


                                                     Komisaris Independen
 Rachmat Gobel                                                                                             6                    6                       100
                                                  Independent Commissioner


                                                     Komisaris Independen
 Orias Petrus Moedak*)                                                                                     2                    2                       100
                                                  Independent Commissioner


                                                     Komisaris Independen
 D. Andhi Nirwanto                                                                                         6                    6                       100
                                                  Independent Commissioner


*) Berhenti menjabat sebagai Komisaris Independen pada tanggal 30 April 2025.
*) Resigned from the position of Independent Commissioner effective April 30, 2025.



Selain kehadiran pada rapat Dewan Komisaris dan rapat gabungan                        In addition to attendance at Board of Commissioners meetings
bersama dengan Direksi, Dewan Komisaris juga menghadiri                               and joint meetings with the Board of Directors, the Board of
Rapat Umum Pemegang Saham. Informasi kehadiran Dewan                                  Commissioners also attended the General Meeting of Shareholders.
Komisaris pada RUPS Tahunan dapat dilihat pada bagian Rapat                           Information on the attendance of the Board of Commissioners
Umum Pemegang Saham.                                                                  at the General Meeting of Shareholders section.




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Pelatihan dan Pengembangan Kompetensi                          Training and Competency Development

Kebijakan Pelatihan                                            Training Policy
Kebijakan Pelatihan Dewan Komisaris tercantum dalam            The Training Policy of the Board of Commissioners is stipulated
Anggaran Dasar. Perseroan menyediakan fasilitas untuk          in the Articles of Association. The Company provides facilities for
pelaksanaan program pengembangan kompetensi bagi anggota       competency development programs for members of the Board of
Dewan Komisaris, seperti pelatihan, seminar, konferensi,       Commissioners, including training, seminars, conferences, and
dan workshop, yang bertujuan untuk memperluas wawasan          workshops, aimed at broadening their knowledge of business
mengenai perkembangan dunia usaha dan fenomena bisnis          developments and current industry trends. The conduct of these
terkini. Pelaksanaan program tersebut mengacu pada rencana     programs refers to the competency enhancement plan set forth
peningkatan kompetensi yang termuat dalam Rencana Kerja        in the Work Plan and Budget of the Board of Commissioners.
dan Anggaran Dewan Komisaris.

Pelatihan dan Pengembangan Kompetensi Dewan Komisaris          Training and Competency Development of the Board of
                                                               Commissioners
Perseroan menyediakan fasilitas untuk pelaksanaan program      The Company provides facilities for competency development
pengembangan kompetensi bagi anggota Dewan Komisaris,          programs for members of the Board of Commissioners, such
seperti pelatihan, seminar, konferensi, dan workshop, yang     as training, seminars, conferences, and workshops, designed to
bertujuan untuk memperluas wawasan mengenai perkembangan       expand their insights into business developments and emerging
dunia usaha dan fenomena bisnis terkini. Pelaksanaan program   industry phenomena. The implementation of these programs
tersebut mengacu pada rencana peningkatan kompetensi yang      is based on the competency enhancement plan contained in
termuat dalam Rencana Kerja dan Anggaran Dewan Komisaris.      the Work Plan and Budget of the Board of Commissioners.

Pada tahun 2025, pengembangan kompetensi Dewan Komisaris       In 2025, the competency development of the Company’s Board
Perseroan dilaksanakan secara mandiri melalui media buku       of Commissioners were carried out independently through
dan informasi digital.                                         books and digital information media.

Program Pengenalan Perusahaan (Orientasi) Kepada Dewan         Company Orientation Program for New Members of the Board
Komisaris Baru                                                 of Commissioners
Perseroan menyelenggarakan program orientasi melalui           The Company organizes an orientation program through the
Sekretaris Perusahaan bagi anggota Dewan Komisaris yang        Corporate Secretary for members of the Board of Commissioners
baru pertama kali menjabat. Program tersebut diselenggarakan   who are serving for the first time. The program is conducted in
bersamaan dengan pelaksanaan rapat Dewan Komisaris, Direksi,   conjunction with meetings of the Board of Commissioners, the
dan jajaran Manajemen. Program orientasi memiliki tujuan       Board of Directors, and Management. The orientation program
untuk memberikan pemahaman umum mengenai Perseroan             aims to provide a general understanding of the Company so
agar anggota Dewan Komisaris yang baru dapat melaksanakan      that new members of the Board of Commissioners are better
tugasnya dengan lebih baik. Pada tahun 2025, tidak terdapat    equipped to carry out their duties. In 2025, there were no
anggota Dewan Komisaris yang baru sehingga Perseroan tidak     new members of the Board of Commissioners; therefore, the
menyelenggarakan program pengenalan (orientasi).               Company did not conduct an orientation program.

Penilaian Kinerja Direksi dan Dewan Komisaris Serta Masing-    Assessment of Board of Commissioners’ and Board of Directors’
masing Anggota Direksi dan Anggota Dewan Komisaris             Performance and Their Respective Members

Prosedur Pelaksanaan Penilaian Kinerja                         Procedures for Performance Assessment
Penilaian atas kriteria kinerja Dewan Komisaris dan Direksi    The performance assessment of the Board of Commissioners
dilakukan dengan menggunakan metode self-assessment. Hasil     and the Board of Directors is conducted using a self-assessment
evaluasi akan disampaikan kepada Pemegang Saham melalui        method. The evaluation results are presented to the Shareholders
Rapat Umum Pemegang Saham (RUPS) bersamaan dengan              at the General Meeting of Shareholders (GMS), together with the
Laporan Pengawasan Dewan Komisaris, Laporan Tahunan,           Supervisory Report of the Board of Commissioners, the Annual
dan Laporan Keuangan Perseroan.                                Report, and the Company’s Financial Statements.




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Kriteria                                                         Criteria
Adapun kriteria yang digunakan untuk menilai kinerja Organ       The criteria used to evaluate the performance of the Company’s
Perseroan, meliputi:                                             Organs include:
1. Tingkat kehadiran dalam rapat, baik internal maupun rapat     1. Attendance at meetings, both internal and joint meetings;
     gabungan;
2. Pencapaian realisasi program kerja;                           2.   Achievement of work program realization;
3. Ketaatan terhadap peraturan perundang-undangan yang           3.   Compliance with prevailing laws and regulations as well
     berlaku serta kebijakan Perseroan lainnya; dan                   as other Company policies; and
4. Komitmen penerapan GCG di Perseroan.                          4.   Commitment to the implementation of GCG within the
                                                                      Company.

Pihak yang Melakukan Penilaian                                   Assessing Parties
Penilaian kinerja Dewan Komisaris dan Direksi dilakukan          The performance assessment of the Board of Commissioners and
melalui metode self-assessment dengan dukungan dari Komite       the Board of Directors is carried out through self-assessment
Nominasi, Remunerasi, dan GCG. Dewan Komisaris wajib untuk       with the support of the Nomination, Remuneration, and GCG
menyerahkan Laporan Tugas Pengawasan, Laporan Tahunan,           Committee. The Board of Commissioners is required to submit
dan Laporan Keuangan Perseroan ke Pemegang Saham untuk           the Supervisory Report, the Annual Report, and the Company’s
diberikan penilaian.                                             Financial Statements to the Shareholders for evaluation.

Hasil Penilaian                                                  Assessment Results
Dewan Komisaris, Direksi, dan organ pendukung lainnya            The Board of Commissioners, the Board of Directors, and
telah melaksanakan tugas dan tanggung jawabnya dengan            other supporting organs have carried out their duties and
baik berdasarkan hasil penilaian kinerja. Hasil penilaian juga   responsibilities effectively. The results also indicate that the
menunjukkan bahwa target yang ditentukan oleh Perseroan telah    Company’s targets were successfully achieved throughout 2025.
mampu dicapai sepanjang tahun 2025. Indikator pencapaian         Indicators of achievement are reflected in the improved quality
tersebut terlihat dari peningkatan kualitas kerja dari setiap    of work across all business functions.
bidang perusahaan.

Penilaian Dewan Komisaris terhadap Kinerja Komite yang           Performance Assessment of Committees Supporting the Board
Mendukung Pelaksanaan Tugas Dewan Komisaris                      of Commissioners
Penilaian atas kriteria Komite Audit, Komite Nominasi,           The performance assessment of the Audit Committee, the
Remunerasi, dan GCG dilakukan dengan menggunakan metode          Nomination, Remuneration, and GCG Committee is conducted
self-assessment.                                                 using a self-assessment method.

Prosedur Penilaian Kinerja                                       Performance Assessment Procedures
Prosedur penilaian kinerja Komite di bawah Dewan Komisaris       The performance assessment procedures for Committees
dilakukan dengan mengevaluasi rencana program kerja tahunan      under the Board of Commissioners are carried out by evaluating
serta KPI masing-masing Komite yang telah disepakati bersama     the annual work program plan and the Key Performance
dengan Dewan Komisaris beserta realisasinya.                     Indicators (KPIs) of each Committee, as agreed with the Board
                                                                 of Commissioners, along with their realization.

Kriteria Penilaian Kinerja Komite di Bawah Dewan Komisaris       Committee Performance Assessment Criteria.
Adapun kriteria yang digunakan untuk menilai kinerja Komite,     The criteria used to evaluate the performance of Committees
meliputi:                                                        under the Board of Commissioners include:
1. Tingkat kehadiran dalam rapat, baik internal maupun rapat     1. Attendance at meetings, both internal and joint meetings;
     gabungan;
2. Pencapaian realisasi program kerja;                           2.   Achievement of work program realization;
3. Ketaatan terhadap peraturan perundang-undangan yang           3.   Compliance with prevailing laws and regulations as well
     berlaku serta kebijakan Perseroan lainnya; dan                   as other Company policies; and
4. Komitmen penerapan GCG di Perseroan.                          4.   Commitment to the implementation of GCG within the Company.

Hasil Penilaian Kinerja Komite                                   Results of Committee Performance Assessment
Dewan Komisaris dalam menjalankan tugasnya dibantu Komite         In carrying out its duties, the Board of Commissioners is assisted
Audit dan Komite Nominasi, Remunerasi, dan GCG. Dewan            by the Audit Committee and the Nomination, Remuneration, and
Komisaris menilai bahwa selama tahun 2025 Komite di bawah        GCG Committee. The Board of Commissioners assessed that
Dewan Komisaris telah melaksanakan tugas dan tanggung            during 2025, the Committees under its supervision effectively
jawabnya dengan efektif serta memberikan apresiasi atas          performed their duties and responsibilities and expressed
pencapaian program maupun rencana kerja. Dewan Komisaris         appreciation for the achievement of their programs and work
berharap kinerja Komite dapat lebih ditingkatkan lagi sehingga   plans. The Board of Commissioners expects that the Committees
mampu memberikan kontribusi yang lebih dalam membantu            will continue to enhance their performance to provide greater
Dewan Komisaris melaksanakan tugas dan tanggung jawabnya.        contributions in supporting the Board of Commissioners in
                                                                 fulfilling its duties and responsibilities.




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Laporan Pelaksanaan Tugas dan Tanggung Jawab Dewan                                Report on the Performance of Duties and Responsibilities of
Komisaris Tahun 2025                                                              the Board of Commissioners in 2025
Dewan Komisaris telah melaksanakan pengawasan serta                               The Board of Commissioners has carried out its supervisory
memberikan nasihat untuk melakukan langkah-langkah                                function and provided advice in relation to the implementation
strategis sebagai berikut:                                                        of the Company’s strategic measures, as follows:


 Tugas dan Tanggung Jawab                                                                             Realisasi Program Kerja 2025
 Duties and Responsibilities                                                                          Realization of 2025 Work Program


                                                                                                      Memantau kinerja dan memberi nasihat kepada Direksi terkait
 Memantau kinerja dan memberi nasihat kepada Direksi terkait pengelolaan Perseroan.
                                                                                                      pengelolaan Perseroan.
 Monitor the performance of and provide advice to the Board of Directors regarding the management
                                                                                                      Monitored the performance of and provide advice to the Board of
 of the Company
                                                                                                      Directors regarding the management of the Company.

                                                                                                      Meninjau Laporan Keuangan, Rencana Tahunan, dan Anggaran
 Meninjau Laporan Keuangan, Rencana Tahunan, dan Anggaran Perseroan.                                  Perseroan.
 Reviewed the Company’s Financial Statements, Annual Plan, and Budget.                                Reviewed the Company’s Financial Statements, Annual Plan,
                                                                                                      and Budget


 Menentukan remunerasi Direksi.                                                                       Menentukan remunerasi Direksi.
 Determined the remuneration of the Board of Directors.                                               Determined the remuneration of the Board of Directors


                                                                                                      Mempersiapkan Laporan Pengawasan Perseroan dan
 Mempersiapkan Laporan Pengawasan Perseroan dan melaporkannya pada RUPS Tahunan.
                                                                                                      melaporkannya pada RUPS Tahunan.
 Prepared the Supervisory Report of the Company and presented it at the Annual General Meeting of
                                                                                                      Prepared the Supervisory Report of the Company and presented
 Shareholders (AGMS).
                                                                                                      it at the Annual General Meeting of Shareholders (AGMS).

                                                                                                      Melaksanakan keputusan RUPS Tahunan pada tanggal 30 April
 Melaksanakan keputusan RUPS                                                                          2025.
 Implementing the resolutions of GMS.                                                                 Implemented the resolutions of the Annual GMS on April 30,
                                                                                                      2025




Direksi
Board of Director


Direksi mempunyai tanggung jawab atas pengelolaan Perseroan                       The Board of Directors is responsible for managing the Company
dalam mencapai tujuan Perseroan. Tugas dan tanggung jawab                         to achieve its objectives. The duties and responsibilities of each
dari masing-masing anggota Direksi dibagi sesuai keahlian                         member of the Board of Directors are allocated based on their
dan perencanaan tugas yang telah ditetapkan.                                      expertise and the task planning established by the Company.

Komposisi dan Masa Jabatan                                                        Composition and Term of Office
Pada tahun 2025 terdapat perubahan komposisi Direksi                              In 2025, there was a change in the composition of the Company’s
Perseroan, sesuai dengan Akta RUPS No. 33 tanggal 30 April                        Board of Directors pursuant to the Deed of the General Meeting
2025. Susunan Direksi PT Rukun Raharja Tbk sepanjang tahun                        of Shareholders No.33 dated April 30, 2025. The composition
2025 adalah sebagai berikut:                                                      of the Board of Directors of PT Rukun Raharja Tbk during 2025
                                                                                  was as follows:
1 Januari 2025-30 April 2025                                                      January 1, 2025-April 30, 2025


 Nama                                                                                  Jabatan
 Name                                                                                  Position



                                                                                  Direktur Utama
 Djauhar Maulidi
                                                                                 President Director

                                                                                      Direktur
 Sumantri
                                                                                      Director

                                                                                      Direktur
 Ogi Rulino
                                                                                      Director




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30 April 2025-31 Desember 2025                                                           April 30, 2025-December 31, 2025


 Nama                                                                                         Jabatan
 Name                                                                                         Position



                                                                                         Direktur Utama
 Djauhar Maulidi
                                                                                        President Director

                                                                            Direktur Investasi dan Manajemen Risiko
 Ogi Rulino
                                                                           Investment and Risk Management Director

Susunan Direksi per 31 Desember 2025                                                     Composition of the Board of Directors as of December 31, 2025


 Jabatan                              Nama                          Dasar Pengangkatan                               Masa Jabatan                            Periode
 Position                             Name                          Basis of Appointment                             Term of Office                          Period


                                                         Akta Berita Acara RUPSLB No 70 tanggal             29 Mei 2023 s.d. RUPS yang akan
 Direktur Utama                                                        29 Mei 2023.                            diselenggarakan pada 2026                     Ke-3
                                Djauhar Maulidi
 President Director                                      Deed of Minues of EGMS No 70 dated May              May 29, 2023 until the GMS to be                 3rd
                                                                         29, 2023.                                     held in 2026

 Direktur Investasi dan                                  Akta Berita Acara RUPSLB No 70 tanggal             29 Mei 2023 s.d. RUPS yang akan
 Manajemen Risiko                                                      29 Mei 2023.                            diselenggarakan pada 2026                     Ke-1
                                   Ogi Rulino
 Investment and Risk                                     Deed of Minues of EGMS No 70 dated May              May 29, 2023 until the GMS to be                 1st
 Management Director                                                     29, 2023 .                                    held in 2026




Profil singkat masing-masing anggota Direksi dapat dilihat pada                          A brief profile of each member of the BOC can be found in the
bagian Profil Direksi dalam bab Profil Perusahaan.                                       Board of Directors’ Profile section in the Company Profile chapter.

Tugas dan Tanggung Jawab Direksi serta Realisasi di Tahun 2025                           Duties and Responsibilities of the Board of Directors and
                                                                                         Realization in 2025
Direksi bertanggung jawab untuk memimpin dan mengelola                                   The Board of Directors is responsible for leading and managing
perusahaan sesuai dengan visi, misi, dan tujuan perusahaan. Tugas                        the Company in line with its vision, mission, and objectives.
Direksi meliputi pengambilan keputusan strategis, mengawasi                              The duties of the Board of Directors include making strategic
operasional sehari-hari, memastikan kepatuhan terhadap                                   decisions, overseeing daily operations, ensuring compliance with
peraturan perundang-undangan yang berlaku, serta mengelola                               applicable laws and regulations, and managing risks effectively.
risiko secara efektif. Selain itu, Direksi juga bertanggung jawab                        In addition, the Board of Directors is responsible for maintaining
atas kesehatan keuangan perusahaan, mendorong pertumbuhan                                the Company’s financial health, driving sustainable growth, and
yang berkelanjutan, dan mewakili perusahaan dalam hubungan                               representing the Company in its relations with stakeholders,
dengan para pemangku kepentingan, termasuk pemegang                                      including shareholders, employees, customers, and regulators.
saham, karyawan, pelanggan, dan regulator.

Berikut disampaikan tabel tugas dan tanggung jawab Direksi                               The following table presents the duties and responsibilities of
serta realisasinya di tahun 2025                                                         the Board of Directors and their realization in 2025




 Nama                                             Tugas dan Tanggung Jawab                                                   Realisasi Program Kerja 2025
 Name                                             Duties and Responsibilities                                             Realization of Work Program in 2025


                          Mewakili Perseroan dalam memimpin, mengawasi, dan menjamin                    •    Menjamin tercapainya target RKAP 2024 melalui pengawasan
                          penyelenggaraan usaha untuk kepentingan Perseroan sesuai tujuan                    ketat terhadap seluruh lini bisnis.
                          yang telah ditetapkan, serta bertanggung jawab atas bidang hukum,             •    Memperkuat tata kelola perusahaan (GCG) dengan pembaruan
                          dan kepatuhan, pengendalian internal, serta Sekretaris Perusahaan.                 sistem pengendalian internal dan audit kepatuhan.
                          Represent the Company in leading, overseeing, and ensuring the                •    Memastikan efektivitas komunikasi korporat dan hubungan
                          conduct of business activities in the interests of the Company in line             investor melalui fungsi Sekretaris Perusahaan.
 Djauhar Maulidi
                          with its established objectives, while being responsible for legal affairs,
 Direktur Utama
                          compliance, internal control, and the Corporate Secretary.                    •    Ensuring the achievement of the 2024 Corporate Work Plan and
 President Director
                                                                                                             Budget (RKAP) targets through strict supervision of all business
                                                                                                             lines.
                                                                                                        •    Strengthening corporate governance (GCG) by updating internal
                                                                                                             control systems and compliance audits.
                                                                                                        •    Ensuring the effectiveness of corporate communication and
                                                                                                             investor relations through the Corporate Secretary function.




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 Nama                                            Tugas dan Tanggung Jawab                                               Realisasi Program Kerja 2025
 Name                                            Duties and Responsibilities                                         Realization of Work Program in 2025


                       Bertanggung jawab atas pengembangan bisnis perusahaan, termasuk •                Melaksanakan ekspansi pasar ke wilayah strategis baru dan
                       strategi ekspansi, inovasi produk dan layanan, pengelolaan portofolio            diversifikasi layanan jasa.
                       investasi strategis, serta kemitraan bisnis guna meningkatkan nilai •            Menjalin kemitraan strategis dengan pihak ketiga untuk
                       perusahaan.                                                                      peningkatan utilisasi aset.
 Sumantri                                                                                    •          Melakukan evaluasi berkala terhadap portofolio bisnis untuk
 Direktur Pengembangan Be responsible for the Company’s business development, including                 memastikan pertumbuhan nilai jangka panjang.
 Usaha                 expansion strategies, product and service innovation, management of
 Business Development  strategic investment portfolios, and business partnerships to enhance •          Carrying out market expansion into new strategic areas and
 Director              corporate value.                                                                 diversifying service offerings.
                                                                                             •          Establishing strategic partnerships with third parties to enhance
                                                                                                        asset utilization.
                                                                                                   •    Conducting periodic evaluations of the business portfolio to ensure
                                                                                                        long‑term value growth.

                          •       Mengelola risiko: Mengidentifikasi, menilai, dan mengelola risiko •   Implementasi Enterprise Risk Management (ERM) yang lebih
                                  investasi untuk melindungi aset dan keuntungan perusahaan.            komprehensif di seluruh level organisasi.
                          •       Mengembangkan strategi investasi: Merumuskan dan •                    Melakukan due diligence yang mendalam terhadap setiap rencana
                                  melaksanakan strategi investasi yang optimal untuk mencapai           investasi baru guna meminimalkan eksposur risiko.
 Ogi Rulino                       tujuan keuangan perusahaan.                                       •   Optimalisasi alokasi modal perusahaan pada instrumen dan
 Direktur Investasi dan                                                                                 proyek dengan tingkat pengembalian (return) yang kompetisi
 Manajemen Risiko         •       Identify, assess, and manage investment risks to safeguard the
 Investment and Risk              Company’s assets and profitability.                            •      A more comprehensive implementation of Enterprise Risk
 Management Director      •       Formulate and implement optimal investment strategies to              Management (ERM) across all levels of the organization.
                                  achieve the Company’s financial objectives.                    •      Conducting in‑depth due diligence on every new investment plan
                                                                                                        to minimize risk exposure.
                                                                                                   •    Optimizing the Company’s capital allocation to instruments and
                                                                                                        projects with competitive rates of return.


Pedoman dan Tata Tertib                                                                Guidelines and Code of Conduct
Pedoman dan tata tertib kerja Direksi Perseroan tercantum                              The Company’s Board of Directors operates under guidelines
dalam Anggaran Dasar. Adapun pedoman dan tata tertib disusun                           and code of conduct stipulated in the Company’s Articles of
berdasarkan Undang-Undang No. 40 Tahun 2007 tentang                                    Association. These guidelines are prepared in accordance
Perseroan Terbatas. Pedoman juga disusun dengan mengikuti                              with Law No. 40 of 2007 on Limited Liability Companies and
Peraturan Otoritas Jasa Keuangan No. 33/POJK.04/2014 tentang                           harmonized with Financial Services Authority Regulation
Direksi dan Dewan Komisaris Emiten atau Perusahaan Publik.                             Number: 33/POJK.04/2014 concerning the Board of Directors
                                                                                       and the Board of Commissioners of Issuers or Public Companies.

Independensi                                                                           Independence
Direksi dalam menjalankan tugasnya bekerja secara profesional                          In carrying out their duties, the Board of Directors works
dan mengedepankan kepentingan Perseroan dan juga stakeholder.                          professionally and prioritizes the interests of the Company and
Dengan demikian Perseroan menjamin bahwa setiap anggota                                its stakeholders. The Company ensures that each member of
direksi bertindak independen dan profesional serta tidak terlibat                      the Board of Directors acts independently and professionally
Conflict of Interest yang nantinya dapat mengganggu dalam                              and is not involved in any conflict of interest that could interfere
menjalankan tugas serta pengambilan keputusan.                                         with the execution of duties or decision-making.

Kebijakan dan Pelaksanaan Rapat Direksi                                                Policy and Conduct of Board of Directors Meeting

Kebijakan Rapat Direksi                                                                Board of Directors Meeting Policy
Kebijakan rapat Direksi tercantum dalam Pedoman Direksi                                The policy on Board of Directors meetings is set forth in the
Perseroan. Sesuai dengan ketentuan yang berlaku, Direksi                               Company’s Board of Directors Charter. In accordance with
wajib mengadakan rapat Direksi secara berkala, minimal sekali                          prevailing regulations, the Board of Directors is required to
setiap bulan. Selain itu, rapat Direksi juga dapat diselenggarakan                     convene meetings on a regular basis, at least once a month. In
sewaktu-waktu apabila diperlukan, baik atas inisiatif Direksi                          addition, meetings may be held at any time if deemed necessary,
maupun atas permintaan Dewan Komisaris atau pemegang                                   either at the initiative of the Board of Directors or at the request
saham sesuai dengan ketentuan Anggaran Dasar Perseroan.                                of the Board of Commissioners or shareholders, in accordance
Setiap rapat Direksi harus memiliki agenda yang jelas dan                              with the provisions of the Company’s Articles of Association.
terdokumentasi, serta keputusan yang dihasilkan dicatat dalam                          Each meeting must have a clear and documented agenda, and
risalah rapat sebagai bentuk akuntabilitas dan transparansi                            all resolutions must be recorded in the minutes of meeting as
pengambilan keputusan.                                                                 a form of accountability and transparency in decision-making.

Pelaksanaan Rapat Direksi                                                              Conduct of Board of Directors Meetings
Direksi mengadakan rapat direksi secara rutin setiap minggu,                           The Board of Directors holds weekly meetings with agendas
dengan fokus agenda untuk membahas isu-isu terkini serta                               focused on current issues, formulation of corporate strategies,
merumuskan strategi-strategi perusahaan, pengawasan dan                                oversight and control, performance evaluation, resource allocation,
pengendalian, evaluasi kinerja, alokasi sumber daya, manajemen                         risk management, communication, and coordination. As part
risiko, komunikasi dan koordinasi dan lainnya selain itu sebagai                       of its oversight of business units, the Company also conducts
bentuk pengawasan terhadap unit usaha, Perseroan juga                                  monthly business reviews to evaluate the performance of its
melakukan business review setiap bulan terhadap kinerja unit                           business units.
usaha Perseroan.

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Setiap anggota Direksi diharapkan untuk hadir dalam                             Each member of the Board of Directors is expected to attend all
seluruh rapat Direksi, kecuali dalam keadaan tertentu yang                      meetings, except in certain justified circumstances that must
dapat dibenarkan dan wajib dikomunikasikan sebelumnya.                          be communicated in advance. Attendance is recorded in the
Kehadiran Direksi dalam rapat dicatat dalam risalah rapat,                      minutes of meeting, and members who are unable to attend
dan bagi anggota Direksi yang tidak dapat hadir, mereka dapat                   may provide their opinions or decisions through established
memberikan pendapat atau keputusan melalui mekanisme                            mechanisms, such as written proxies or online participation,
yang telah ditetapkan, seperti kuasa tertulis atau partisipasi                  in accordance with Company policy.
secara daring sesuai dengan kebijakan perusahaan.

Di samping rapat internal, Dewan Komisaris dan Direksi                          In addition to internal meetings, the Board of Commissioners
juga mengadakan rapat gabungan. Penyelenggaraan rapat                           and the Board of Directors also hold joint meetings. These
ini disesuaikan dengan kebutuhan dalam rangka koordinasi                        meetings are organized as needed to coordinate discussions
untuk membahas laporan kinerja Perusahaan, hal penting dan                      on Company performance reports, strategic matters, and
strategis, serta masalah-masalah yang dihadapi Perusahaan.                      challenges faced by the Company. Joint meetings between the
Rapat gabungan Direksi dengan Dewan Komisaris dilaksanakan                      Board of Directors and the Board of Commissioners are held
setidaknya 3 kali dalam setahun guna membahas berbagai                          at least three times a year to deliberate on plans and decisions
rencana dan keputusan yang akan diambil terkait pengelolaan                     related to the Company’s operations.
operasional Perseroan.

Adapun tingkat kehadiran Direksi dalam rapat-rapat tersebut                     The attendance level of the Board of Directors at these meetings
dapat dilihat pada tabel di bawah ini                                           is presented in the table below.

Rapat Internal Direksi                                                          Board of Directors’ Internal Meetings


 Nama                            Jabatan                                                    Jumlah Rapat        Kehadiran Rapat          % Kehadiran
 Name                            Position                                                 Number of Meetings   Meeting Attendance        % Attendance



                                Direktur Utama
 Djauhar Maulidi                                                                                 42                   42                     100
                                President Director


                                Direktur
 Sumantri *)                                                                                     12                   12                     100
                                Director


                                Direktur
 Ogi Rulino                                                                                      42                   42                     100
                                Director



*) Berhenti menjabat sebagai Direktur Pengembangan Usaha pada tanggal 30 April 2025.
*) Resigned from the position of Business Development Director effective April 30, 2025


Rapat Gabungan                                                                  Joint Meetings


 Nama                            Jabatan                                                    Jumlah Rapat        Kehadiran Rapat          % Kehadiran
 Name                            Position                                                 Number of Meetings   Meeting Attendance        % Attendance



                                Direktur Utama
 Djauhar Maulidi                                                                                 6                    6                       100
                                President Director


                                Direktur
 Sumantri *)                                                                                     2                    2                       100
                                Director


                                Direktur
 Ogi Rulino                                                                                      6                    6                       100
                                Director



*) Berhenti menjabat sebagai Direktur Pengembangan Usaha pada tanggal 30 April 2025.
*) Resigned from the position of Business Development Director effective April 30, 2025




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Selain kehadiran pada rapat Direksi dan rapat gabungan                      In addition to attendance at Board of Directors meetings and
bersama dengan Dewan Komisaris, Direksi juga menghadiri                     joint meetings with the Board of Commissioners, the Board of
Rapat Umum Pemegang Saham. Informasi kehadiran Direksi                      Directors also attended the General Meeting of Shareholders.
pada RUPS Tahunan dapat dilihat pada bagian Rapat Umum                      Information on the attendance of the Board of Directors at the
Pemegang Saham.                                                             General Meeting of Shareholders section.

Pelatihan dan Pengembangan Kompetensi                                       Training and Competency Development

Kebijakan Pelatihan                                                         Training Policy
Kebijakan Pelatihan Direksi tercantum dalam dalam Anggaran                  The Training Policy of the Board of Directors is stipulated in
Dasar. Perseroan menyediakan fasilitas berupa program                       the Articles of Association. The Company provides facilities for
pengembangan kompetensi bagi anggota Direksi, baik berupa                   competency development programs for members of the Board of
pelatihan, seminar, konferensi, dan workshop, agar dapat                    Commissioners, including training, seminars, conferences, and
meningkatkan wawasan terkait dunia usaha dan fenomena                       workshops, aimed at broadening their knowledge of business
terkini. Program tersebut dilaksanakan sesuai dengan rencana                developments and current industry trends. The conduct of
pelaksanaan program peningkatan kompetensi yang dimuat                      these programs refers to the competency enhancement plan
pada Rencana Kerja dan Anggaran Direksi.                                    set forth in the Work Plan and Budget of the Board of Directors.

Pelatihan dan Pengembangan Kompetensi Direksi                               Training and Competency Development of the Board of Directors
Perseroan memberikan fasilitas berupa program pengembangan                  The Company provides facilities in the form of competency
kompetensi bagi anggota Direksi, baik berupa pelatihan,                     development programs for members of the Board of Directors,
seminar, konferensi, dan workshop, agar dapat meningkatkan                  including training, seminars, conferences, and workshops,
wawasan terkait dunia usaha dan fenomena terkini. Program                   aimed at enhancing their insights into the business world and
tersebut dilaksanakan sesuai dengan rencana pelaksanaan                     current phenomena. These programs are implemented in
program peningkatan kompetensi yang dimuat pada Rencana                     accordance with the competency development plan set out in
Kerja dan Anggaran Direksi.                                                 the Work Plan and Budget of the Board of Directors.



 Nama                        Nama Pelatihan             Tanggal Pelatihan                Lokasi                          Penyelenggara
 Name                        Name of Training            Date of Training               Location                           Organizer


                             Gas, LNG & The Future of    10-11 Juni 2025
 Djauhar Maulidi                                                                   City of London, UK                    Wood Mckenzie
                             Energy Conference          June 10-11, 2025


Program Pengenalan Perusahaan (Orientasi) Kepada Direksi                    Company Orientation Program for New Members of the Board
Baru                                                                        of Directors
Melalui Sekretaris Perusahaan, Perseroan menyelenggarakan                   The Company organizes an orientation program through the
program orientasi bagi anggota Direksi yang baru pertama                    Corporate Secretary for members of the Board of Directors
kali menjabat. Program tersebut diselenggarakan bersamaan                   who are serving for the first time. The program is conducted in
dengan pelaksanaan rapat Dewan Komisaris, Direksi, dan                      conjunction with meetings of the Board of Commissioners, the
jajaran Manajemen. Program orientasi memiliki tujuan untuk                  Board of Directors, and Management. The orientation program
memberikan pemahaman umum mengenai Perseroan agar                           aims to provide a general understanding of the Company so that
anggota Direksi yang baru dapat melaksanakan tugasnya                       new members of the Board of Directors are better equipped to
dengan lebih baik. Pada tahun 2025, tidak terdapat anggota                  carry out their duties. In 2025, there were no new members of
Direksi yang baru sehingga Perseroan tidak menyelenggarakan                 the Board of Directors; therefore, the Company did not conduct
program pengenalan (orientasi).                                             an orientation program.

Penilaian Direksi terhadap Kinerja Komite yang Mendukung                    Assessment of the Board of Directors on the Committees
Pelaksanaan Tugas Direksi                                                   Supporting the Board of Directors
Direksi tidak memiliki komite di bawah Direksi, sehingga                    The Board of Directors does not have any committees under
informasi tekait penilaian Direksi terhadap kinerja komite yang             its supervision; therefore, information regarding the Board
mendukung pelaksanaan tugas Direksi tidak dapat diungkapkan                 of Directors’ assessment of the performance of committees
dalam Laporan Tahunan ini.                                                  supporting its duties cannot be disclosed in this Annual Report.




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Nominasi dan Remunerasi Direksi
dan Dewan Komisaris
Nomination and Remuneration of The Board of Directors and The Board of Commissioners

Komite Nominasi, Remunerasi, dan GCG memiliki tanggung           The Nomination, Remuneration, and GCG Committee is
jawab dalam memberikan rekomendasi terkait penetapan             responsible for providing recommendations regarding the
anggota Dewan Komisaris dan Direksi. Dalam menjalankan           appointment of members of the Board of Commissioners and
tugasnya akan dibantu Departemen Human Resources &               the Board of Directors. In carrying out its duties, the Committee
Service. Sebagaimana diungkapkan sebagai berikut:                is assisted by the Human Resources & Services Department,
                                                                 as outlined below:

1.   Proses Nominasi                                             1.   Nomination Process
     Perseroan menugaskan Komite Nominasi, Remunerasi,                The Company assigns the Nomination, Remuneration,
     dan GCG, dibantu oleh Departemen Human Resources                 and GCG Committee, assisted by the Human Resources &
     & Services, untuk melaksanakan proses nominasi bagi              Services Department, to conduct the nomination process
     anggota Dewan Komisaris dan Direksi.                             for members of the Board of Commissioners and the Board
                                                                      of Directors.
2.   Pengajuan Calon Anggota Dewan Komisaris dan Direksi         2.   Submission of Candidates for Members of Board of
     Ketua Komite Nominasi, Remunerasi, dan GCG serta                 Commissioners and Board of Directors
     Departemen Human Resources & Services menyerahkan                The Chairman of the Nomination, Remuneration, and
     daftar nama calon anggota Dewan Komisaris dan Direksi            GCG Committee, together with the Human Resources &
     yang diputuskan melalui rapat internal Dewan Komisaris           Services Department, submits the list of candidates for
     dan Direksi.                                                     members of the Board of Commissioners and the Board
                                                                      of Directors, as determined through internal meetings of
                                                                      the Board of Commissioners and the Board of Directors.
3.   Penilaian Kemampuan dan Kepatutan                           3.   Fit and Proper Assessment
     Penilaian kemampuan dan kepatutan dilakukan terhadap             A fit and proper assessment is conducted for individuals
     pihak yang namanya tercantum dalam daftar calon anggota          listed as candidates for the Board of Commissioners and the
     Dewan Komisaris dan Direksi. Calon anggota yang telah            Board of Directors. Candidates who pass the assessment
     lulus penilaian kemudian diajukan dalam RUPS untuk               are then proposed at the General Meeting of Shareholders
     diangkat.                                                        (GMS) for appointment.
4.   Penetapan Anggota Dewan Komisaris dan Direksi               4.   Appointment of Members of the Board of Commissioners
     Calon yang telah memenuhi persyaratan dan lulus penilaian        and the Board of Directors
     kemampuan dan kepatutan diangkat melalui persetujuan             Appointment of Members Candidates who meet the
     para Pemegang Saham pada saat pelaksanaan RUPS.                  requirements and pass the fit and proper assessment are
                                                                      appointed with the approval of the Shareholders during
                                                                      the GMS.

Prosedur Remunerasi Dewan Komisaris dan Direksi                  Remuneration Procedures for the Board of Commissioners
                                                                 and the Board of Directors
Kebijakan Remunerasi Dewan Komisaris dan Direksi telah diatur    The remuneration policy for the Board of Commissioners and
dalam Kebijakan internal Perseroan, dimana penilaian kinerja     the Board of Directors is regulated in the Company’s internal
masing-masing Dewan Komisaris dan Direksi serta kondisi          policies, whereby the performance assessment of each member
operasional Perseroan menjadi dasar penentuan remunerasi         and the Company’s operational conditions serve as the basis
Dewan Komisaris dan Direksi.                                     for determining remuneration.




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Dewan Komisaris bertanggung jawab menetapkan besaran                              The Board of Commissioners is responsible for determining the
remunerasi, sesuai dengan keputusan Rapat Umum Pemegang                           amount of remuneration, in accordance with the resolutions of
Saham (RUPS).                                                                     the General Meeting of Shareholders (GMS).

                                                       Prosedur Pemberian Remunerasi
                                                               Prosedur Pemberian Remunerasi




 01                                  02                           03                           04                               05
 RUPS mendeligasikan                 Perseroan mengikuti          Komite Nominasi,             Dewan Komisaris                   Dewan Komisaris
 kewenangan distribusi               survei penggajian dalam      Remunerasi,dan GCG           mengkaji kinerja Direksi          menetapkan remunerasi
 remunerasi Direksi                  industri yang sama.          mengkaji hasil survei dan    berdasarkan kinerja               Direksi untuk periode
 kepada Dewan komisaris                                           memberikan masukan           Perseroan dan masukan             jabatan berikutnya.
 Perseroan                           The Company follows          kepada Dewan Komisaris.      dari Komite Nominasi,
                                     salary in the same                                        Remunerasi, dan GCG.              Dewan Komisaris
 The GMS delegates the               industry.                    The      Nomination,                                           menetapkan remunerasi
 authority to distribute                                          Remuneration and GCG         The      Board      of            Direksi untuk periode
 the remuneration of the                                          Committee reviews            Commissioners reviews             jabatan berikutnya.
 Board of Directors to the                                        the survey results and       the performance of
 Board of Commissioners                                           provides input to the        the Board of Directors
 of the Company.                                                  Board of Commissioners.      based on the Company’s
                                                                                               performance and input
                                                                                               from the Nomination,
                                                                                               Remuneration and GCG
                                                                                               Committee.



Struktur dan Besaran Remunerasi                                                   Structure and Amount of Remuneration
Terdapat dua jenis Remunerasi yang diberikan kepada Dewan                         There are two types of remuneration provided to the Board of
Komisaris dan Direksi, yakni:                                                     Commissioners and the Board of Directors, namely:
1. Remunerasi tetap, yang tidak terkait dengan kinerja dan                        1. Fixed remuneration, which is not linked to performance
    risiko, yaitu gaji pokok dan kompensasi lainnya; dan                              or risk, consisting of base salary and other compensation;
                                                                                      and
2.   Remunerasi variabel, yang sangat terkait dengan kinerja                      2. Variable remuneration, which is closely tied to performance
     dan risiko, yaitu berupa bonus.                                                  and risk, in the form of bonuses.

Besaran remunerasi yang diberikan kepada Dewan Komisaris                          The amount of remuneration granted to the Board of
dan Direksi dalam jangka waktu 2 tahun terakhir disajikan                         Commissioners and the Board of Directors over the past two
pada tabel berikut.                                                               years is presented in the following table:

                                                                                                           Total Remunerasi (Juta Rupiah)
Uraian                                                                Jumlah Orang                       Total Remuneration (in Million Rupiah)
Description                                                        Number of Participants
                                                                                                        2025                                2024

 Dewan Komisaris *)
 Board of Commissioners

 Remunerasi Tetap
 Fixed Remuneration
                                                                              4                         20.899                              14.215
 Remunerasi Variabel**)
 Variable Remuneration

 Direksi***)
 Board of Directors

 Remunerasi Tetap
 Fixed Remuneration
                                                                              3                         34.282                              23.921
 Remunerasi Variabel**)
 Variable Remuneration

*) Pada bulan April 2025 terjadi perubahan komposisi Dewan Komisaris, dimana jumlah Dewan Komisaris sebelumnya 5 orang menjadi 4 orang.
**) Perseroan tidak melaksanakan pembayaran berbasis saham kepada Dewan Komisaris dan Direksi.
***) Pada bulan April 2025 terjadi perubahan komposisi Direksi, dimana jumlah Direksi sebelumnya 3 orang menjadi 2 orang.

*)In April 2025, there was a change in the composition of the Board of Commissioners, whereby the number of Commissioners was reduced from five to
four .
**) The Company does not provide share-based compensation to the Board of Commissioners and the Board of Directors.
***) In April 2025, there was a change in the composition of the Board of Directors, whereby the number of Directors was reduced from three to two.


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Transparansi Informasi Dewan Komisaris
dan Direksi
Information Transparency of The Board of Commissioners and Board of Directors

Hubungan Kerja Dewan Komisaris dan Direksi                     Working Relationship between the Board of Commissioners
                                                               and the Board of Directors
Hubungan kerja Dewan Komisaris dan Direksi merupakan           The working relationship between the Board of Commissioners
hubungan yang bersifat kelembagaan, dalam arti senantiasa      and the Board of Directors is institutional in nature, meaning that
dilandasi oleh suatu mekanisme baku atau korespondensi         it is always based on established mechanisms and accountable
yang dapat dipertanggungjawabkan, di mana peran dalam          correspondence. The roles of both Boards in managing and
menjalankan pengurusan maupun pengawasan pengurusan            supervising the Company are carried out in accordance with
Perusahaan mengikuti ketentuan Anggaran Dasar Perusahaan       the provisions of the Company’s Articles of Association and
maupun peraturan perundang-undangan.                           applicable laws and regulations.

Di samping itu, Dewan Komisaris dan Direksi memiliki           In addition, the Board of Commissioners and the Board of Directors
hubungan kerja yang saling terkait serta hubungan saling       maintain interrelated working relationships characterized by
mengimbangi (check and balances). Melalui hubungan kerja       a system of checks and balances. Through this relationship,
tersebut diharapkan dapat tercapainya keberlanjutan usaha      the sustainability of the Company’s business is expected to be
perusahaan yang tercermin pada:                                achieved, as reflected in:
1. Terlaksananya dengan baik internal control dan manajemen    1. The implementation of sound internal control and risk
    risiko;                                                         management;
2. Tercapainya imbal hasil (return) yang wajar bagi Pemegang   2. The achievement of reasonable returns for shareholders;
    Saham;
3. Terlindunginya kepentingan Pemangku Kepentingan secara      3.   The protection of stakeholders’ interests;
    wajar;
4. Terlaksananya suksesi kepemimpinan dan manajemen di         4.   The implementation of leadership and management
    semua lini organisasi; dan                                      succession at all levels of the organization; and
5. Terpenuhinya pelaksanaan GCG.                               5.   The fulfillment of Good Corporate Governance (GCG)
                                                                    practices.

Hubungan Afiliasi                                              Affiliation
Para anggota Dewan Komisaris dan Direksi tidak memiliki        The members of the Board of Commissioners and the Board
hubungan afiliasi baik berupa hubungan keluarga maupun         of Directors have no affiliation, whether in the form of family
hubunga keuangan dengan anggota Dewan Komisaris atau           relationships or financial ties, with other members of the
Direksi yang lain, ataupun Pemegang Saham Pengendali.          Board of Commissioners or the Board of Directors, nor with
                                                               the Controlling Shareholders.

Keberagaman Komposisi Dewan Komisaris dan Direksi              Diversity of the Composition of the Board of Commissioners
                                                               and the Board of Directors
Keberagaman komposisi Dewan Komisaris dan Direksi tercermin    The diversity of the composition of the Board of Commissioners
dalam variasi latar belakang pendidikan, pengalaman kerja,     and Board of Directors is reflected in the variety of educational
dan keahlian yang dimiliki oleh masing-masing anggota Dewan    backgrounds, work experience, and expertise possessed by
Komisaris dan Direksi. Dewan Komisaris dan Direksi memiliki    each member of the Board of Commissioners and Board of
kompetensi yang memadai dan relevan dengan jabatannya untuk    Directors. The Board of Commissioners and Board of Directors
menjalankan tugas dan tanggung jawabnya. Pemilihan Dewan       have adequate competence and are relevant to their positions
Komisaris dan Direksi Perusahaan juga dilakukan dengan         to carry out their duties and responsibilities. The selection of
mempertimbangkan kualitas, kompetensi, serta kebutuhan         the Company’s Board of Commissioners and Board of Directors
Perusahaan.                                                    is also carried out by considering the quality, competence, and
                                                               needs of the Company.




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Keberagaman komposisi Dewan Komisaris dan Direksi Perseroan                            The diversity of the composition of the Company’s Board of
Tahun 2025 dijabarkan pada tabel berikut:                                              Commissioners and Directors in 2024 is described in the
                                                                                       following table:


 Nama dan Jabatan                              Pendidikan                                       Pengalaman Profesional                        Usia       Jenis Kelamin
 Name and Position                             Education                                        Professional Experience                       Age           Gender


 Dewan Komisaris
 Board of Commissioners

 Rudiantara                   •   Sarjana     Statistika,   Universitas        •   Presiden Komisaris PT Semen Indonesia (Persero) Tbk          66          Laki-laki
 Komisaris Utama                  Padjadjaran, Bandung (1984)                      (2020-2023)                                                                Male
 President Commissioner       •   Master of Business Administration,           •   Komisaris PT Rukun Raharja Tbk (2019 - 2021)
                                  Institut Pendidikan dan Pembinaan            •   Menteri Komunikasi dan Informatika Republik
                                  Manajemen, Jakarta (1988)                        Indonesia (2014 - 2019)
                                                                               •   Komisaris Utama PT Rukun Raharja Tbk (2014)
                                                                               •   Wakil Direktur Utama PT PLN (Persero) (2008-2009)
                              •   Bachelor of Statistics, Padjadjaran          •   Wakil Direktur Utama PT Semen Gresik (Persero) Tbk
                                  University, Bandung (1984)                       (2006 - 2008)
                              •   Master of Administration, Business           •   Komisaris/Direksi serta Ketua Komite Audit di berbagai
                                  Institute of Management Education and            Perusahaan Telekomunikasi (PT Telkomsel, PT XL
                                  Development, Jakarta (1988)                      Axiata Tbk, PT Telekomunikasi Indonesia Tbk, dan
                                                                                   PT Indosat Oredoo Tbk)

                                                                               •   President Commissioner of PT Semen Indonesia
                                                                                   (Persero) Tbk (2020-2023)
                                                                               •   Commissioner of PT Rukun Raharja Tbk (2019 - 2021)
                                                                               •   Minister of Communication and Information of the
                                                                                   Republic of Indonesia (2014 - 2019)
                                                                               •   President Commissioner of PT Rukun Raharja Tbk
                                                                                   (2014)
                                                                               •   Vice President Director of PT PLN (Persero) (2008 -
                                                                                   2009)
                                                                               •   Vice President Director of PT Semen Gresik (Persero)
                                                                                   Tbk (2006 - 2008) Audit
                                                                               •   Commissioner/Director and Chairman of Committee in
                                                                                   various Telecommunication Companies (PT Telkomsel,
                                                                                   PT XL Axiata Tbk, PT Telekomunikasi Indonesia Tbk, and
                                                                                   PT Indosat Oredoo Tbk).

 M. Arsjad Rasjid PM          •   Sarjana Teknik Komputer, University of       •   Ketua Umum Kamar Dagang dan Industri Indonesia               55          Laki-laki
 Komisaris                        Southern California (1990)                       (KADIN Indonesia) (2021- 2026)                                             Male
 Commissioner                 •   Sarjana bidang Administrasi Bisnis,          •   Presiden Komisaris PT Indika Infrastruktur Investindo
                                  Pepperdine      University,    California,       (Juni 2020-sekarang)
                                  Amerika Serikat (1993)                       •   Komisaris PT Indika Inti Corpindo (Juni 2020-sekarang).
                              •   Program        Pendidikan        Eksekutif   •   Komisaris PT Grab Teknologi Indonesia (2020-sekarang)
                                  Kepemimpinan Global dan Kebijakan            •   Presiden Komisaris PT Indika Multi Properti (Oktober
                                  Publik untuk Abad ke-21, Harvard                 2019-sekarang)
                                  Kennedy School, Amerika Serikat              •   Komisaris Kideco (Februari 2017-sekarang)
                                  (2012)                                       •   Chairman Indika Foundation (2017-sekarang)
                              •   Program      Wawasan        Politik   dan    •   Komisaris PT Indika Energy Infrastructure (Desember
                                  Kebijakan Publik di Asia untuk Para              2016-sekarang)
                                  Pemimpin Global, Lee Kuan Yew School         •   Direktur Utama PT Indika Energy Tbk (2016-sekarang)
                                  of Public Policy, Singapura (2012)           •   Anggota Komite Nominasi, Remunerasi dan GCG
                              •   Pendidikan Eksekutif tentang Investasi           PT Rukun Raharja Tbk (2015-sekarang)
                                  Berdampak, Said Business School,
                                  Universitas Oxford, Inggris (2013)           •   Chairman of the Indonesian Chamber of Commerce and
                              •   Program Pendidikan Eksekutif tentang             Industry (KADIN Indonesia) (2021 - 2026)
                                  Kepemimpinan        dan     Pengambilan      •   President Commissioner of PT Indika Infrastruktur
                                  Keputusan di Abad ke-21, Jackson                 Investindo (since June 2020)
                                  Institute for Global Affairs, Yale           •   Commissioner of PT Indika Inti Corpindo (since June
                                  University, Amerika Serikat (2014)               2020)
                                                                               •   Commissioner of PT Grab Teknologi Indonesia (since
                              •   Bachelor of Computer Engineering,                2020)
                                  University of Southern California (1990)     •   President Commissioner of PT Indika Multi Properti
                              •   Bachelor of Science in Business                  (since October 2019)
                                  Administration, Pepperdine University,       •   Commissioner of Kideco (since February 2017)
                                  California, United States (1993)             •   Chairman of Indika Foundation (since 2017)
                              •   Executive Education Program Global           •   Commissioner of PT Indika Energi Infrastructure (since
                                  Leadership and Public Policy for the             December 2016)
                                  21st Century, Harvard Kennedy School,        •   President Director of PT Indika Energy Tbk (since 2016)
                                  United States (2012).                        •   Member of Nomination, Remuneration and GCG
                              •   Political Insights Program and Public            Committee of PT Rukun RaharjaT bk (since 2015)
                                  Policy in Asia for Global Leaders, Lee
                                  Kuan Yew School of Public Policy,
                                  Singapore (2012).
                              •   Executive     Education     on   Impact
                                  Investment, Said Business School,
                                  University of Oxford, UK (2013)
                                  Executive Education Program on
                                  Leadership and Decision Making in
                                  the 21st Century, Jackson Institute
                                  for Global Affairs, Yale University, USA
                                  (2014)




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Nama dan Jabatan                                 Pendidikan                                     Pengalaman Profesional                         Usia        Jenis Kelamin
Name and Position                                Education                                      Professional Experience                        Age            Gender


Dewan Komisaris
Board of Commissioners

Rachmat Gobel                  International Trade Science,Chuo University,    •   Komisaris PT Rukun Raharja Tbk (2014 -2015)                  63            Laki-laki
Komisaris Independen           Tokyo (1987)                                    •   Menteri Perdagangan Republik Indonesia dalam                                 Male
Independent Commissioner                                                           Kabinet Kerja (27 Oktober 2014 - 12 Agustus 2015)
                                                                               •   Komisaris PT Indosat Tbk (2008 -2014)
                                                                               •   Komisaris PT Smart Tbk (2004 -2014)

                                                                               •   Commissioner of PT Rukun Raharja Tbk (2014 - 2015)
                                                                               •   Minister of Trade of the Republic of Indonesia in the
                                                                                   Working Cabinet (October 27, 2014 - August 12, 2015)
                                                                               •   Commissioner of PT Indosat Tbk (2008- 2014).
                                                                               •   Commissioner of PT Smart Tbk (2004 2014).

D. Andhi Nirwanto                 •   Sarjana Hukum Universitas 17 Agustus     •   Komisaris PT Pelabuhan Indonesia II (2017-2021)              70            Laki-laki
Komisaris Independen                  1945, Semarang (1979                     •   PLT Jaksa Agung RI (Oktober 2014-Nopember 2014)                              Male
Independent Commissioner          •   Magister Manajemen Institut Bisnis       •   Wakil Jaksa Agung RI/Ketua Tim Pemburu Koruptor
                                      dan Informatika Indonesia, Jakarta           (2013-2016)
                                      (1998)                                   •   Jaksa Agung Muda Tindak Pidana Khusus (2011-2013)
                                  •   Doktor Ilmu Hukum Universitas            •   Ses Jaksa Agung Muda Tindak Pidana Khusus (2009-
                                      Padjadjaran, Bandung (2015)                  2011)
                                                                               •   Kepala Kejaksaan Tinggi DKI Jakarta (2008-2009)
                                  •   Bachelor of Law, University of 17        •   Kepala Kejaksaan Tinggi Kalimantan Timur (2006-
                                      August 1945, Semarang (1979)                 2008)
                                  •   Master of Management, Institute of
                                      Business and Informatics Indonesia,      •   Commissioner of PT Pelabuhan Indonesia II (2017-
                                      Jakarta (1998)                               2021).
                                  •   Doctor of Law, University of             •   Acting Attorney General (October 2014-November
                                      Padjadjaran University, Bandung (2015)       2014)
                                                                               •   Deputy Attorney General of the Republic of Indonesia/
                                                                                   Chairman of the Anti-Corruption Hunt Team Team
                                                                                   (2013-2016)
                                                                               •   Deputy Attorney General for Special Crimes (2011-
                                                                                   2013)
                                                                               •   Secretary to Deputy Attorney General for Special
                                                                                   Crimes Special Crimes (2009-2011)
                                                                               •   Chief of the Jakarta High Prosecutor’s Office (2008-
                                                                                   2009)
                                                                               •   Chief of the High Prosecutor’s Office of Kalimantan
                                                                                   East Kalimantan (2006-2008)

Orias Petrus Moedak,              •   Sarjana Ekonomi Jurusan Akuntansi        •   Group CEO Mining Industry Indonesia (MIND ID)                58            Laki-laki
Komisaris Independen                  Universitas Padjajaran (1990)                (November 2019-Oktober 2021)                                                 Male
(29 Mei 2023 s.d. 30 April                                                     •   EVP and Deputy CEO PT Freeport Indonesia (Desember
2025)                             •   Bachelor of Economics majoring in            2018-November 2019)
Independent Commissioner              Accounting,  Padjajaran University       •   Chief Financial Officer PT Indonesia Asahan Aluminium
(May 29, 2013 till April 30,          (1990)                                       (Persero) (April 2018-Desember 2018)
2025)                                                                          •   Chief Financial Office PT Bukit Asam, Tbk (April
                                                                                   2017-April 2018)
                                                                               •   Chairman PT Bukit Asam Transpacific Railways
                                                                                   (Agustus 2017-April 2018)
                                                                               •   Chief Executive Officer PT Pelabuhan Indonesia III
                                                                                   (Persero) (Mei 2016-2017)
                                                                               •   Chairman PT Berlian Jasa Terminal Indonesia (2017)
                                                                               •   Chief Financial Officer PT Pelabuhan Indonesia II
                                                                                   (Persero) (2014-2016)
                                                                               •   Chairman PT Rumah Sakit Pelabuhan (2015-2016)
                                                                               •   Managing Director, Head of Indonesia Coverage Daiwa
                                                                                   Capital Markets Singapore Limited (2010-2014)

                                                                               •   Group CEO Mining Industry Indonesia (MIND ID)
                                                                                   (November 2019-October 2021)
                                                                               •   EVP and Deputy CEO PT Freeport Indonesia (December
                                                                                   2018-November 2019)
                                                                               •   Chief Financial Officer PT Indonesia Asahan Aluminium
                                                                                   (Persero) (April 2018-December 2018)
                                                                               •   Chief Financial Office PT Bukit Asam, Tbk (April
                                                                                   2017-April 2018)
                                                                               •   Chairman PT Bukit Asam Transpacific Railways (August
                                                                                   2017-April 2018)
                                                                               •   Chief Executive Officer PT Pelabuhan Indonesia III
                                                                                   (Persero) (May 2016-2017)
                                                                               •   Chairman PT Berlian Jasa Terminal Indonesia (2017)
                                                                               •   Chief Financial Officer PT Pelabuhan Indonesia II
                                                                                   (Persero) (2014-2016)
                                                                               •   Chairman PT Rumah Sakit Pelabuhan (2015-2016)
                                                                               •   Managing Director, Head of Indonesia Coverage Daiwa
                                                                                   Capital Markets Singapore Limited (2010-2014)




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 Nama dan Jabatan                                Pendidikan                                       Pengalaman Profesional                        Usia       Jenis Kelamin
 Name and Position                               Education                                        Professional Experience                       Age           Gender


 Direksi
 Board of Directors

 Djauhar Maulidi                 •   MBA di bidang Energi dari Sekolah           •   Komisaris PT Raharja Energi Cepu (2018 -2019)                56          Laki-laki
 Direktur Utama                      Bisnis Manajemen, Institut Teknologi        •   Direktur di PT Rukun Raharja Tbk (2011-2017)                               Male
 President Director                  Bandung, Jawa Barat (2010)                  •   Presiden Direktur PT Triguna Internusa Pratama (2010
                                 •   Sarjana     Ekonomi       di   bidang           - 2017)
                                     Internasional Trade and Economics,          •   Presiden Direktur PT Toha Sittah Salam (2009-2019)
                                     Universitas Padjajaran, Bandung (1993)      •   Direktur Finance & Business Development di PT Bumi
                                                                                     Hasta Mukti (2006 - 2009)
                                 •   MBA in Energy from School of Business       •   Corporate Banking Head di Sumitomo Mitsul
                                     Management, Bandung Institute of                Banking Corporate Indonesia (1993 - 2006)
                                     Technology, West Java (2010)
                                 •   Bachelor of Economics in International
                                     Trade and Economics, Padjajaran             •   Commissioner, PT Raharja Energi Cepu (2018–2019)
                                     University, Bandung (1993)                  •   Director of PT Rukun Raharja Tbk (2011–2017)
                                                                                 •   President Director, PT Triguna Internusa Pratama
                                                                                     (2010–2017)
                                                                                 •   President Director, PT Toha Sittah Salam (2009–2019)
                                                                                 •   Director of Finance & Business Development, PT Bumi
                                                                                     Hasta Mukti (2006–2009)
                                                                                 •   Corporate Banking Head, Sumitomo Mitsui Banking
                                                                                     Corporation Indonesia (1993–2006)

 Ogi Rulino                      •   Fakultas Teknik Mesin dan Dirgantara        •   Komisaris Utama PT Pelabuhan Tanjung Priok (Pelindo          57          Laki-laki
 Direktur                            Institut Teknologi Bandung dengan               Group) (2020-2024)                                                         Male
 Director                            jurusan Teknik Mesin                        •   Direktur Strategi & Komersial di Pelindo Multi Terminal
                                 •   Bachelor of Science (B.Sc), jurusan             (2021- 2023)
                                     Teknologi Informatika (IT), University of   •   Direktur Transformasi dan Pengembangan Usaha di
                                     ElectroCommunications, Tokyo                    PT Pelabuhan Indonesia II (Persero) (2019-2021)
                                 •   Master of Engineering (M. Eng), jurusan     •   Direktur Logistik & Pengembangan Usaha di
                                     Teknologi Informatika (IT), University of       PT Krakatau Steel (Persero) Tbk (2018- 2019)
                                     Electro Communications, Tokyo               •   Direktur Logistik di PT Krakatau Steel (Persero) Tbk
                                                                                     (2015-2018)
                                 •   Faculty of Mechanical and Aerospace         •   Berkarir di beberapa perusahaan lainnya, termasuk
                                     Engineering, Bandung Institute of               PT Nusantara Infrastructure Tbk, PT Mitsui OSK Lines
                                     Technology with a major in Mechanical           Indonesia, PT Inter Admark Dentsu dan Mitsui & Co. Ltd.
                                     Engineering.
                                 •   Bachelor of Science (B.Sc), majoring in     •   President Commissioner, PT Pelabuhan Tanjung Priok
                                     Information Technology (IT), University         (Pelindo Group) (2020–2024)
                                     of Electro-Communications, Tokyo            •   Director of Strategy & Commercial, Pelindo Multi
                                 •   Master of Engineering (M. Eng),                 Terminal (2021–2023)
                                     majoring in Information Technology (IT),    •   Director of Transformation and Business Development,
                                     University of Electro-Communications,           PT Pelabuhan Indonesia II (Persero) (2019–2021)
                                     Tokyo                                       •   Director of Logistics & Business Development,
                                                                                     PT Krakatau Steel (Persero) Tbk (2018–2019)
                                                                                 •   Director of Logistics, PT Krakatau Steel (Persero) Tbk
                                                                                     (2015–2018)
                                                                                 •   Career experience in several other companies, including
                                                                                     PT Nusantara Infrastructure Tbk, PT Mitsui OSK Lines
                                                                                     Indonesia, PT Inter Admark Dentsu, and Mitsui & Co.,
                                                                                     Ltd.

 Sumantri                        •   Sarjana Ekonomi, Universitas Indonesia      •   Komisaris di PT Raharja Energi Cepu Tbk (2024-2025)          49          Laki-laki
 Direktur (29 Mei 2023 s.d. 30       (2002)                                      •   Direktur PT Rukun Raharja Tbk (2021-2025)                                  Male
 April 2025)                                                                     •   Komisaris Independen PT BRI Multi Finance (2020-
 Director (May 29, 2025 till     •   Bachelor of Economics, University of            2023)
 April 30, 2025)                     Indonesia (2002)                            •   Chief Corporate Affairs Officer PT Karya Bumi Baratama
                                                                                     (2012 - 2014)
                                                                                 •   Direktur Keuangan PT Sarana Patra Hulu Cepu (BUMD
                                                                                     Provinsi Jawa Tengah) (2015 - 2016)
                                                                                 •   Advisor di PT Usahatama Mandiri Nusantara (2015 -
                                                                                     2020)
                                                                                 •   Komisaris di PT IPC Terminal Petikemas (2019 - 2020)

                                                                                 •   Commissioner, PT Raharja Energi Cepu Tbk (2024–
                                                                                     2025)
                                                                                 •   Director, PT Rukun Raharja Tbk (2021-2025)
                                                                                 •   Independent Commissioner, PT BRI Multi Finance
                                                                                     (2020–2023)
                                                                                 •   Chief Corporate Affairs Officer, PT Karya Bumi Baratama
                                                                                     (2012–2014)
                                                                                 •   Finance Director, PT Sarana Patra Hulu Cepu (Regional-
                                                                                     Owned Enterprise of Central Java Province) (2015–2016)
                                                                                 •   Advisor, PT Usahatama Mandiri Nusantara (2015–2020)
                                                                                 •   Commissioner, PT IPC Terminal Petikemas (2019–2020)




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Rangkap Jabatan                                                      Concurrent Positions
Dalam mencegah terjadinya benturan kepentingan, maka                 To prevent conflicts of interest, the Company requires members
Perusahaan mewajibkan anggota Dewan Komisaris dan Direksi            of the Board of Commissioners and the Board of Directors
untuk mengungkapkan rangkap jabatan yang diperbarui setiap           to disclose their concurrent positions, which are updated
tahunnya yang meliputi rangkap jabatan pada induk Perusahaan,        annually. Such disclosures include concurrent positions held
Anak Perusahaan dan Perusahaan lain untuk jabatan sebagai            in the parent company, subsidiaries, or other companies,
anggota Direksi atau Dewan Komisaris atau Komite.                    whether as members of the Board of Directors, the Board of
                                                                     Commissioners, or committees.


 Nama dan Jabatan                     Rangkap Jabatan di Dalam Perusahaan                       Rangkap Jabatan di Luar Perusahaan
 Name and Position                     Concurrent Position in the Company                     Concurrent Position Outside the Company


 Dewan Komisaris
 Board of Commissioners

                                                                                •   Komisaris PT Indosat Ooredoo Hutchison Tbk (2022-sekarang)
                                                                                •   Komisaris PT Vale Indonesia Tbk (2020-sekarang)
                                                                                •   Komisaris Utama PT Amartha Nusantara Raya (2022-sekarang)
                                                                                •   Komisaris Utama PT Kitabisa Indonesia (2023-sekarang)
                                                                                •   Komisaris Utama PT Elang Andalan Nusantara (2024-sekarang)
                                                                                •   Commissioner of PT Indosat Ooredoo Hutchison Tbk (since 2022 -
 Rudiantara
                                  Tidak ada                                         present)
 Komisaris Utama
                                  None                                          •   Commissioner of PT Vale Indonesia Tbk (since 2020-present)
 President Commissioner
                                                                                •   President Commissioner of PT Amartha Nusantara Raya (since
                                                                                    2022-present)
                                                                                •   President Commissioner of PT Kitabisa Indonesia (since
                                                                                    2023-present)
                                                                                •   President Commissioner of PT Elang Andalan Nusantara
                                                                                    (2024-present)

                                                                                •   Presiden Komisaris PT Indika Infrastruktur Investindo (Juni
                                                                                    2020-sekarang)
                                                                                •   Komisaris PT Indika Inti Corpindo (Juni 2020-sekarang)
                                                                                •   Komisaris PT Grab Teknologi Indonesia (2020-sekarang)
                                                                                •   Presiden Komisaris PT Indika Multi Properti (Oktober
                                                                                    2019-sekarang)
                                                                                •   Komisaris Kideco (Februari 2017-sekarang)
                                                                                •   Chairman Indika Foundation (2017-sekarang)
                                                                                •   Komisaris PT Indika Energy Infrastructure (Desember
                                                                                    2016-sekarang)
 M. Arsjad Rasjid PM              Anggota Komite Nominasi, Remunerasi dan GCG
                                                                                •   Direktur Utama PT Indika Energy Tbk (2016-sekarang)
 Komisaris                        Member of Nomination, Remuneration and GCG
                                                                                •   President Commissioner of PT Indika Infrastruktur Investindo (June
 Commissioner                     Committee
                                                                                    2020-present)
                                                                                •   Commissioner of PT Indika Inti Corpindo (June 2020-present).
                                                                                •   Commissioner of PT Grab Teknologi Indonesia (2020-present)
                                                                                •   President Commissioner of PT Indika Multi Properti (October
                                                                                    2019-present)
                                                                                •   Commissioner of Kideco (February 2017-present)
                                                                                •   Chairman of Indika Foundation (2017-present)
                                                                                •   Commissioner of PT Indika Energy Infrastructure (December
                                                                                    2016-present)
                                                                                •   President Director of PT Indika Energy Tbk (2016-present)

                                                                                •   Wakil Ketua Dewan Perwakilan Rakyat Republik Indonesia (sejak
                                                                                    2019)
                                  Ketua Komite Nominasi, Remunerasi dan         •   Anggota Direksi dan Dewan Komisaris, kelompok usaha PT Global
 Rachmat Gobel                    GCG PT Rukun Raharja Tbk (2025-sekarang)          Panasonic (sejak 1994)
 Komisaris                        Chairman of Nomination, Remuneration and
 Commissioner                     GCG Committee of PT Rukun Raharja Tbk         •   Vice Chairman of the House of Representatives of the Republic of
                                  (2025-present)                                    Indonesia (since 2019)
                                                                                •   Member of the Board of Directors and Board of Commissioners,
                                                                                    PT Global Panasonic business group (since 1994)




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 Nama dan Jabatan                                  Rangkap Jabatan di Dalam Perusahaan                   Rangkap Jabatan di Luar Perusahaan
 Name and Position                                  Concurrent Position in the Company                 Concurrent Position Outside the Company


                                                                                         •     Ketua Dewan Pengawas PPSN/Pusat Pengkajian Strategi
                                                                                               Nasional (2016-sekarang)
                                                                                         •     Wakil Ketua Dewan Pakar Kepala SKK Migas (2024-sekarang)
                                                                                         •     Dewan Penasihat Alumni UNTAG Semarang (2021-sekarang)
                                                                                         •     Dewan Pakar KBPA/Keluarga Besar Purna Adhyaksa
                                                                                               (2021-sekarang).
                                                                                         •     Partner pada Kantor Hukum KBPA (Januari 2023-sekarang)
                                                                                         •     Komisaris utama PT Pupuk Kaltim (2024-sekarang)
                                                                                         •     Komisaris    Independen   PT    Mahakam     Sumber     Jaya
                                                                                               (2025-sekarang)
 D. Andhi Nirwanto,
                                               Tidak ada                                 •     Chairman of the Supervisory Board at the National Strategic
 Komisaris Independen
                                               None                                            Studies Center (PPSN) (2016–present)
 Independent Commissioner
                                                                                         •     Vice Chairman of the Expert Council to the Head of SKK Migas
                                                                                               (2024–present)
                                                                                         •     Advisory Board Member of Alumni Association of UNTAG
                                                                                               Semarang (2021–present)
                                                                                         •     Expert Council Member of KBPA (Keluarga Besar Purna
                                                                                               Adhyaksa) (2021–present)
                                                                                         •     Partner at KBPA Law Office (January 2023–present)
                                                                                         •     President Commissioner of PT Pupuk Kalimantan Timur (2024–
                                                                                               present)
                                                                                         •     Commissioner Independent of PT Mahakam Sumber Jaya
                                                                                               (2025-sekarang)

 Orias Petrus Moedak
 Komisaris Independen
                                               Tidak ada                                 Komisaris Utama PT Raharja Energi Cepu Tbk (2025-sekarang)
 (29 Mei 2023 s.d. 30 April 2025)
                                               None                                      President Commissioner PT Raharja Energi Cepu Tbk (2025-present)
 Independent Commissioner
 (May 29, 2023 till April 30, 2025)

 Direksi
 Board of Directors

                                                                                         •   Komisaris PT Petrosea Tbk (2022-sekarang)
                                                                                         •   Direktur Utama PT Rukun Raharja Tbk (2017-sekarang)
                                                                                         •   Komisaris PT Petrosea Infrastruktur Nusantara (sejak 2024)
                                                                                         •   Presiden Komisaris di PT Energasindo Heksa Karya
                                                                                             (2017-sekarang)
                                                                                         •   Presiden Komisaris di PT Triguna Internusa Pratama
                                                                                             (2017-sekarang)
 Djauhar Maulidi                                                                         •   Direktur di PT Sentosa Bersama Mitra (2015-sekarang)
                                               Tidak ada
 Direktur Utama
                                               None
 President Director                                                                      •   Commissioner of PT Petrosea Tbk (2022-present)
                                                                                         •   President Director of PT Rukun Raharja Tbk (2017-sekarang)
                                                                                         •   Commissioner of PT Petrosea Infrastruktur Nusantara (since 2024)
                                                                                         •   President Commissioner of PT Energasindo Hexa Karya
                                                                                             (2017-present)
                                                                                         •   President Commissioner of PT Triguna Internusa Pratama
                                                                                             (2017-present)
                                                                                         •   Director at PT Sentosa Bersama Mitra (2015-present)

                                                                                         •   Anggota Komite Keberlanjutan PT Petrosea Tbk (sejak 2024)
 Ogi Rulino                                                                              •   Komisaris Utama PT Petrotech Pentanusa (2023-sekarang)
                                               Tidak ada
 Direktur
                                               None
 Director                                                                                •   Member of Sustainability Committee PT Petrosea Tbk (since 2024)
                                                                                         •   President Commissioner of PT Petrotech Pentanusa (2023-present)

                                                                                         •   Direktur Utama PT Raharja Energi Cepu Tbk (2025-sekarang)
                                                                                         •   Komisaris Utama PT Raharja Energi Cepu Tbk (2024-2025)
                                                                                         •   Komisaris PT Petrogas Jatim Utama Cendana (2025-sekarang)
                                                                                         •   Komisaris PT Karya Mineral Jaya (2025-sekarang)
                                                                                         •   Komisaris di PT Panji Raya Alamindo Tbk (2021-sekarang)
                                                                                         •   Komisaris di PT Prima Energi Raharja (2021-sekarang)
                                                                                         •   Komisaris Utama di PT Heksa Energi Mitraniaga (2023-sekarang)
 Sumantri
                                               Tidak ada                                 •   President Director of PT Raharja Energi Cepu Tbk (2025-present)
 Direktur (29 Mei 2023 s.d. 30 April 2025)
                                               None                                      •   President Commissioner of PT Raharja Energi Cepu Tbk
 Director (May 29, 2025 till April 30, 2025)
                                                                                             (2024-2025)
                                                                                         •   Commissioner of PT Petrogas Jatim Utama Cendana
                                                                                             (2025–present)
                                                                                         •   Commissioner of PT Karya Mineral Jaya (2025–present)
                                                                                         •   Commissioner of PT Panji Raya Alamindo Tbk (2021–present)
                                                                                         •   Commissioner of PT Prima Energi Raharja (2021–present)
                                                                                         •   President Commissioner of PT Heksa Energi Mitraniaga
                                                                                             (2023–present)




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Benturan Kepentingan                                              Conflict of Interest
Dalam pengambilan keputusan, Dewan Komisaris dan Direksi          In making decisions, the Board of Commissioners and the Board
memastikan bahwa keputusan tersebut adalah untuk kepentingan      of Directors ensure that all resolutions are made in the best
perusahaan dan tidak mengandung benturan kepentingan atau         interests of the Company and are free from conflicts of interest
tekanan dari pihak terkait manapun.                               or undue influence from any related parties.

Apabila terdapat anggota Dewan Komisaris dan Direksi yang         Should any member of the Board of Commissioners or the Board
memiliki benturan kepentingan atas transaksi Perseroan, maka      of Directors have a conflict of interest in relation to a Company
Dewan Komisaris dan Direksi yang bersangkutan tidak dapat         transaction, such member shall not be involved in the decision-
diikutsertakan dalam proses pengambilan keputusan. Pada           making process. In 2025, there was not a conflict of interest.
tahun 2025, tidak terdapat benturan kepentingan.


Komite Audit
Audit Committee

Perseroan membentuk Komite Audit dengan tujuan untuk              The Company established the Audit Committee to support
mendukung Dewan Komisaris dalam mengawasi pelaksanaan             the Board of Commissioners in overseeing the duties and
tugas dan tanggung jawab Direksi. Tujuannya agar pengelolaan      responsibilities of the Board of Directors. The objective is to
Perseroan selalu sesuai dengan prinsip-prinsip GCG. Pembentukan   ensure that the Company’s management consistently adheres
Komite Audit diharapkan dapat mendorong terciptanya sistem        to the principles of Good Corporate Governance (GCG). The
pengendalian internal, manajemen risiko yang kuat, dan            establishment of the Audit Committee is expected to strengthen
transparansi dalam pelaporan keuangan.                            the internal control system, enhance risk management, and
                                                                  promote transparency in financial reporting.

Komposisi                                                         Composition
Pada tahun 2025 terdapat pergantian keanggotaan Komite            In 2025, there was a change in the membership of the Audit
Audit, dengan keterangan sebagai berikut.                         Committee, as detailed below.



1 Januari 2025-30 April 2025                                      January 1 , 2025–April 30, 2025


 Nama                                                                      Jabatan
 Name                                                                      Position



                                                                          Ketua
 Orias Petrus Moedak
                                                                         Chairman

                                                                          Anggota
 D. Andhi Nirwanto
                                                                          Member

                                                                          Anggota
 Budi Taufik Wibawa
                                                                          Member

                                                                          Anggota
 Aryo Wibisono
                                                                          Member


30 Juni 2025-31 Desember 2025                                     June 30, 2025-December 31, 2025


 Nama                                                                      Jabatan
 Name                                                                      Position



                                                                          Ketua
 D. Andhi Nirwanto
                                                                         Chairman

                                                                          Anggota
 Budi Taufik Wibawa
                                                                          Member

                                                                          Anggota
 Aryo Wibisono
                                                                          Member




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Sehingga susunan Komite Audit adalah sebagai berikut:                            Therefore, the composition of the Audit Committee is as follows:

Susunan Komite Audit per 31 Desember 2025                                        Composition of Audit Committee as of December 31, 2025


 Jabatan                               Nama                    Dasar Pengangkatan                        Masa Jabatan                            Periode
 Position                              Name                    Basis of Appointment                      Term of Office                          Period


 Ketua Komite Audit/                                Surat Keputusan Dewan Komisaris No. RR/    Mengikuti masa jabatan sebagai
 Komisaris Independen                                CO/02.177/VII/2025 tanggal 30 Juni 2025           Dewan Komisaris                           Ke-1
 Chairman of Audit             D. Andhi Nirwanto      Decree of the Board of Commissioners
                                                    Number: RR/CO/02.177/VII/2025 dated June   Following the termof office as the                 1st
 Committee/ Independent
                                                                     30, 2025                       Board of Commissioners
 Commissioner

                                                    Surat Keputusan Dewan Komisaris No. RR/
 Anggota Komite                                      DEKOM/11.009/I/2024 tanggal 11 Januari
 Audit                                                                2024                                                                       Ke-2
                               Budi Taufik Wibawa                                                         2024-2026
 Member of Audit                                      Decree of the Board of Commissioners                                                       2nd
 Committee                                           Number: RR/DEKOM/11.009/I/2024 dated
                                                                 January, 11 2024

                                                    Surat Keputusan Dewan Komisaris No. RR/
                                                     DEKOM/11.009/I/2024 tanggal 11 Januari
 Anggota Komite Audit
                                                                      2024                                                                       Ke-4
 Member of Audit                   Aryo Wibisono                                                          2024-2026
                                                      Decree of the Board of Commissioners                                                        4th
 Committee
                                                     Number: RR/DEKOM/11.009/I/2024 dated
                                                                 January, 11 2024




     Profil Anggota Komite Audit
     Profile of Audit Committee Members

     D. Andhi Nirwanto                                                           Orias Petrus Moedak
     Ketua Komite Audit | Chairman of the Audit Committee                        Ketua Komite Audit | Chairman of the Audit Committee
     (30 Juni 2025-31 Desember 2025)                                             (1 Januari 2025-30 April 2025)
     (June 30, 2025-December 31, 2025)                                           (January 1, 2025-April 30, 2025 )

     Profil Ketua Komite Audit D. Andhi Nirwanto dapat dilihat                   Profil Ketua Komite Audit Orias Petrus Moedak dapat
     pada bagian Profil Dewan Komisaris, dalam bab Profil                        dilihat pada bagian Profil Dewan Komisaris, dalam
     Perusahaan.                                                                 bab Profil Perusahaan.

     The profile of the Chairman of the Audit Committee D Andhi                  The profile of the Chairman of the Audit Committee
     Nirwanto can be seen in the Board of Commissioners’                         Orias Petrus Moedak can be seen in the Board of
     Profile section, in the Company Profile chapter.                            Commissioners’ Profile section, in the Company
                                                                                 Profile chapter.




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                                                                               Budi Taufik Wibawa
                                                                               Anggota Komite Audit | Audit Committee Member

                                                                               Periode Jabatan: 2024 s.d.2026, Periode Ke-2
                                                                               Term of Office : 2024 s.d.2026, 2nd Period

                                                                               Warga Negara Indonesia | Indonesian citizen
                                                                               Usia 59 tahun | 59 years old




 Domisili                                      Bekasi, Jawa Barat, Indonesia
 Domicile

 Pendidikan                                    Magister Akuntansi Universitas Muhammadiyah Jakarta (2007)
 Education                                     Master of Accounting, University of Muhammadiyah Jakarta (2007)

 Riwayat Profesi                                • Anggota Komite Audit, PT Jamkrida Jakarta (2017-2020)
 Professional Experience                        • Anggota Komite Audit, PT Penjamin Infrastruktur Indonesia (Persero) (2013-2016)
                                                • Anggota Komite Audit, PT Sucofindo (Persero) (2000-2008)

                                                • Member of Audit Committee, PT Jamkrida Jakarta (2017-2020)
                                                • Member of Audit Committee, PT Penjamin Infrastruktur Indonesia (Persero) (2013-2016)
                                                • Member of Audit Committee, PT Sucofindo (Persero) (2000-2008)

 Rangkap Jabatan                               Pemimpin Rekan, KAP Husni, Wibawa & Rekan (sejak 2020)
 Concurrent Position(s)                        Managing Partner, Public Accounting Firm Husni, Wibawa & Partners (2020–present)




                                                                               Aryo Wibisono
                                                                               Anggota Komite Audit | Audit Committee Member

                                                                               Periode Jabatan: 2024 s.d.2026, Periode Ke-4
                                                                               Term of Office : 2024 s.d.2026, 4th Period

                                                                               Warga Negara Indonesia | Indonesian citizen
                                                                               Usia 39 tahun | 39 years old




 Domisili                                      DKI Jakarta, Indonesia
 Domicile                                      Special Capital Region of Jakarta, Indonesia

 Pendidikan                                    Sarjana Ekonomi Universitas Indonesia
 Education                                     Magister Akuntasi Universitas Indonesia
                                               Bachelor of Economics, University of Indonesia
                                               Magister of Accounting, University of Indonesia

 Riwayat Profesi                               Berkarier di berbagai kantor akuntan publik (2006-2008)
 Professional Experience                       Worked in various public accounting firms (2006-2008).

 Rangkap Jabatan                               Partner KAP Hertanto, Sidik & Indra (sejak 2008)
 Concurrent Position(s)                        Partner, Public Accounting Firm Hertanto, Sidik & Indra (2008–present)




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Independensi Komite Audit                                                    Independence of the Audit Committee
Independensi Komite Audit merupakan aspek kritis dalam                       The independence of the Audit Committee is a critical aspect of
tata kelola perusahaan yang baik. Komite Audit harus bekerja                 sound corporate governance. The Audit Committee must operate
secara objektif dan bebas dari pengaruh pihak manajemen                      objectively and remain free from management influence or
atau kepentingan pribadi untuk memastikan integritas laporan                 personal interests to ensure the integrity of financial reporting
keuangan dan kepatuhan terhadap regulasi. Dengan menjaga                     and compliance with regulations. By maintaining independence,
independensi, Komite Audit dapat menjalankan fungsinya secara                the Audit Committee can perform its functions effectively, thereby
efektif, hal ini pada akhirnya akan meningkatkan kepercayaan                 enhancing investor confidence and strengthening trust among
investor dan pemangku kepentingan lainnya terhadap Perseroan.                other stakeholders. The independence of the Company’s Audit
Independensi Komite Audit Perseroan dapat dilihat pada tabel                 Committee is presented in the following table:
berikut:
Tabel Pemenuhan Aspek Independensi Komite Audit                              Table of Audit Committee Independence Compliance


 Aspek Independensi                                       D. Andhi
                                                                      Orias Petrus Moedak**)    D Andhi Nirwanto   Budi Taufik Wibawa       Aryo Wibisono
 Independent Aspects                                     Nirwanto*)



 Tidak memiliki hubungan keuangan dengan Dewan
 Komisaris dan Direksi.
 Has no financial relationship with the Board of
 Commissioners and Directors.

 Tidak memiliki hubungan kepengurusan dengan
 Pemegang Saham, Entitas Anak, maupun perusahaan
 afiliasi.
 Has no management relationship with Shareholders,
 Subsidiaries, or affiliated companies.

 Tidak memiliki hubungan kepemilikan saham di
 Perseroan.
 Has no shareholding relationship in the Company.

 Tidak memiliki hubungan keluarga dengan Dewan
 Komisaris, Direksi dan/atau sesama anggota Komite
 Audit.
 Has no family relationship with the Board of
 Commissioners, Board of Directors and/or fellow Audit
 Committee members.


*) Menjabat sebagai Anggota Komite Audit sampai dengan 30 Juni 2025 dan mulai menjabat sebagai Ketua Komite Audit pada tanggal 30 Juni 2025.
**) Berhenti menjabat sebagai Ketua Komite Audit pada tanggal 30 April 2025.

*)Served as a Member of the Audit Committee until June 30, 2025, and assumed the position of Chairman of the Audit Committee effective June 30, 2025.
**)Resigned from the position of Chairman of the Audit Committee on April 30, 2025.



Piagam Komite Audit                                                          Audit Committee Charter
Perseroan telah menyusun Piagam Komite Audit dengan merujuk                  The Company has established the Audit Committee Charter
pada Peraturan Otoritas Jasa Keuangan No. 55/ POJK.04/2015                   with reference to the Financial Services Authority Regulation
tentang Pembentukan dan Pelaksanaan Kerja Komite Audit.                      Number: 55/POJK.04/2015 concerning the Establishment and
                                                                             Implementation of the Audit Committee.

Tugas, Tanggung Jawab dan Wewenang                                           Duties, Responsibilities, and Authorities
Berdasarkan Piagam Komite Audit, tugas dan tanggung jawab                    Based on the Audit Committee Charter, the principal duties
utama Komite Audit dapat dijabarkan sebagai berikut:                         and responsibilities of the Audit Committee are as follows:
• Mengkaji Laporan Keuangan Perseroan.                                       • Reviewing the Company’s Financial Statements.
• Mengkaji konsistensi Perseroan terhadap peraturan dan                      • Reviewing the Company’s compliance with applicable laws
    perundangan-undangan yang berlaku.                                           and regulations.
• Melakukan penelaahan efektivitas pengendalian internal                     • Assessing the effectiveness of the Company’s internal
    dan pengelolaan risiko Perseroan.                                            control and risk management.
• Membantu Dewan Komisaris dalam menyeleksi akuntan                          • Assisting the Board of Commissioners in the selection of
    publik.                                                                      public accountants and
• Melakukan penelaahan atas kecukupan pemeriksaan yang                       • Reviewing the adequacy of audits conducted by public
    dilakukan akuntan publik.                                                    accountants.




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Dalam menunjang pelaksanaan tugas dan tanggung jawab,                                 In carrying out its duties and responsibilities, the Audit Committee
Komite Audit memiliki wewenang sebagai berikut:                                       is vested with the following authorities:
• Memiliki akses penuh terhadap semua Laporan Keuangan,                               • Full access to all Financial Statements, internal audit
    temuan audit internal, serta risalah rapat Direksi;                                    findings, and minutes of Board of Directors’ meetings;
• Berhak untuk berkomunikasi langsung dengan karyawan                                 • The right to communicate directly with employees and
    dan pihak-pihak yang terkait dengan pengelolaan risiko                                 parties related to risk management and internal control;
    dan pengendalian internal; dan                                                         and
• Melaksanakan rapat bersama manajemen, audit internal                                • The authority to hold meetings with management, internal
    dan audit eksternal.                                                                   auditors, and external auditors.

Pengembangan Kompetensi                                                               Competency Development
Perseroan memberikan fasilitas berupa program pengembangan                            The Company provides facilities in the form of competency
kompetensi bagi anggota Komite Audit, baik berupa pelatihan,                          development programs for members of the Audit Committee,
seminar, konferensi, dan workshop, agar dapat meningkatkan                            including training, seminars, conferences, and workshops, to
wawasan terkait dunia usaha dan fenomena terkini. Program                             enhance their knowledge of business practices and current
tersebut dilaksanakan sesuai dengan rencana pelaksanaan                               developments. These programs are implemented in accordance
program pengembangan kompetensi yang dimuat pada Rencana                              with the Audit Committee’s Work Plan and Budget.
Kerja dan Anggaran Komite Audit.

Berikut disajikan informasi terkait program pengembangan                              Information on competency development programs attended
kompetensi yang diikuti anggota Komite Audit di tahun 2025:                           by members of the Audit Committee in 2025 is presented in
                                                                                      the following section.


 Nama Pelatihan
 Name of Training




 PPL Pendamping PPL Wajib Akuntan Publik di Bidang Pembinaan dan Pengawasan Tahun 2025 Batch 1 dan Halal Bihalal IAPI
 Mandatory Continuing Professional Education (CPE) for Public Accountants in the Field of Guidance and Supervision, 2025 Batch 1, and IAPI Halal Bihalal (Gathering)


 PPL Pasar Modal IAPI - OJK (Update Peraturan Otoritas Jasa Keuangan (POJK) dan Penerapan Engagement Quality Control Review (EQCR) serta Peran Komunikasi/
 Konsultasi kepada Regulator dalam Rangka Mitigasi Risiko Audit)
 Capital Market CPE IAPI – Financial Services Authority/OJK (Update of Regulations of the Financial Services Authority (POJK) and the Implementation of Engagement
 Quality Control Review (EQCR), and the Role of Communication/Consultation with Regulators in Audit Risk Mitigation)


 PPL OJK IKNB -IAPI Aspek Akuntansi dan Audit serta Regulasi terkait Laporan Keuangan Fintech termasuk Fintech Syariah
 Non Bank Financial Institutions (IKNB) CPE IAPI – Financial Services Authority/OJK Accounting and Audit Aspects and Regulations related to Fintech financial statements,
 including Sharia Fintech


 PPL BANK IAPI-OJK Aspek Akuntansi dan Audit atas Transaksi Dana Pihak Ketiga, Surat Berharga Diterbitkan dan Pinjaman Diterima, Derivatif, Penyertaan, Transaksi
 Jasa Perbankan, dan Laporan L/R (untuk Bank Konvensional) serta Update Perkembangan Bank
 Banking CPE IAPI – Financial Services Authority/OJK Accounting and Audit Aspects of Third Party Fund Transactions, Issued Securities and Loans Received, Derivatives,
 Investments, Banking Service Transactions, and Profit/Loss Reports for Conventional Banks, as well as Updates on Banking Developments)


 PPL OJK Sektor IKNB Workshop PSAK 117: Kontrak Asuransi (Level Lanjutan)
 Non Bank Financial Institutions (IKNB) CPE – Financial Services Authority/OJK – Workshop IFAS (PSAK) 117: Insurance Contracts (Advanced Level)




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Kebijakan dan Pelaksanaan Rapat Komite Audit                                  Policy and Conduct of Board of Directors Meeting
Rapat Komite Audit wajib diselenggarakan setidaknya 4 kali                    In accordance with the Audit Committee Charter, the Audit
dalam setahun seperti tercantum dalam Piagam Komite Audit.                    Committee is required to convene at least 4 meetings annually.
Sepanjang tahun 2025, Komite Audit telah melaksanakan rapat                   Throughout 2025, the Audit Committee held four meetings, with
sebanyak 4 kali dengan tingkat kehadiran sebagai berikut.                     attendance levels as follows:

Tabel Kehadiran pada Rapat Komite Audit                                       Tabel Kehadiran pada Rapat Komite Audit


 Nama                             Jabatan                      Jumlah Rapat                     Kehadiran pada Rapat              Tingkat Kehadiran Rapat
 Name                             Position                  Number of Meeting(s)               Attendance at Meeting(s)           Meeting Attendance Level


                                  Ketua
 D. Andhi Nirwanto*)                                                 4                                   4                                   100
                                 Chairman

                                 Anggota
 Orias Petrus Moedak**)                                              2                                   2                                   100
                                 Member

                                 Anggota
 Budi Taufik Wibawa                                                  4                                   4                                   100
                                 Member

                                 Anggota
 Aryo Wibisono                                                       2                                   2                                   100
                                 Member

*) Menjabat sebagai Anggota Komite Audit sampai dengan 30 Juni 2025 dan mulai menjabat sebagai Ketua Komite Audit pada tanggal 30 Juni 2025.
   Served as a Member of the Audit Committee until June 30, 2025, and assumed the position of Chairman of the Audit Committee effective June 30, 2025.
**) Berhenti menjabat sebagai Ketua Komite Audit pada tanggal 30 Juni 2025.
    Resigned from the position of Chairman of the Audit Committee on April 30, 2025.

Laporan Pelaksanaan Tugas Komite Audit                                        Report on the Implementation of Audit Committee Duties
Dalam rangka menjalankan fungsi pengawasan sebagaimana                        In carrying out its oversight function as stipulated in the Audit
diatur dalam Piagam Komite Audit dan peraturan perundang-                     Committee Charter and applicable laws and regulations,
undangan yang berlaku, Komite Audit Perseroan telah                           the Company’s Audit Committee performed its duties and
melaksanakan tugas dan tanggung jawabnya sepanjang tahun                      responsibilities throughout 2025. The report on the implementation
2025. Laporan pelaksanaan tugas Komite Audit selama tahun                     of the Audit Committee’s duties for the fiscal year 2025 is as
buku 2025 adalah sebagai berikut:                                             follows:

1.   Pengawasan Pelaporan Keuangan                                            1.   Oversight of Financial Reporting
     Komite Audit telah melakukan penelaahan terhadap laporan                      The Audit Committee reviewed the Company’s financial
     keuangan Perseroan untuk tahun yang berakhir pada 31                          statements for the year ended December 31, 2024, including:
     Desember 2024, yang meliputi:
     • Penelaahan laporan keuangan triwulanan (Triwulan                            • Review of quarterly financial statements (Q1–Q4) prior
        I – IV) sebelum dipublikasikan kepada publik                                  to public disclosure
     • Penelaahan laporan keuangan tahunan audited bersama                         • Review of audited annual financial statements together
        Auditor Eksternal                                                             with the External Auditor
     • Evaluasi konsistensi penerapan kebijakan akuntansi                          • Evaluation of consistency in the application of accounting
        dan estimasi manajemen                                                        policies and management estimates
     • Pembahasan isu-isu pelaporan keuangan yang signifikan                       • Discussion of significant financial reporting issues with
        dengan Direksi dan Auditor Eksternal                                          the Board of Directors and the External Auditor
     Komite Audit berkesimpulan bahwa laporan keuangan                             The Audit Committee concluded that the Company’s
     Perseroan telah disajikan secara wajar sesuai dengan                          financial statements were fairly presented in accordance
     Standar Akuntansi Keuangan yang berlaku di Indonesia.                         with prevailing Indonesian Financial Accounting Standards.

2.   Pengawasan Audit Eksternal                                               2.   Oversight of External Audit
     Komite Audit telah melakukan evaluasi terhadap kinerja                        The Audit Committee evaluated the performance of the
     Kantor Akuntan Publik (KAP) Paul Hadiwinata, Hidajat,                         Public Accounting Firm (KAP) Paul Hadiwinata, Hidajat,
     Arsono, Retno, Palilingan & Rekan selaku Auditor Eksternal                    Arsono, Retno, Palilingan & Rekan as the Company’s
     Perseroan, mencakup:                                                          External Auditor, covering:
     • Evaluasi independensi, kompetensi, dan objektivitas                         • Evaluation of independence, competence, and objectivity
        Auditor Eksternal                                                             of the External Auditor
     • Penelaahan ruang lingkup dan rencana audit tahunan                          • Review of the scope and annual audit plan
     • Pembahasan temuan audit dan rekomendasi manajemen                           • Discussion of audit findings and management letter
        letter                                                                        recommendations
     • Evaluasi kinerja Auditor Eksternal secara keseluruhan                       • Overall evaluation of the External Auditor’s performance
     Komite Audit merekomendasikan kepada Dewan Komisaris                          The Audit Committee recommended to the Board of
     untuk mengusulkan Kantor Akuntan Publik (KAP) Paul                            Commissioners to propose the reappointment of KAP Paul
     Hadiwinata, Hidajat, Arsono, Retno, Palilingan & Rekan                        Hadiwinata, Hidajat, Arsono, Retno, Palilingan & Rekan to
     kembali kepada RUPS.                                                          the GMS.



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3.   Pengawasan Audit Internal                                     3.   Oversight of Internal Audit
     Komite Audit secara aktif melakukan koordinasi dengan              The Audit Committee actively coordinated with the Company’s
     Satuan Pengawasan Intern (SPI) Perseroan, antara lain:             Internal Audit Unit (SPI), including:
     • Penelaahan dan persetujuan rencana kerja audit internal          • Review and approval of the 2024 annual internal audit
       tahunan 2024                                                        work plan
     • Pemantauan realisasi rencana kerja dan tindak lanjut             • Monitoring of work plan realization and follow-up of
       temuan audit internal                                               internal audit findings
     • Evaluasi efektivitas fungsi audit internal                       • Evaluation of the effectiveness of the internal audit
     • Pembahasan laporan hasil audit internal yang signifikan             function
                                                                        • Discussion of significant internal audit reports

4.   Pengawasan Manajemen Risiko dan Pengendalian Internal         4.   Oversight of Risk Management and Internal Control
     Komite Audit telah menelaah efektivitas sistem pengendalian        The Audit Committee reviewed the effectiveness of the
     internal dan manajemen risiko Perseroan, termasuk                  Company’s internal control and risk management systems,
     memastikan kecukupan kebijakan dan prosedur yang                   including ensuring the adequacy of applicable policies
     berlaku serta tindak lanjut atas kelemahan pengendalian            and procedures as well as follow-up on identified control
     yang teridentifikasi.                                              weaknesses.

5.   Pengawasan Kepatuhan                                          5.   Oversight of Compliance
     Komite Audit telah memantau kepatuhan Perseroan                    The Audit Committee monitored the Company’s compliance
     terhadap peraturan perundang-undangan yang berlaku,                with applicable laws and regulations, including capital
     termasuk peraturan di bidang pasar modal, perpajakan,              market, taxation, and industry regulations. No material
     dan regulasi industri. Tidak terdapat pelanggaran material         violations were identified during 2024.
     yang ditemukan sepanjang tahun 2024.

6.   Pengawasan Benturan Kepentingan dan Transaksi Afiliasi        6.   Oversight of Conflict of Interest and Affiliated Transactions
     Komite Audit telah menelaah setiap transaksi yang                  The Audit Committee reviewed transactions with potential
     berpotensi menimbulkan benturan kepentingan dan transaksi          conflicts of interest and material affiliated transactions,
     afiliasi yang material, serta memastikan kewajaran dan             ensuring fairness and compliance with prevailing regulations
     kesesuaiannya dengan ketentuan OJK yang berlaku.                   of the Financial Services Authority (OJK).




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Komite Nominasi, Remunerasi, dan GCG
Nomination, Remuneration, and GCG Committee


Komite Nominasi, Remunerasi, dan GCG memiliki tugas            The Nomination, Remuneration, and GCG Committee is tasked
untuk mendukung Dewan Komisaris guna menjalankan fungsi        with supporting the Board of Commissioners in carrying out its
pengawasan terkait nominasi dan remunerasi Dewan Komisaris     oversight function related to the nomination and remuneration
dan Direksi. Pengawasan dalam penerapan GCG di seluruh unit    of the Board of Commissioners and the Board of Directors.
Perseroan agar berjalan secara efektif juga menjadi bagian     Oversight of the implementation of Good Corporate Governance
dari tugas utama yang diemban Komite ini.                      (GCG) across all Company units to ensure effectiveness also
                                                               forms part of the Committee’s core responsibilities.

Komposisi                                                      Composition
Surat Keputusan Dewan Komisaris No. RR/DEKOM/29.107/           The composition of the Nomination, Remuneration, and GCG
IX/2022 tanggal 29 Agustus 2022 mengatur Komposisi Komite      Committee is regulated under the Decree of the Board of
Nominasi, Remunerasi, dan GCG. Surat Keputusan juga mengatur   Commissioners Number: RR/DEKOM/29.107/IX/2022 dated
masa jabatan yang berakhir berdasarkan hasil evaluasi dari     August 29, 2022. The Decree also stipulates that the term of
Dewan Komisaris. Adapun pihak yang menjadi anggota komite      office shall conclude based on the evaluation conducted by the
dipandang telah memenuhi kriteria yang ditetapkan Perseroan.   Board of Commissioners. Members appointed to the Committee
                                                               are deemed to have met the criteria established by the Company.

Pada tahun 2025, terdapat pergantian keanggotaan Komite        In 2025, there was a change in the membership of the Nomination,
Nominasi, Remunerasi dan GCG sebagai berikut:                  Remuneration, and GCG Committee, as detailed below:




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1 Januari 2025 -30 Juni 2025                                     January 1, 2025-June 30, 2025


 Nama                                                                    Jabatan
 Name                                                                    Position



                                                                         Ketua
 Rachmat Gobel
                                                                        Chairman

                                                                        Anggota
 M. Arsjad Rasjid PM
                                                                        Member

                                                                        Anggota
 Riza Ichsan Fahriza
                                                                        Member


1 Juli 2025-31 Desember 2025                                     July, 1 2025-December, 31 2025


 Nama                                                                    Jabatan
 Name                                                                    Position



                                                                         Ketua
 Rachmat Gobel
                                                                        Chairman

                                                                        Anggota
 M. Arsjad Rasjid PM
                                                                        Member

                                                                        Anggota
 Guruh Wijaya S.
                                                                        Member




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Sehingga susunan Komite Nominasi, Remunerasi, dan GCG                            Therefore, the composition of the Nomination, Remuneration,
adalah sebagai berikut:                                                          and GCG Committee is as follows:

Susunan Komite Nominasi, Remunerasi, dan GCG per 31                              Composition of the Nomination, Remuneration, and GCG
Desember 2025                                                                    Committee as of December 31, 2025


 Jabatan                                Nama                   Dasar Pengangkatan                     Masa Jabatan                           Periode
 Position                               Name                   Basis of Appointment                   Term of Office                         Period


 Ketua Komite Nominasi,
 Remunerasi, dan GCG/
 Komisaris Independen                                No. RR/Dekom/29.107/IX/2022 Tanggal 29    2022-Hasil Evaluasi Dewan
 The Nomination,                                                 Agustus 2022                          Komisaris
                                   Rachmat Gobel                                                                                               2
 Remuneration, and                                   Number: RR/Dekom/29.107/IX/2022 dated    2022-Board of Commissioners
 GCG Committee                                                  August 22, 2022                    Evaluation Results
 Chairman/ Independent
 Commissioner

 Anggota Komite
 Nominasi, Remunerasi,
                                                     No. RR/Dekom/29.107/IX/2022 Tanggal 29    2022-Hasil Evaluasi Dewan
 dan GCG/Komisaris
                                                                 Agustus 2022                          Komisaris
 The Nomination,              M. Arsjad Rasjid PM                                                                                              3
                                                     Number: RR/Dekom/29.107/IX/2022 dated    2022-Board of Commissioners
 Remuneration, and GCG
                                                                August 22, 2022                    Evaluation Results
 Committee Member /
 Commissioner

 Anggota Komite
 Nominasi, Remunerasi,                               No. RR/Dekom/01.177/VII/2025 Tanggal 1    2025-Hasil Evaluasi Dewan
 dan GCG                                                           Juli 2025                           Komisaris
                                   Guruh Wijaya S.                                                                                             1
 The Nomination,                                     Number: RR/Dekom/01.177/VII/2025 dated   2025-Board of Commissioners
 Remuneration, and GCG                                            July 1, 2025                     Evaluation Results
 Committee Member




     Profil Anggota Komite Nominasi, Remunerasi, dan GCG
     Profile of the Nomination, Remuneration, and GCG Committee Members

     Rachmat Gobel                                                               M. Arsjad Rasjid PM
     Ketua Komite Nominasi, Remunerasi, dan GCG/Komisaris                        Anggota Komite Nominasi, Remunerasi, dan GCG/
     Independen                                                                  Komisaris
     The Nomination, Remuneration, and GCG Committee                             The Nomination, Remuneration, and GCG Committee
     Chairman/ Independent Commissioner                                          Member/Commissioner

     Profil Ketua Komite Nominasi, Remunerasi, dan GCG                           Profil Ketua Komite Nominasi, Remunerasi, dan GCG
     Rachmat Gobel dapat dilihat pada bagian Profil Dewan                        M. Arsjad Rasjid PM dapat dilihat pada bagian Profil
     Komisaris, dalam bab Profil Perusahaan.                                     Dewan Komisaris, dalam bab Profil Perusahaan.

     The profile the Nomination, Remuneration, and GCG                           The profile the Nomination, Remuneration, and GCG
     Committee Chairman, Rachmat Gobel, can be found in                          Committee Chairman, M. Arsjad Rasjid PM, can be
     the Board of Commissioners’ Profile section within the                      found in the Board of Commissioners’ Profile section
     Company Profile chapter.                                                    within the Company Profile chapter.




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                                                                               Guruh Wijaya S.
                                                                               Anggota Komite Nominasi, Remunerasi, dan GCG
                                                                               Nomination, Remuneration, and GCG Committee Member

                                                                               Periode Jabatan: (1 July 2025-31 Desember 2025)
                                                                               Term of Office : (July 1, 2025-December 31, 2025)

                                                                               Warga negara Indonesia | Indonesian citizen
                                                                               Usia 42 tahun | 42 years old




 Domisili                                      Tanggerang Selatan, Banten
 Domicile                                      South Tanggerang, Banten

 Pendidikan                                    Sarjana Manajemen, Universitas Gadjah Mada
 Education                                     Bachelor of Management, Universitas Gadjah Mada

 Riwayat Profesi                                •     AVP (Assistant Vice President) of Organizational Development & HR Business Partner PT
 Professional Experience                              Global Digital Niaga Tbk (2018-2024)
                                                •     Head of Human Resources Town Square Group (2017-2018)
                                                •     Human Resources Manager Kompas Gramedia (2013-2017)
                                                •     Organization Development & Talent Management Superintendent (2013-2013)
                                                •     Human Capital Strategic Specialist FIF Astra (2012-2013)
                                                •     Representative Head FIF Astra (2008-2012)
                                                •     MT Astra International (2007-2008)

 Rangkap Jabatan                               Manajer Sumber Daya Manusia Perseroan
 Concurrent Position(s)                        Human Resources Manager of the Company




 Riza Ichsan Fahriza                                                        Periode Jabatan: (1 Januari 2025-30 Juni 2025)
 Anggota Komite Nominasi, Remunerasi, dan GCG                               Term of Office : (January 1, 2025-June, 30 2025)
 Nomination, Remuneration, and GCG Committee Member
                                                                            Warga negara Indonesia | Indonesian citizen
                                                                            Usia 44 tahun | 44 years old




 Domisili                                      DKI Jakarta, Indonesia
 Domicile                                      Special Capital Region of Jakarta, Indonesia

 Pendidikan                                    •     Magister Hukum bidang Bisnis, Universitas Indonesia
 Education                                     •     Sarjana Hukum bidang Bisnis, Universitas Trisakti
                                               •     Master of Law in Business, University of Indonesia
                                               •     Bachelor of Law in Business, Trisakti University

 Riwayat Profesi                               •     Corporate Affairs dan Corporate Communication PT Indika Energy Tbk (2012-2014)
 Professional Experience                       •     Corporate Affairs dan Corporate Communication PT Lion Super Indo (2011-2012)
                                               •     Corporate Affairs and Corporate Communication PT Indika Energy Tbk (2012-2014)
                                               •     Corporate Affairs and Corporate Communication PT Lion Super Indo (2011-2012)

 Rangkap Jabatan                               •     CEO PT Indika Energy Tbk (sejak 2015)
 Concurrent Position(s)                        •     Direktur PT Cakrabuana Ventura Indonesia (sejak 2015)
                                               •     CEO of PT Indika Energy Tbk (since 2015)
                                               •     Director of PT Cakrabuana Ventura Indonesia (since 2015)




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Independensi Komite Nominasi, Remunerasi, dan GCG                                        Independence of Nomination, Remuneration, and GCG Committee
Independensi Komite Nominasi, Remunerasi, dan GCG Perseroan                              The Independence of Nomination, Remuneration, and GCG
dapat dilihat pada tabel berikut:                                                        Committee can be found in the following table:


Tabel Pemenuhan Aspek Independensi Komite Nominasi,                                      Table of Independence Compliance of Nomination, Remuneration,
Remunerasi, dan GCG                                                                      and GCG Committee



    Aspek Independensi                                                                                             M. Arsjad Rasjid                        Riza Ichsan
                                                                                                   Rachmat Gobel                    Guruh Wijaya S.*)
    Independence Aspects                                                                                                 PM                                Fahriza**)



    Tidak memiliki hubungan keuangan dengan Dewan Komisaris dan Direksi.
    Has no financial relationship with the Board of Commissioners and Directors.


    Tidak memiliki hubungan kepengurusan dengan Pemegang Saham, Entitas Anak, maupun
    perusahaan afiliasi.
    Has no management relationship with Shareholders, Subsidiaries, or affiliated companies.


    Tidak memiliki hubungan kepemilikan saham di Perseroan.
    Has no management relationship with Shareholders, Subsidiaries, or affiliated companies

    Tidak memiliki hubungan keluarga dengan Dewan Komisaris, Direksi dan/atau sesama
    anggota Komite Audit.
    Has no family relationship with the Board of Commissioners, Board of Directors and/or fellow
    Audit Committee members.


*) Mulai menjabat sebagai Anggota Komite Nominasi, Remunerasi, dan GCG pada tanggal 1 Juli 2025.
  Served as the Nomination, Remuneration, and GCG Committee Member since July, 1 2025.
**) Berhenti menjabat sebagai Ketua Komite Nominasi, Remunerasi, dan GCG pada tanggal 30 Mei 2025.
   Resigned from the Nomination, Remuneration, and GCG Committee Chairman since May 30, 2025.

Pedoman                                                                                  Guidelines
Adapun Komite Nominasi, Remunerasi, dan GCG berpedoman                                   The Nomination, Remuneration, and GCG Committee operates
pada Peraturan Otoritas Jasa Keuangan No. 34/POJK.04/2014                                in accordance with the Financial Services Authority Regulation
tentang Komite Nominasi dan Remunerasi.                                                  Number: 34/POJK.04/2014 concerning the Nomination and
                                                                                         Remuneration Committee.

Tugas dan Tanggung Jawab                                                                 Duties and Responsibilities
Berdasarkan Piagam Komite Nominasi, Remunerasi, dan GCG,                                  Based on the Charter of the Nomination, Remuneration,
tugas dan tanggung jawab utama Komite Nominasi, Remunerasi,                              and GCG Committee, the Committee’s principal duties and
dan GCG adalah sebagai berikut:                                                          responsibilities are as follows:
• Memberikan rekomendasi terkait komposisi jabatan dan                                   • Providing recommendations on the composition of positions
    kebijakan proses nominasi anggota Dewan Komisaris dan                                    and policies related to the nomination process for members
    Direksi.                                                                                 of the Board of Commissioners and the Board of Directors.
• Melakukan penilaian kinerja Dewan Komisaris dan Direksi.                               • Conducting performance evaluations of the Board of
                                                                                             Commissioners and the Board of Directors.
•       Memberikan rekomendasi terkait pengembangan kompetensi                           • Providing recommendations on competency development
        Dewan Komisaris dan Direksi.                                                         for the Board of Commissioners and the Board of Directors.
•       Memberikan rekomendasi terkait struktur, kebijakan, dan                          • Providing recommendations on the structure, policies, and
        besaran remunerasi Dewan Komisaris dan Direksi.                                      amount of remuneration for the Board of Commissioners
                                                                                             and the Board of Directors.
•       Melakukan penelaahan atas penerapan prinsip- prinsip                             •   Reviewing the implementation of Good Corporate Governance
        GCG dan standar etika di Perseroan.                                                  (GCG) principles and ethical standards within the Company.

Pengembangan Kompetensi                                                                  Competency Development
Perseroan memberikan fasilitas berupa program pengembangan                               The Company facilitates competency development programs
kompetensi bagi anggota Komite Nominasi, Remunerasi,                                     for members of the Nomination, Remuneration, and GCG
dan GCG, baik berupa pelatihan, seminar, konferensi, dan                                 Committee, including training, seminars, conferences, and
workshop, agar dapat meningkatkan wawasan terkait dunia                                  workshops, to broaden their knowledge of business practices
usaha dan fenomena terkini. Program tersebut dilaksanakan                                and current developments. These programs are implemented
sesuai dengan rencana pelaksanaan program pengembangan                                   in line with the competency development plan set forth in the
kompetensi yang dimuat pada Rencana Kerja dan Anggaran                                   Committee’s Work Plan and Budget.
Komite Nominasi, Remunerasi, dan GCG.

Berikut disajikan informasi terkait program pengembangan                                 The following information presents the competency development
kompetensi yang diikuti anggota Komite Nominasi, Remunerasi,                             programs attended by members of the Nomination, Remuneration,
dan GCG di tahun 2025:                                                                   and GCG Committee in 2025:


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 Nama                              Nama Pelatihan                              Tanggal Pelatihan         Penyelenggara
 Name                              Name of Training                             Date of Training         Organizer(s)


                                                                                                        Kementerian ESDM
                                   HC Summit 2025                                     2025
                                                                                                        Ministry of Energy and Mineral Resources

                                   Downstream Talent Pipeline &                                         SKK Migas
 Guruh Wijaya S                                                                       2025
                                   Future Professionals Alignment                                       SKK Migas

                                                                                                        Linkedin Asia Pasific
                                   Linkedin Recruit-A-Thon                            2025
                                                                                                        LinkedIn Asia Pacific



Kebijakan dan Pelaksanaan Rapat Komite Nominasi, Remunerasi,                     Policy and Conduct of Nomination, Remuneration, and GCG
dan GCG                                                                          Committee Meetings
Rapat Komite Nominasi, Remunerasi, dan GCG wajib                                 The Nomination, Remuneration, and GCG Committee is
diselenggarakan setidaknya 3 kali dalam setahun. Pada                            required to convene at least three meetings annually. In 2025,
tahun 2025, Komite Nominasi, Remunerasi, dan GCG telah                           the Committee held a total of 4 meetings, with attendance
melaksanakan rapat sebanyak 4 kali dengan tingkat kehadiran                      levels as follows:
sebagai berikut.
Tabel Kehadiran pada Rapat Komite Nominasi, Remunerasi,                          Table of Attendance at Nomination, Remuneration, and GCG
dan GCG                                                                          Meetings


 Nama                              Jabatan                        Jumlah Rapat                      Kehadiran pada Rapat            Tingkat Kehadiran Rapat
 Name                              Position                    Number of Meeting(s)                Attendance at Meeting(s)         Meeting Attendance Level


                                  Ketua
 Rachmat Gobel                                                          4                                    4                                100
                                 Chairman

                                 Anggota
 M. Arsjad Rasjid PM                                                    4                                    4                                100
                                 Member

                                 Anggota
 Guruh Wijaya S.*)                                                      2                                    2                                100
                                 Member

                                 Anggota
 Riza Ichsan Fahriza**)                                                 2                                    2                                100
                                 Member

*) Mulai menjabat sebagai Anggota Komite Nominasi, Remunerasi, dan GCG pada tanggal 1 Juli 2025.
  Served as the Nomination, Remuneration, and GCG Committee Member since July 1, 2025.
**) Berhenti menjabat sebagai Ketua Komite Nominasi, Remunerasi, dan GCG pada tanggal 31 Mei 2025.
   Resigned from the Nomination, Remuneration, and GCG Committee Chairman since May 31, 2025


Laporan Pelaksanaan Tugas Komite Nominasi, Remunerasi,                           Report on the Implementation of Duties of Nomination,
dan GCG                                                                          Remuneration, and GCG Committee
Komite Nominasi, Remunerasi, dan GCG merupakan komite                            The Nomination, Remuneration, and GCG Committee is a
di bawah Dewan Komisaris yang dibentuk untuk mendukung                           committee under the Board of Commissioners established to
pelaksanaan tugas dan tanggung jawab Dewan Komisaris                             support the execution of the Board’s duties and responsibilities
dalam hal pengawasan kebijakan nominasi, remunerasi, serta                       in overseeing policies related to nomination, remuneration,
penerapan prinsip Tata Kelola Perusahaan yang Baik (Good                         and the implementation of Good Corporate Governance (GCG).
Corporate Governance/GCG).

Pada tahun 2025, Komite telah melaksanakan tugas dan                             In 2025, the Committee carried out its duties and responsibilities
tanggung jawabnya sesuai dengan ketentuan yang berlaku                           in accordance with prevailing regulations and the Committee
dan Piagam Komite. Adapun uraian pelaksanaan tugas Komite                        Charter. The implementation report of the Committee’s duties
selama tahun 2025 adalah sebagai berikut:                                        for fiscal year 2025 is as follows:

1.   Fungsi Nominasi                                                             1.     Nomination Function
     • Evaluasi Komposisi Dewan: Melakukan penelaahan berkala                           • Board Composition Evaluation: Conducting periodic
       atas komposisi, ukuran, dan efektivitas struktur Direksi                           reviews of the composition, size, and effectiveness of
       dan Dewan Komisaris guna memastikan keseimbangan                                   the Board of Directors and Board of Commissioners to
       kompetensi yang dibutuhkan Perseroan.                                              ensure a balanced mix of competencies required by the
                                                                                          Company.
     • Proses Suksesi: Menyusun dan mengevaluasi kebijakan                              • Succession Process: Developing and evaluating succession
       suksesi serta kriteria seleksi bagi anggota Direksi dan                            policies and selection criteria for members of the Board
       Dewan Komisaris untuk menjamin keberlangsungan                                     of Directors and Board of Commissioners to ensure
       kepemimpinan jangka panjang.                                                       long‑term leadership continuity.



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     • Rekomendasi Calon: Memberikan rekomendasi mengenai                 • Candidate Recommendations: Providing recommendations
       calon anggota Direksi dan/atau Dewan Komisaris kepada                on prospective members of the Board of Directors and/or
       Dewan Komisaris untuk disampaikan dalam Rapat Umum                   Board of Commissioners to the Board of Commissioners
       Pemegang Saham (RUPS).                                               for submission to the General Meeting of Shareholders
                                                                            (GMS).

2.   Fungsi Remunerasi                                               2.   Remuneration Function
     • Evaluasi Kebijakan Remunerasi: Melakukan kaji ulang                • Remuneration Policy Evaluation: Reviewing the structure,
       terhadap struktur, prosedur, dan besaran remunerasi                  procedures, and levels of remuneration for the Board
       bagi Direksi dan Dewan Komisaris agar tetap kompetitif               of Directors and Board of Commissioners to remain
       secara industri namun tetap memperhatikan kinerja                    competitive within the industry while considering the
       keuangan Perseroan.                                                  Company’s financial performance.
     • Penetapan Bonus dan Tantiem: Memberikan masukan                    • Bonus and Tantiem Determination: Providing input on
       terkait pemberian insentif, bonus, atau tantiem berdasarkan          incentives, bonuses, or tantiem based on the achievement
       pencapaian Key Performance Indicators (KPI) yang telah               of Key Performance Indicators (KPIs) established at the
       ditetapkan di awal tahun buku.                                       beginning of the fiscal year.

3.   Fungsi Tata Kelola Perusahaan (GCG)                             3.   Corporate Governance (GCG) Function
     • Pemutakhiran Pedoman GCG: Melakukan peninjauan                     • See Updating GCG Guidelines: Reviewing the Board
       terhadap Board Manual, Pedoman Perilaku (Code                        Manual, Code of Conduct, and Committee Charters to
       of Conduct), dan Piagam Komite guna memastikan                       ensure alignment with the latest regulations issued by
       keselarasan dengan regulasi terbaru dari Otoritas Jasa               the Financial Services Authority (OJK).
       Keuangan (OJK).
     • Self-Assessment GCG: Mengawasi pelaksanaan penilaian               • GCG Self‑Assessment: Overseeing the implementation
       mandiri (self-assessment) atas penerapan GCG dan                     of self‑assessments on GCG practices and monitoring
       memantau tindak lanjut atas area yang memerlukan                     follow‑up actions on areas requiring improvement.
       perbaikan.
     • Internalisasi Budaya Perusahaan: Memantau efektivitas              • Corporate Culture Internalization: Monitoring the
       sosialisasi kebijakan anti-korupsi, sistem pelaporan                 effectiveness of anti‑corruption policy dissemination,
       pelanggaran (Whistleblowing System), dan mitigasi                    the Whistleblowing System, and conflict‑of‑interest
       benturan kepentingan di seluruh level organisasi.                    mitigation across all organizational levels.


Sekretaris Perusahaan
Corporate Secretary

Sekretaris Perusahaan mempunyai fungsi untuk mendukung               The Corporate Secretary functions to support the performance
kinerja Direksi. Tugas dan tanggung jawab Sekretaris Perusahaan      of the Board of Directors. The duties and responsibilities of the
di antaranya adalah menjalin komunikasi internal dan eksternal,      Corporate Secretary include maintaining internal and external
mengelola hubungan investor, mengurusi kesekretariatan               communication, managing investor relations, handling executive
pimpinan, serta memastikan kepatuhan Perusahaan terhadap             secretarial matters, and ensuring the Company’s compliance
peraturan perundang-undangan yang berlaku.                           with prevailing laws and regulations.

Pedoman Kerja                                                        Working Guidelines
Pedoman kerja Sekretaris Perusahaan tertuang dalam Anggaran          The working guidelines of the Corporate Secretary are stipulated
Dasar yang disusun berdasarkan Peraturan Otoritas Jasa               in the Articles of Association, which were prepared in accordance
Keuangan No. 35/POJK.04/2014 tentang Sekretaris Perusahaan           with the Financial Services Authority Regulation Number: 35/
Emiten atau Perusahaan Publik.                                       POJK.04/2014 concerning Corporate Secretaries of Issuers or
                                                                     Public Companies.

Profil Pejabat Sekretaris Perusahaan                                 Profile of the Corporate Secretary
Berdasarkan Surat Keputusan Direksi tanggal 1 Desember               Based on the Decree of the Board of Directors dated December
2020, Direksi Perseroan mengangkat Yuni Pattinasarani                1, 2020, the Company’s Board of Directors appointed Ms. Yuni
sebagai Sekretaris Perusahaan, dengan masa jabatan yang              Pattinasarani as Corporate Secretary, with her term of office to
akan berakhir sesuai dengan hasil evaluasi dari Direksi. Berikut     conclude subject to evaluation by the Board of Directors. The
profil Sekretaris Perusahaan.                                        profile of the Corporate Secretary is presented below.




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                                                                                Yuni Pattinasarani
                                                                                Sekretaris Perusahaan
                                                                                Corporate Secretary

                                                                                Periode Jabatan: Menjabat sejak 2020
                                                                                Term of Office : Has served since 2020

                                                                                Warga negara Indonesia | Indonesian citizen
                                                                                Usia 38 tahun | 38 years old




 Domisili                                      DKI Jakarta, Indonesia
 Domicile                                      Special Capitol Region of Jakarta, Indonesia

 Dasar Hukum Pengangkatan                      Surat Keputusan Direksi tanggal 1 Desember 2020
 Legal Basis of Appointment                    (2020-berakhir berdasarkan hasil evaluasi dari Direksi).
                                               Board of Directors Decree dated December 1, 2020
                                               (2020-ended based on the Board of Directors evaluation results).

 Pendidikan                                    Sarjana Hukum bidang Perdata, Universitas Pancasila (2008)
 Education                                     Bachelor of Law in Civil Affairs, Pancasila University (2008

 Riwayat Profesi                               •     Corporate Secretary Assistant PT Dyandra Media International Tbk (2014-2019)
 Professional Experience                       •     Legal Assistant Manager PT Dyandra Media International Tbk (2010-2014)
                                               •     Junior Associates (Adisuryo & Co) (2010)
                                               •     Legal Staff PT Surya Darma Perkasa (2008-2010)
                                               •     Corporate Secretary Assistant of PT Dyandra Media International Tbk (2014-2019)
                                               •     Legal Assistant Manager of PT Dyandra Media International Tbk (2010-2014)
                                               •     Junior Associates (Adisuryo & Co) (2010)
                                               •     Legal Staff of PT Surya Darma Perkasa (2008-2010)

 Rangkap Jabatan                               Tidak memiliki rangkap jabatan di dalam dan di luar Perseroan
 Concurrent Position(s)                        Has no concurrent positions inside and outside the Company

 Hubungan Afiliasi                             Tidak memiliki hubungan keuangan, kepengurusan, dan kekeluargaan dengan anggota Dewan
 Affiliated Relationship                       Komisaris lainnya, anggota Direksi, serta Pemegang Saham Utama dan Pengendali.
                                               Has no financial, management, and family relationships with other members of the Board of
                                               Commissioners, members of the Board of Directors, and Major and Controlling Shareholders


Tugas dan Tanggung Jawab                                                   Duties and Responsibilities
Sekretaris Perusahaan mempunyai tugas dan tanggung jawab                   The Corporate Secretary has the following duties and
sebagai berikut:                                                           responsibilities:

a.   Mengikuti perkembangan pasar modal, khususnya peraturan               a. Monitoring developments in the capital market, particularly
     perundang-undangan yang berlaku di bidang pasar modal.                    applicable laws and regulations in the capital market sector.
b.   Memberikan masukan kepada Dewan Komisaris dan                         b. Providing input to the Board of Commissioners and the
     Direksi terkait kepatuhan pada ketentuan peraturan dan                    Board of Directors regarding compliance with capital
     perundang-undangan di bidang pasar modal.                                 market laws and regulations.
c.   Membantu Dewan Komisaris dan Direksi dalam pelaksanaan                c. Assisting the Board of Commissioners and the Board
     tata kelola perusahaan yang baik.                                         of Directors in the implementation of Good Corporate
                                                                               Governance (GCG).
d.   Sebagai penghubung antara Perseroan dengan Pemegang                   d. Acting as a liaison between the Company and Shareholders,
     Saham, regulator, dan pemangku kepentingan lainnya.                       regulators, and other stakeholders.

Pengembangan Kompetensi Sekretaris Perusahaan                              Competency Development of the Corporate Secretary
Perusahaan menyediakan fasilitas bagi Sekretaris Perusahaan                The Company provides facilities for the Corporate Secretary to
untuk mengikuti program pengembangan kompetensi. Program                   participate in competency development programs, including
pengembangan kompetensi berupa pelatihan, seminar, konferensi,             training, seminars, conferences, and workshops. These programs
dan workshop. Tujuannya untuk memperluas wawasan tentang                   aim to broaden knowledge of business developments and current
perkembangan dunia usaha. Program tersebut dilaksanakan                    trends. The programs are implemented in accordance with
dengan mengacu pada rencana pelaksanaan program                            the competency development plan set forth in the Corporate
pengembangan kompetensi, yang dimuat pada rencana Kerja                    Secretary’s Work Plan and Budget.
dan Anggaran Sekretaris Perusahaan.


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Berikut disajikan informasi terkait program pengembangan                             The following information presents the competency development
kompetensi yang diikuti Sekretaris Perusahaan di tahun 2025:                         programs attended by the Corporate Secretary in 2025:



 Nama Pelatihan                                                                                            Tanggal Pelatihan                Penyelenggara
 Name of Training                                                                                           Date of Training                 Organizer(s)


 Penyegaran POJK 15/ POJK.04/2022 tentang Pemecahan Saham dan Penggabungan Saham oleh                                                 Asosiasi Emiten Indonesia
 Perusahaan Terbuka                                                                                                                              (AEI)
                                                                                                            23 Januari 2025
 The refreshment of Regulation of the Financial Services Authority (OJK) Number: 15/POJK.04/2022                                    Indonesian Issuers Association
 concerning Share Split and Share Merger by Public Companies                                                                                     (AEI)

 Sosialisasi POJK 45/2024 tentang Pengembangan dan Penguatan Emiten dan Perusahaan Publik.
 Dissemination of Regulation of the Financial Services Authority (OJK) Number: 45/2024 concerning the       6 Februari 2025                      OJK
 Development and Strengthening of Issuers and Public Companies

 ESG disclosures: Why and How Should Companies Identify Nature-related Risks and Opportunities?             18 Februari 2025                      BEI

 Introductory to Investor Relations                                                                        25 September 2025          Esente Indonesia dan BEI

 Strategic Funding with Sukuk: Preparing for 2026 Opportunities                                             5 November 2025                       BEI

                                                                                                                                     OJK, ASEAN Capital Markets
 Workshop dan ACMF-ICAEW Joint Workshop for Corporate Preparers                                                                     Forum (ACMF) & International
                                                                                                            4 November 2025
 Workshop and ACMF-ICAEW Joint Workshop for Corporate Preparers                                                                     Financial Reporting Standards
                                                                                                                                          (IFRS) Foundation)

 Sosialisasi Regulasi dan Sistem Pelaporan Perubahan Kepemilikan Saham
                                                                                                           19 Desember 2025                      OJK
 The dissemination of regulations and reporting system for changes in share ownership

 Fundamental Leadership Program                                                                         5 Juni 2025-11 September
                                                                                                                                            Dale Carnegie
 Fundamental Leadership Program                                                                                    2025



Uraian Singkat Pelaksanaan Tugas Sekretaris Perusahaan                               Brief Description of the Implementation of Duties of Corporate
pada Tahun 2025                                                                      Secretary in 2025
Sekretaris Perusahaan memiliki peran strategis sebagai                               The Corporate Secretary plays a strategic role as a liaison
penghubung antara Perseroan dengan para pemangku                                     between the Company and its stakeholders, including regulators,
kepentingan, termasuk regulator, investor, pemegang saham,                           investors, shareholders, and the public. Throughout 2025, the
dan masyarakat umum. Sepanjang tahun 2025, Sekretaris                                Corporate Secretary carried out its duties and responsibilities
Perusahaan telah menjalankan tugas dan tanggung jawabnya                             in accordance with the Financial Services Authority Regulation
sesuai dengan ketentuan POJK No. 35/POJK.04/2014 tentang                             Number: 35/POJK.04/2014 concerning Corporate Secretaries




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Sekretaris Perusahaan Emiten atau Perusahaan Publik,                 of Issuers or Public Companies, as follows:
sebagai berikut:

1.   Penyelenggaraan Rapat Umum Pemegang Saham (RUPS):               1.   Organization of General Meetings of Shareholders (GMS):
     Memastikan seluruh tahapan penyelenggaraan RUPS Tahunan              Ensuring that all stages of both Annual and Extraordinary
     maupun RUPS Luar Biasa berjalan sesuai regulasi, mulai               GMS are conducted in compliance with regulations, from
     dari penyampaian pemberitahuan agenda, pemanggilan                   the delivery of agenda notifications and shareholder
     pemegang saham, hingga pelaporan risalah rapat kepada                invitations to the timely submission of meeting minutes
     otoritas terkait tepat waktu.                                        to the relevant authorities.
2.   Kepatuhan terhadap Peraturan Pasar Modal: Memantau              2.   Compliance with Capital Market Regulations: Monitoring the
     kepatuhan Perseroan terhadap peraturan perundang-                    Company’s adherence to capital market laws and regulations
     undangan di bidang Pasar Modal secara konsisten, termasuk            consistently, including ensuring timely submission of the
     memastikan ketepatan waktu dalam penyampaian Laporan                 Annual Report, Sustainability Report, and other periodic
     Tahunan, Laporan Keberlanjutan, dan laporan berkala                  reports to the Financial Services Authority (OJK) and the
     lainnya kepada OJK dan Bursa Efek Indonesia.                         Indonesia Stock Exchange.
3.   Keterbukaan Informasi (Disclosure): Bertindak sebagai saluran   3.   Information Disclosure: Acting as the Company’s official
     komunikasi resmi Perseroan dalam menyampaikan informasi              communication channel in delivering material information
     material kepada publik guna menjaga transparansi dan                 to the public, thereby maintaining transparency and
     memastikan seluruh pemangku kepentingan mendapatkan                  ensuring equal and accurate access to information for all
     akses informasi yang setara dan akurat.                              stakeholders.
4.    Pendampingan Dewan Komisaris dan Direksi: Memfasilitasi        4.   Support to the Board of Commissioners and Directors:
     penyelenggaraan rapat Direksi dan Rapat Gabungan antara              Facilitating the organization of Directors’ meetings and
     Direksi dan Dewan Komisaris, termasuk pendokumentasian               Joint Meetings between the Board of Directors and the
     berita acara rapat serta memastikan tindak lanjut atas               Board of Commissioners, including documenting meeting
     keputusan-keputusan strategis yang telah diambil.                    minutes and ensuring follow‑up on strategic decisions
                                                                          taken.
5.   Program Pengembangan Kompetensi: Mengikuti pendidikan           5.   Competency Development Programs: Participating in
     dan pelatihan berkelanjutan guna memperbarui pemahaman               continuous education and training to update knowledge on
     terkait regulasi terbaru di pasar modal, serta melakukan             the latest capital market regulations, as well as conducting
     sosialisasi aturan internal kepada seluruh organ Perseroan.          internal socialization of rules to all corporate organs.
6.   Pengelolaan Administrasi Korporasi: Menatausahakan              6.   Corporate Administration Management: Administering
     dokumen-dokumen hukum perusahaan, daftar pemegang                    corporate legal documents, shareholder registers,
     saham, serta memastikan pemeliharaan arsip korporasi                 and ensuring that corporate archives are securely and
     tersimpan dengan aman dan sistematis.                                systematically maintained.

Seluruh kegiatan tersebut dilaksanakan dengan mengedepankan          All activities were carried out by upholding the principles of
prinsip transparansi, akuntabilitas, dan profesionalisme demi        transparency, accountability, and professionalism, to support
mendukung terciptanya nilai tambah yang berkelanjutan bagi           the creation of sustainable added value for all stakeholders
seluruh pemangku kepentingan Perseroan.                              of the Company.




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Unit Audit Internal
Internal Audit Unit


Unit Audit Internal merupakan pihak yang membantu manajemen      The Internal Audit Unit assists management in evaluating the
dalam mengevaluasi efektivitas penerapan sistem manajemen        effectiveness of the Company’s risk management system, internal
risiko, pengendalian internal, dan GCG pada setiap unit kerja    control, and Good Corporate Governance (GCG) across all work
Perseroan. Proses kerjanya dilakukan dengan memberikan           units. Its activities are carried out by providing independent
pendapat independen yang dirancang guna menambah nilai           opinions designed to add value and enhance the Company’s
dan meningkatkan kinerja usaha Perseroan.                        business performance.

Profil                                                           Profile
Unit Audit Internal Perseroan diketuai oleh Ria Anita Widarti    The Company’s Internal Audit Unit is chaired by Ms. Ria Anita
berdasarkan Surat Keputusan No. RR/DU/30.247/ XII/2024           Widarti, pursuant to Decree Number: RR/DU/30.247/XII/2024
tanggal 30 Desember 2024 perihal Pengangkatan Pelaksana          dated December 30, 2024 regarding the Appointment of Acting
Tugas (PLT) Head of Audit Internal, dengan masa jabatan yang     Head of Internal Audit. Her term of office shall conclude subject
akan berakhir sesuai hasil evaluasi Direksi.                     to evaluation by the Board of Directors.




                                                                     Ria Anita Widarti
                                                                     Pelaksana Tugas (PLT) Head of Audit Internal
                                                                     Acting Head of Audit Internal

                                                                     Periode Jabatan: Menjabat sejak 30 Desember 2024
                                                                     Term of Office : Has served since December 30, 2024

                                                                     Warga negara Indonesia | Indonesian citizen
                                                                     Usia 38 tahun | 38 years old




 Domisili                             Depok, Jawa Barat, Indonesia
 Domicile

 Pendidikan                           •   Master of Accounting, Universitas Pancasila Jakarta (2021 – 2023)
 Education                            •   Bachelor of Accounting, Universitas Muhammadiyah Malang (2002 – 2009)
                                      •   Master of Accounting, Universitas Pancasila Jakarta (2021 – 2023)
                                      •   Bachelor of Accounting, Universitas Muhammadiyah Malang (2002 – 2009)

 Riwayat Profesi                      •   Finance Supervisor, PT Triguna Internusa Pratama (2020-2023)
 Professional Experience              •   Finance Controller, PT Triguna Internusa Pratama (2019-2020)
                                      •   Accounting, PT Triguna Internusa Pratama (2015-2019)
                                      •   Senior Auditor, KAP Rama Wendra – Mc Millan Woods International (2013-2015)
                                      •   Internal Auditor, Dompet Dhuafa (2011-2013)
                                      •   Junior Auditor, KAP DBSD & A
                                      •   Accounting & Budget Control, Rumah Sehat Indonesia (2010-2011)

                                      •   Finance Supervisor, PT Triguna Internusa Pratama (2020-2023)
                                      •   Finance Controller, PT Triguna Internusa Pratama (2019-2020)
                                      •   Accounting, PT Triguna Internusa Pratama (2015-2019)
                                      •   Senior Auditor, Public Accounting Firm Rama Wendra – Mc Millan Woods International
                                          (2013-2015)
                                      •   Internal Auditor, Dompet Dhuafa (2011-2013)
                                      •   Junior Auditor, Public Accounting Firm DBSD & A
                                      •   Accounting & Budget Control, Rumah Sehat Indonesia (2010-2011)

 Rangkap Jabatan                      Tidak memiliki rangkap jabatan di dalam dan di luar Perseroan
 Concurrent Position(s)               Has no concurrent positions inside and outside the Company.

 Hubungan Afiliasi                    Tidak memiliki hubungan keuangan, kepengurusan, dan kekeluargaan dengan anggota Dewan
 Affiliated Relationship              Komisaris lainnya, anggota Direksi, serta Pemegang Saham Utama dan Pengendali. Has no
                                      financial, management, and family relationships with members of the Board of Commissioners,
                                      members of the Board of Directors, and Major and Controlling Shareholders.




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Kualifikasi/Sertifikasi                                                                Qualifications/Certifications
Anggota Unit Audit Internal merupakan profesional berpengalaman                        Members of the Internal Audit Unit are experienced professionals
yang telah memenuhi kriteria independensi dan kompetensi                               who have fulfilled the criteria of independence as well as other
lainnya. Personil Unit Audit Internal beserta sertifikasi yang                         required competencies. The personnel of the Internal Audit
dimiliki dapat dilihat pada tabel berikut ini:                                         Unit, together with the certifications they hold, are presented
                                                                                       in the following table:

Tabel Sertifikasi Internal Audit                                                       Table of Audit Internal Certifications


 Nama                             Sertifikasi
 Name                             Certifications



                                 Sertifikasi Qualified Internal Auditor
 Ria Anita Widarti
                                 Sertifikasi Qualified Internal Auditor




Pengembangan Kompetensi                                                                Competency Development
Perseroan menyediakan fasilitas program pengembangan                                   The Company provides competency development programs for
kompetensi bagi Unit Audit Internal. Program pengembangan                              the Internal Audit Unit. These programs may include training,
kompetensi dapat berupa pelatihan, seminar, konferensi, dan                            seminars, conferences, and workshops, aimed at broadening
workshop, guna menambah wawasan mengenai perkembangan                                  knowledge of business developments and current trends.
dunia usaha.

Berikut disajikan informasi terkait program pengembangan                               The following information presents the competency development
kompetensi yang diikuti Internal Audit Unit di tahun 2025.                             programs attended by the Internal Audit Unit in 2025:




 Nama Pelatihan                                                                                  Tanggal Pelatihan                  Penyelenggara
 Name of Training                                                                                 Date of Training                   Organizer(s)



                                                                                                                       Yayasan Pendidikan Internal Audit (YPIA)
 Sertifikasi QIA Tingkat Manajerial                                                                 Juni 2025
                                                                                                                       Organized by the Internal Audit Education
 QIA Certification Managerial Level                                                                 June 2025
                                                                                                                                  Foundation (YPIA)


                                                                                                                       Yayasan Pendidikan Internal Audit (YPIA)
 Panel Discussion - The Future of Internal Audit: Challenges and Opportunities                      Juli 2025
                                                                                                                       Organized by the Internal Audit Education
 Panel Discussion - The Future of Internal Audit: Challenges and Opportunities                      July 2025
                                                                                                                                  Foundation (YPIA)


                                                                                                                       Yayasan Pendidikan Internal Audit (YPIA)
 Panel Discussion - Fraud Risk Management: Staying Ahead of Emerging Threats                        Juli 2025
                                                                                                                       Organized by the Internal Audit Education
 Panel Discussion - Fraud Risk Management: Staying Ahead of Emerging Threats                        July 2025
                                                                                                                                  Foundation (YPIA)


                                                                                                                       Yayasan Pendidikan Internal Audit (YPIA)
 Internal Control Over Financial Reporting: Ensurign Accuracy and Reliability                       Juli 2025
                                                                                                                       Organized by the Internal Audit Education
 Internal Control Over Financial Reporting: Ensurign Accuracy and Reliability                       July 2025
                                                                                                                                  Foundation (YPIA)


                                                                                                                       Yayasan Pendidikan Internal Audit (YPIA)
 Data Analytics for Internal Audit: Enhancing Insight and Driving Decision Making                   Juli 2025
                                                                                                                       Organized by the Internal Audit Education
 Data Analytics for Internal Audit: Enhancing Insi ght and Driving Decision Making                  July 2025
                                                                                                                                  Foundation (YPIA)




Struktur dan Kedudukan Unit Audit Internal                                             Structure and Position of the Internal Audit Unit
Pengangkatan dan pemberhentian Unit Audit Internal                                     The appointment and dismissal of the Company’s Internal Audit
Perusahaan dilakukan oleh Direktur Utama melalui persetujuan                           Unit are carried out by the President Director with the approval
Dewan Komisaris. Dengan demikian, Unit Audit Internal                                  of the Board of Commissioners. Accordingly, the Internal Audit
bertanggungjawab langsung kepada Direktur Utama. Selain                                Unit reports directly to the President Director. In addition, the
itu, Unit Audit Internal memiliki akses langsung kepada Komite                         Internal Audit Unit has direct access to the Audit Committee
Audit untuk berkoordinasi mengenai pelaksanaan audit internal                          to coordinate the implementation of internal audits and their
dan tindak lanjutnya, seperti yang terlihat pada bagan.                                follow-up actions, as illustrated in the organizational chart.




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                Dewan Komisaris
             Board of Commissioners                                                        Direktur Utama
                                                                                          President Director




                                                                                          Unit Audit Internal
                                                                                          Internal Audit Unit
                    Komite Audit
                   Audit Committee




Tugas Dan Tanggung Jawab                                          Duties and Responsibilities
Tugas dan Tanggung Jawab Unit Audit Internal yaitu:               The duties and responsibilities of the Internal Audit Unit are
                                                                  as follows:

a.   Menyusun dan melaksanakan rencana pengawasan tahunan;        a.   Prepare and implement the annual audit plan in accordance
b.   Melaksanakan kegiatan assurance dan consulting terhadap           with the approval of the Board of Directors.
     sistem pengendalian internal dan manajemen risiko untuk      b.   Conduct assurance and consulting activities on internal
     memastikan bahwa seluruh aktivitas telah sesuai ketentuan/        control systems and risk management to ensure that all
     peraturan Perseroan serta peraturan perundang-undangan            activities comply with the Company’s policies and applicable
     yang berlaku;bagai peraturan hukum negara yang berlaku;           laws and regulations.
     dan
c    Mengukur tingkat efisiensi dan efektivitas semua kegiatan    c.   Assessing the efficiency and effectiveness of all Company
     Perseroan.                                                        activities.


Pedoman Kerja                                                     Working Guidelines
Unit Internal Audit Perseroan memiliki Piagam Internal Audit      The Company’s Internal Audit Unit has an Internal Audit Charter,
yang disahkan pada Januari 2023. Piagam Unit Internal Audit       which was ratified in January 2023. The Charter was prepared
disusun berdasarkan Peraturan Bapepam- LK No. IX.17,              based on Bapepam-LK (Capital Market and Financial Institutions
Lampiran Keputusan Ketua Bapepam LK No.Kep-496/BL/2008            Supervisory Agency) Regulation Number: IX.17, Appendix to Decree
tanggal 28 November 2008 yang telah diperbaharui dengan           of the Chairman of Bapepam-LK No. Kep-496/BL/2008 dated
Peraturan Otoritas Jasa Keuangan No. 56/POJK.04/2015              November 28, 2008, and subsequently updated in accordance
tentang Pembentukan dan Pedoman Penyusunan Piagam Unit            with Financial Services Authority Regulation Number: 56/
Audit Internal.                                                   POJK.04/2015 concerning the Establishment and Guidelines
                                                                  for the Preparation of the Internal Audit Charter.




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Uraian Singkat Pelaksanaan Tugas Unit Audit Internal pada        Brief Description of the Implementation of Duties of Internal
Tahun 2025                                                       Audit Unit in 2025
Pada tahun 2025, Unit Audit Internal telah melaksanakan tugas    In 2025, the Internal Audit Unit carried out its duties and
dan tanggung jawabnya sesuai dengan rencana pengawasan           responsibilities in accordance with the annual audit plan
tahunan yang telah disetujui oleh Direksi. Fokus utama           approved by the Board of Directors. The primary focus of the
pelaksanaan tugas adalah untuk memberikan assurance dan          Unit’s activities was to provide objective and independent
konsultasi yang objektif dan independen guna meningkatkan        assurance and consulting services aimed at adding value and
nilai dan memperbaiki operasional perusahaan.                    improving the Company’s operations.

Beberapa kegiatan utama yang telah dilakukan sepanjang           Key activities undertaken during 2025 included:
tahun 2025 antara lain:
1. Pelaksanaan reviu atas Laporan Keuangan pada entitas          1.   Review of Financial Statements at the parent company
    induk dan entitas anak sebagai bagian dari penguatan              and subsidiaries as part of strengthening the quality of
    kualitas pelaporan keuangan                                       financial reporting.
2. Pelaksanaan reviu operasional pada beberapa departemen        2.   Operational Reviews across several departments to assess
    untuk menilai efektivitas proses bisnis dan pengendalian          the effectiveness of business processes and internal
    internal.                                                         controls.
3. Evaluasi atas pelaksanaan proyek untuk memastikan             3.   Evaluation of Project Implementation to ensure alignment
    kesesuaian dengan rencana, efisiensi, dan pengelolaan             with plans, efficiency, and risk management.
    risiko.
4. Pelaksanaan oversight dan monitoring atas berbagai hal        4.   Oversight and Monitoring of significant matters with potential
    signifikan yang berpotensi berdampak terhadap kinerja             impact on the Company’s performance and governance.
    dan tata kelola Perusahaan.
5. Pemantauan tindak lanjut atas hasil pengawasan untuk          5.   Follow‑Up Monitoring on supervisory findings to ensure
    memastikan rekomendasi telah ditindaklanjuti secara               recommendations are adequately implemented.
    memadai.
6. Pengembangan kompetensi auditor internal serta                6.   Competency Development of Internal Auditors and continuous
    peningkatan kualitas pelaksanaan fungsi pengawasan                improvement of the quality of supervisory functions.
    secara berkelanjutan.
7. Penguatan koordinasi dan kolaborasi dengan Komite Audit       7.   Strengthening Coordination and Collaboration with the
    dalam rangka mendukung efektivitas fungsi pengawasan.             Audit Committee to support the effectiveness of oversight
                                                                      functions.

Hasil Temuan Audit Internal Tahun 2025                           Internal Audit Findings in 2025
Dalam kurun waktu 3 (tiga) tahun terakhir, tidak terdapat        Over the past three years, there have been no irregularities
penyimpangan yang dilakukan oleh organ Perusahaan.               committed by the Company’s organs.




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Sistem Pengendalian Internal
Internal Control System


Sistem Pengendalian Internal (SPI) merupakan suatu rangkaian          The Internal Control System (ICS/SPI) is a set of procedures
prosedur dan sistem yang dibangun dan diterapkan oleh Dewan           and systems established and implemented by the Board of
Komisaris, Direksi, serta seluruh jajaran manajemen dan karyawan      Commissioners, the Board of Directors, as well as all levels
perusahaan. Tujuan utamanya adalah untuk memastikan bahwa             of management and employees of the Company. Its primary
operasi Perseroan berjalan dengan efektif dan efisien, laporan        objective is to ensure that the Company’s operations run effectively
keuangan dapat dipercaya, dan Perseroan mematuhi seluruh              and efficiently, that financial reporting is reliable, and that the
hukum dan regulasi yang berlaku. Hal ini melibatkan upaya             Company complies with all applicable laws and regulations
bersama dari semua pihak terkait untuk memastikan bahwa               The ICS involves collective efforts from all relevant parties to
risiko-risiko yang mungkin timbul dapat diidentifikasi, dievaluasi,   ensure that potential risks can be identified, evaluated, and
dan dikelola dengan baik, sehingga memberikan keyakinan               properly managed, thereby providing reasonable assurance to
yang memadai kepada seluruh pemangku kepentingan tentang              all stakeholders regarding the Company’s overall performance
keseluruhan kinerja dan kepatuhan Perseroan.                          and compliance.

Implementasi Sistem Pengendalian Internal                             Implementation of Internal Control System




                                       Unit Internal Audit bersama Komite Audit menjelaskan
                                       SPI, yang kemudian dikomunikasikan kepada Direksi
                                                       dan Dewan Komisaris.

                                       Internal Audit Unit together with Audit Committee
                                       explains SPI/ICS, which is then communicated to the
                                          Board of Directors and Board of Commissioners.




                                Pelaksana                                                Pengawas
                            Implementing Party                                           Supervisor


                       Unit Audit Internal + Direksi                          Dewan Komisaris + Komite Audit

                Internal Audit Unit + Board of Directors                      Board of Commissioners + Audit
                                                                                        Committee




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Implementasi SPI di Perseroan sebagai berikut:                                           Implementation of SPI/ICS in the Company is as follows:




 Komponen Sistem Pengendalian Internal              Implementasi di Perseroan
 Internal Control System Components                 Implementation in the Company


                                                    •        Menyusun rencana strategi sesuai dengan kompleksitas usaha Perseroan;
                                                    •        Memantau perbandingan target dengan realisasi anggaran biaya melalui laporan-laporan yang dibuat Unit
                                                             Keuangan; dan
                                                    •        Mewajibkan seluruh karyawan untuk mematuhi SOP yang berlaku di Perseroan agar aktivitas bisnis
                                                             perusahaan dapat berjalan secara efektif dan efisien.
 Pengurangan risiko bisnis
 Reduction of business risk
                                                    •        Develop a strategic plan in accordance with the complexity of the Company’s business;
                                                    •        Monitor the comparison of the target with the realization of the cost budget through reports made by the
                                                             Finance Unit; and
                                                    •        Require all employees to comply with the SOPs that apply in the Company so that the company’s business
                                                             activities can run effectively and efficiently.

                                                    Melindungi aset fisik yang dimiliki. Seluruh aset tetap, seperti bangunan, jaringan pipa, dan kendaraan telah
 Perlindungan aset Perseroan                        diasuransikan dengan nilai pertanggungan yang memadai
 Protection of the Company’s assets                 Protect physical assets owned. All fixed assets, such as buildings, pipelines, and vehicles have been insured with
                                                    adequate coverage.

                                                    •       Memberikan masukan terkait penunjukan kantor akuntan public dan akuntan yang memiliki reputasi baik; dan
 Sistem pelaporan keuangan yang dapat
                                                    •       Memastikan pelaporan keuangan Perseroan sesuai dengan standar akuntansi yang berlaku di Indonesia.
 diandalkan
                                                    •       Provide input regarding the appointment of a reputable public accounting firm and accountant; and
 Reliable financial reporting system
                                                    •       Ensure the Company’s financial reporting is in accordance with applicable accounting standards in Indonesia

                                                    Direksi dan Unit Audit Internal senantiasa melakukan komunikasi dan koordinasi dengan Sekretaris Perusahaan
 Pemenuhan peraturan perundang-undangan
                                                    untuk melakukan penelaahan atas kepatuhan Perseroan terhadap hukum dan peraturan perundang- undangan
 yang berlaku
                                                    yang berlaku.
 Compliance with applicable laws and regulations
                                                    The Board of Directors and Internal Audit Unit always communicate and coordinate with the Corporate Secretary to
                                                    review the Company’ compliance with applicable laws and regulations.



Implementasi SPI telah disesuaikan dengan standar kerangka                               The implementation of the Internal Control System (ICS)
SPI Internasional, yaitu Committee of Sponsoring Organizations                           has been aligned with the standards of the international ICS
of the Treadway Commission (COSO).                                                       framework, namely the Committee of Sponsoring Organizations
                                                                                         of the Treadway Commission (COSO).




                                                                Komponen Pengendalian COSO
                                                                       COSO Control Components




                                                                                                             Sistem Informasi dan
  Lingkungan Pengendalian                Penilaian Risiko                 Kegiatan Pengendalian                                                Aktivitas Pemantauan
                                                                                                                  Komunikasi
      Control Environment                Risk Assessment                      Control Activities                Information and                  Monitoring Activities
                                                                                                             Communication System




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Perlindungan Manajemen Aset                                          Asset Management Protection
Pada tahun 2025, RAJA memastikan bahwa kerja dan kegiatan            In 2025, RAJA ensured that asset management activities
manajemen aset dapat terlaksana secara efektif dan sesuai            were carried out effectively and in compliance with applicable
dengan peraturan yang ditetapkan. Dalam pelaksanaannya, RAJA         regulations. In its implementation, RAJA involved Internal Audit,
melibatkan Internal Audit, External Audit serta Independent          External Audit, and Independent Appraisal across all business
Appraisal di setiap unit usaha agar program kerja dan kegiatan       units to ensure that asset management programs and activities
manajemen aset dapat terlaksana dengan baik dan dilakukan            were properly executed and conducted on a continuous basis.
secara berkesinambungan.

Sepanjang tahun 2025, kegiatan manajemen aset yang telah             Throughout 2025, the asset management activities undertaken
dilakukan manajemen adalah sebagai berikut:                          by management included:

1.   Inventarisasi dan verifikasi fisik aset tetap di seluruh unit   1.   Inventory and physical verification of fixed assets in all
     usaha.                                                               business units.
2.   Revaluasi aset tetap oleh penilai independen untuk              2.   Revaluation of fixed assets by independent appraisers to
     memastikan nilai wajar aset perusahaan.                              ascertain the fair value of the company’s assets.
3.   Implementasi dan integrasi sistem manajemen aset                3.   Implementation and integration of a digital-based asset
     berbasis digital untuk meningkatkan efisiensi dan akurasi            management system to improve the efficiency and accuracy
     pengelolaan aset.                                                    of asset management.


Tinjauan Atas Efektivitas Sistem Pengendalian Internal               Review of the Effectiveness of the Internal Control System
Sistem pengawasan internal yang efektif, yang mencakup               An effective internal control system, covering all aspects of
setiap aspek operasional dan kepatuhan terhadap peraturan            operations and compliance with relevant laws and regulations,
perundang-undangan terkait, selalu dilaksanakan di lingkungan        is consistently implemented within the Company. A sound and
Perseroan. Mekanisme pengendalian internal yang efektif dan          adequate internal control mechanism safeguards shareholder
memadai dapat melindungi investasi pemegang saham dan                investments and the Company’s assets.
aset Perusahaan.

Sistem pengendalian internal Perseroan dilaksanakan dengan           The Company’s internal control system is implemented with
melibatkan Unit Audit Internal yang memegang peranan penting         the involvement of the Internal Audit Unit, which plays a key
dalam evaluasi atas efektivitas dari sistem pengendalian. Unit       role in evaluating the effectiveness of the system. The Internal
Audit Internal mengevaluasi efektivitas pelaksanaan sistem           Audit Unit continuously assesses the effectiveness of internal
pengendalian secara berkelanjutan. Hasil evaluasi sistem             control implementation. The results of the internal control
pengendalian internal tahun 2025, yaitu:                             evaluation for 2025 were as follows:
1. Sistem pengendalian internal dinilai memadai dalam                1. The internal control system is considered adequate in
     mendukung kepatuhan terhadap peraturan dan                           supporting compliance with applicable regulations and
     prosedur yang berlaku.                                               procedures.
2. Ditemukan beberapa area yang memerlukan perbaikan                 2. Several areas requiring improvement were found related
     terkait dokumentasi prosedur operasional standar (SOP),              to the documentation of standard operating procedures
     yang telah ditindaklanjuti oleh unit terkait.                        (SOPs), which have been followed up by the relevant units.
3. Peningkatan kapabilitas sistem pengawasan berbasis                3. Improved capability of information technology-based
     teknologi informasi untuk mitigasi risiko operasional.               supervisory systems to mitigate operational risks.

Pernyataan Dewan Komisaris Dan Direksi Atas Kecukupan                Statement of the Board of Commissioners and the Board of
Sistem Pengendalian Internal                                         Directors on the Adequacy of the Internal Control System
Dewan Komisaris dan Direksi memandang bahwa implementasi             The Board of Commissioners and the Board of Directors consider
SPI di Perseroan sudah cukup baik. Namun demikian, hasil             the implementation of the Company’s Internal Control System
evaluasi tersebut dijadikan dasar bagi Manajemen untuk               (ICS/SPI) to be adequate. Nevertheless, the evaluation results
memperbaiki dan mengembangkan sistem pengendalian                    serve as a basis for Management to improve and further develop
internal agar pelaksanaannya dapat berjalan efektif dan              the internal control system to ensure its effective and efficient
efisien, serta diharapkan dapat mendorong pertumbuhan dan            implementation, with the expectation that it will support the
keberlangsungan usaha Perseroan.                                     Company’s growth and business sustainability.




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Manajemen Risiko
Risk Management

Perusahaan memandang manajemen risiko sebagai elemen                       The Company regards risk management as an inseparable
yang tak terpisahkan dari praktik manajemen yang baik dan Tata             element of sound management practices and effective Corporate
Kelola Perusahaan yang efektif. Pendekatan ini memastikan                  Governance. This approach ensures that every decision is made
bahwa setiap keputusan yang diambil sudah mempertimbangkan                 with comprehensive consideration of both risks and opportunities.
informasi yang komprehensif mengenai risiko dan peluang
yang ada.

Perseroan menjadikan manajemen risiko sebagai alat utama                   Risk management serves as a primary tool across all aspects
dalam seluruh aspek operasionalnya, mulai dari strategi di tingkat         of the Company’s operations, from managerial-level strategies
manajerial hingga pelaksanaan program kerja di tiap fungsi.                to the execution of work programs within each function.

Sistem manajemen risiko dilakukan dengan pendekatan yang                   The Company’s risk management system is implemented
sistematis, terstruktur dan terintegrasi untuk mengantisipasi              through a systematic, structured, and integrated approach
suatu ketidakpastian atau kerugian yang mungkin terjadi dalam              designed to anticipate uncertainties or potential losses that
pengelolaan bisnis Perseroan.                                              may arise during business operations.



                                                                   Profil Risiko
                                                                    Risk Type

 Jenis Risiko                                                      Penjelasan                                                 Mitigasi
 Types of Risk                                                     Description                                              Mitigation(s)

 Risiko Strategis                             Dalam menjalankan strategi pertumbuhan dan                Untuk mengelola risiko strategis, Perusahaan
 Strategic Risk                               pengembangan portofolio usaha, Perusahaan                 melakukan beberapa mitigasi yaitu dengan:
                                              dihadapkan pada berbagai risiko strategis yang dapat      • Aktif memantau perkembangan ekonomi dan
                                              memengaruhi keberlanjutan usaha serta pencapaian             industri serta melakukan evaluasi berkala atas
                                              kinerja jangka panjang. Risiko-risiko tersebut               asumsi-asumsi bisnis yang digunakan dalam
                                              berasal baik dari dinamika eksternal maupun dari             perencanaan strategis. Selain itu, Perseroan terus
                                              inisiatif transformasi internal yang tengah dan akan         mengupayakan diversifikasi portofolio usaha guna
                                              dijalankan oleh Perseroan. Cakupan detail risiko             mengurangi ketergantungan pada satu segmen,
                                              strategis adalah sebagai berikut:                            proyek, atau komoditas tertentu.
                                              •    Lingkungan Eksternal dan Dinamika Pasar;             • Perusahaan menerapkan tata kelola proyek
                                              •    Pengembangan Bisnis dan Transformasi;                   yang ketat, menetapkan tahapan pelaksanaan
                                              •    M&A dan Kemitraan; dan                                  yang terukur, serta melakukan pengawasan
                                              •    Perubahan Kebijakan dan Persaingan Usaha.               dan evaluasi secara berkala oleh manajemen.
                                                                                                           Perusahaan      juga     secara      berkelanjutan
                                                                                                           memperkuat kompetensi sumber daya manusia
                                              In executing growth strategies and expanding its             guna mendukung agenda transformasi yang
                                              business portfolio, the Company faces various                dijalankan.
                                              strategic risks that may affect business sustainability   • Melakukan proses uji kelayakan (due diligence)
                                              and the achievement of long‑term performance.                yang     menyeluruh     sebelum       pengambilan
                                              These risks arise both from external dynamics and            keputusan investasi, termasuk aspek keuangan,
                                              from internal transformation initiatives currently           operasional, dan hukum.
                                              underway or planned. The scope of strategic risks         • Perusahaan       secara     proaktif     memantau
                                              includes:                                                    perkembangan regulasi dan menjalin komunikasi
                                              •    External Environment and Market Dynamics                yang konstruktif dengan pemangku kepentingan
                                              •    Business Development and Transformation                 terkait.
                                              •    Mergers & Acquisitions and Partnerships              • Memperkuat keunggulan kompetitif Perusahaan
                                              •    Policy Changes and Business Competition                 melalui     pengendalian    biaya,     peningkatan
                                                                                                           keandalan operasional, serta pengembangan nilai
                                                                                                           tambah bagi pelanggan dan mitra usaha.

                                                                                                        To manage strategic risks, the Company undertakes
                                                                                                        the following mitigation measures:
                                                                                                        • Actively monitoring economic and industry
                                                                                                            developments and conducting periodic evaluations
                                                                                                            of business assumptions used in strategic
                                                                                                            planning. The Company also pursues portfolio
                                                                                                            diversification to reduce reliance on a single
                                                                                                            segment, project, or commodity.
                                                                                                        • Implementing         strict   project  governance,
                                                                                                            establishing measurable execution stages, and
                                                                                                            conducting regular oversight and evaluation
                                                                                                            by management. The Company continuously
                                                                                                            strengthens human capital competencies to
                                                                                                            support ongoing transformation agendas.
                                                                                                        • Conducting comprehensive due diligence prior
                                                                                                            to investment decisions, covering financial,
                                                                                                            operational, and legal aspects.
                                                                                                        • Proactively monitoring regulatory developments
                                                                                                            and maintaining constructive communication with
                                                                                                            relevant stakeholders.
                                                                                                        • Enhancing the Company’s competitive advantage
                                                                                                            through cost control, improved operational
                                                                                                            reliability, and the creation of added value for
                                                                                                            customers and business partners.



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                                                                          Profil Risiko
                                                                           Risk Type

 Jenis Risiko                                                             Penjelasan                                                   Mitigasi
 Types of Risk                                                            Description                                                Mitigation(s)

 Risiko Suku Bunga                                   Risiko suku bunga Grup terutama timbul dari                Grup menganalisis eksposur dari risiko bunga secara
 Interest Rate Risk                                  pinjaman bank. Risiko suku bunga dari kas dan setara       dinamis. Beberapa skenario disimulasikan dengan
                                                     kas, bank yang dibatasi penggunaanya dan uang              beberapa pertimbangan seperti pembiayaan kembali,
                                                     jaminan fasilitas pinjaman bernilai tidak signifikan       memperbaharui dari kondisi yang ada dan alternatif
                                                     dan semua instrument keuangan lainnya tidak                lain pembiayaan. Berdasarkan skenario tersebut
                                                     dikenakan bunga. Pinjaman yang diterbitkan dengan          diatas, Grup mengelola risiko arus kas dari suku
                                                     tingkat bunga variabel mengekspos Grup terhadap            bunga dengan melakukan pembiayaan pinjaman
                                                     risiko suku bunga arus kas.                                dengan suku bunga yang lebih rendah.

                                                     The Group’s interest rate risk primarily arises from       The Group analyzes its exposure to interest rate
                                                     bank borrowings. Interest rate risk from cash and          risk dynamically. Several scenarios are simulated,
                                                     cash equivalents, restricted bank accounts, and            considering factors such as refinancing, renewal of
                                                     loan facility deposits is not significant, and all other   existing conditions, and alternative financing options.
                                                     financial instruments are non-interest bearing.            Based on these scenarios, the Group manages its
                                                     Borrowings issued at variable interest rates expose        cash flow interest rate risk by securing borrowings at
                                                     the Group to cash flow interest rate risk.                 lower interest rates.

 Risiko Kredit                                       Risiko kredit yang dihadapi oleh Grup berasal dari         Ketika pelanggan gagal melakukan pelunasan
 Credit Risk                                         kredit yang diberikan kepada pelanggan, tetapi             sesuai dengan syarat pembayaran, Grup akan
                                                     terdapat kebijakan untuk memastikan penjualan              menghubungi pelanggan untuk menindaklanjuti
                                                     produk hanya dilakukan kepada pelanggan yang dapat         piutang yang telah lewat jatuh tempo. Jika
                                                     dipercaya dengan rekam jejak atau sejarah kredit           pelanggan tidak melunasi piutang yang telah
                                                     yang baik. Merupakan kebijakan Grup bahwa semua            jatuh tempo dalam jangka waktu yang telah
                                                     pelanggan yang akan melakukan pembelian secara             ditentukan, Grup akan menempuh jalur hukum.
                                                     kredit harus melalui prosedur verifikasi kredit.
                                                                                                                Sesuai dengan evaluasi oleh Grup, penyisihan
                                                     The Group’s credit risk arises primarily from credit       spesifik dapat dibuat jika piutang dianggap tidak
                                                     extended to customers. To mitigate this risk, the          tertagih. Untuk menekan risiko kredit, Grup akan
                                                     Group has established policies to ensure that product      menghentikan penyaluran semua produk kepada
                                                     sales are conducted only with customers who are            pelanggan yang terlambat atau gagal bayar.
                                                     deemed reliable and have a sound credit history. It
                                                     is the Group’s policy that all customers seeking to        When customers fail to settle payments in accordance
                                                     purchase on credit must undergo a credit verification      with the agreed terms, the Group follows up on
                                                     procedure.                                                 overdue receivables by contacting the customers
                                                                                                                directly. Should customers remain in default beyond
                                                                                                                the specified period, the Group will pursue legal
                                                                                                                action.
                                                                                                                Based on the Group’s evaluation, specific provisions
                                                                                                                may be established for receivables considered
                                                                                                                uncollectible. To further minimize credit risk, the
                                                                                                                Group discontinues the distribution of products to
                                                                                                                customers who are late in payment or in default.

 Risiko Harga                                        Operasi Grup terekspos terhadap risiko pasar terkait       Aset dan liabilitas keuangan Grup tidak terekspos
 Price Risk                                          dengan fluktuasi harga dari harga komoditas yang           secara signifikan terhadap fluktuasi harga minyak
                                                     diperdagangkan di pasar minyak dan gas dunia.              dan gas dunia karena penyelesaian aset dan liabilitas
                                                                                                                keuangan berdasarkan harga yang tercantum dalam
                                                     The Group’s operations are exposed to market risk          kontrak jual beli minyak dan gas yang ditentukan pada
                                                     arising from fluctuations in the prices of commodities     saat pengiriman.
                                                     traded in the global oil and gas markets.
                                                                                                                The Group’s financial assets and liabilities are not
                                                                                                                significantly affected by such price fluctuations, as
                                                                                                                their settlement is based on the prices stipulated in
                                                                                                                oil and gas sales contracts determined at the time of
                                                                                                                delivery.




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                                                     Profil Risiko
                                                      Risk Type

Jenis Risiko                                          Penjelasan                                                Mitigasi
Types of Risk                                         Description                                             Mitigation(s)

Risiko Likuiditas                Risiko likuiditas timbul dalam keadaan di mana Grup      Grup memonitor proyeksi persyaratan likuiditas untuk
Liquidity Risk                   mengalami kesulitan dalam mendapatkan sumber             memastikan bahwa Grup memiliki saldo kecukupan
                                 pendanaan. Bisnis prabayar Grup dan manajemen            kas untuk memenuhi keperluan operasi serta menjaga
                                 risiko likuiditas berarti menjaga kecukupan saldo        kecukupan dalam fasilitas pinjaman yang belum
                                 kas dan setara kas. Grup mengelola risiko likuiditas     ditarik sepanjang waktu sehingga Grup memenuhi
                                 dengan mengawasi arus kas aktual dan proyeksi            semua batas atau persyaratan fasilitas pinjaman.
                                 secara terus menerus dan mengawasi profil tanggal
                                 jatuh tempo aset dan liabilitas keuangan.                Proyeksi tersebut mempertimbangkan rencana
                                                                                          pembiayaan utang Grup dan kepatuhan terhadap
                                 Liquidity risk arises when the Group encounters          persyaratan pinjaman. Manajemen percaya bahwa
                                 difficulties in obtaining funding sources. The Group’s   strategi melakukan cash sweeping dan pooling
                                 prepaid business model and liquidity risk management     of funds dari sejumlah rekening bank ke dalam
                                 practices emphasize maintaining adequate balances        rekening bank operasional utama dapat memastikan
                                 of cash and cash equivalents. The Group manages          pendanaan yang terkonsentrasi dan optimalisasi
                                 liquidity risk by continuously monitoring actual and     likuiditas yang lebih baik.
                                 projected cash flows, as well as the maturity profiles
                                 of financial assets and liabilities.                     The Group monitors projected liquidity requirements
                                                                                          to ensure that sufficient cash balances are available
                                                                                          to meet operational needs, while always maintaining
                                                                                          adequate undrawn loan facilities to comply with
                                                                                          facility limits and requirements.

                                                                                          These projections consider the Group’s debt
                                                                                          financing plans and compliance with loan covenants.
                                                                                          Management believes that the strategy of cash
                                                                                          sweeping and pooling funds from multiple bank
                                                                                          accounts into the Group’s main operational account
                                                                                          ensures centralized funding and enhances liquidity
                                                                                          optimization.




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Tinjauan Efektivitas Sistem Manajemen Risiko                      Review of the Effectiveness of the Risk Management System
Efektifitas penurunan risiko merupakan tingkat keberhasilan       The effectiveness of risk mitigation reflects the success of risk
pengelolaan risiko dalam menurunkan level risiko yang melekat     management in reducing inherent risk levels to a lower level
(risiko inherent) menjadi level risiko yang lebih rendah sesuai   within acceptable tolerance limits. Risk management is carried
dengan Batasan toleransi yang dapat diterima. Pengelolaan         out with due consideration of mitigation measures to ensure that
risiko dibuat dengan memperhatikan mitigasi risiko agar           residual risks are minimized. The Company conducts periodic
hasil risiko tersebut menjadi seminimal mungkin. Evaluasi         evaluations of the implementation of its risk management
dilakukan secara berkala oleh Perseroan atas implementasi         system and internal control system.
sistem manajemen risiko dan sistem pengendalian internal.

Pernyataan Dewan Komisaris Dan Direksi Atas Kecukupan             Statement of the Board of Commissioners and the Board of
Sistem Manajemen Risiko                                           Directors on the Adequacy of the Risk Management System
Direksi bertanggung jawab dalam implementasi manajemen            The Board of Directors is responsible for the effective
risiko yang terintegrasi secara efektif. Perseroan melaksanakan   implementation of integrated risk management. The Company
berbagai langkah pengendalian dan manajemen risiko guna           undertakes various control and risk management measures
meminimalkan dampak negatif pada bisnisnya. Dalam hal ini,        to minimize adverse impacts on its business. In this regard,
Dewan Komisaris dan Direksi melakukan evaluasi terhadap           the Board of Commissioners and the Board of Directors have
pelaksanaan sistem manajemen risiko yang telah dilakukan          evaluated the implementation of the Company’s risk management
dengan hasil upaya pelaksanaan sistem manajemen risiko            system and concluded that the efforts undertaken have been
Perseroan berjalan optimal.                                       carried out optimally.




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Perkara Penting
Material Matters
Permasalahan Hukum                                                    Legal Issues
Pada tahun 2025, Perseroan dan Entitas Anak serta Dewan               In 2025, the Company, its Subsidiaries, as well as the incumbent
Komisaris dan Direksi yang menjabat tidak menghadapi                  Board of Commissioners and Board of Directors did not face
permasalahan hukum dari pihak mana pun yang dapat                     any legal proceedings from any party that could have a material
menimbulkan dampak material, baik dalam permasalahan                  impact, whether civil or criminal in nature.
perdata maupun pidana.


Sanksi Administratif
Administrative Sanctions

Pada tahun 2025, tidak terdapat sanksi administratif material         In 2025, there were no material administrative sanctions
yang mempengaruhi kelangsungan usaha Perseroan dan Entitas            affecting the business continuity of the Company and its
Anak serta tidak terdapat sanksi administratif yang dikenakan         Subsidiaries. Furthermore, no administrative sanctions were
kepada anggota Direksi maupun anggota Dewan Komisaris.                imposed on members of the Board of Directors or the Board
                                                                      of Commissioners.


Kode Etik
Code of Ethics

Kode Etik Rukun Raharja mengatur hubungan kerja Dewan                 The Rukun Raharja Code of Ethics governs the working
Komisaris, Direksi, karyawan, pelanggan, mitra usaha, dan             relationships among the Board of Commissioners, the Board of
pemangku kepentingan lain. Tujuannya untuk membangun                  Directors, employees, customers, business partners, and other
lingkungan kerja yang mengutamakan kepatuhan terhadap                 stakeholders. Its objective is to foster a work environment that
peraturan perundang-undangan dan sesuai dengan prinsip-               prioritizes compliance with applicable laws and regulations and
prinsip GCG.                                                          adheres to the principles of GCG.

Penyebarluasan Kode Etik Perseroan dimulai pada 26 Januari            The dissemination of the Company’s Code of Ethics began on
2016 melalui situs web internal, media yang dimiliki Perseroan        January 26, 2016, through the internal website, the Company’s
serta buku saku saat orientasi karyawan baru.                         communication media, and pocketbooks distributed during new
                                                                      employee orientation.

Isi Atau Muatan                                                       Content
Pedoman Kode Etik Perusahaan telah disahkan oleh Dewan                The Company’s Code of Ethics has been ratified by the Board
Komisaris dan Direksi. Pedoman Etika Perusahaan (Code of              of Commissioners and the Board of Directors. The Code of
Conduct) ini disusun dengan sistematika sebagai berikut:              Conduct is structured as follows:


 Etika Usaha                             Komitmen Perseroan
 Business Ethics                         Company Commitment


                                         •    Menjalankan kewajiban ketenagakerjaan sebagaimana diatur dalam Undang-Undang;
                                         •    Menerapkan sistem dan prosedur ketenagakerjaan yang menunjang kontribusi karyawan dalam pencapaian
                                              Visi dan Misi Perseroan, tanpa memandang jenis kelamin, suku, ras, agama, ataupun kelompok.
 Hubungan dengan Karyawan
                                         •    Fulfill labor obligations as mandated by applicable laws and regulations;
 Relationship with Employees
                                         •    Implement employment systems and procedures that enable employees to contribute effectively to the
                                              achievement of the Company’s Vision and Mission, irrespective of gender, ethnicity, race, religion, or
                                              affiliation.

                                         •    Menyampaikan produk dan jasa terbaik sesuai dengan komitmen yang telah disepakati bersama;
 Hubungan dengan Pelanggan               •    Memperhatikan pandangan pelanggan dan memberikan tanggapan sesegera mungkin.
 Relationship with Customers             •    Deliver the best products and services in line with the commitments mutually agreed upon;
                                         •    Consider customer feedback and provide responses in a timely manner.

                                         •    Menerapkan sistem dan prosedur yang sama untuk semua pemasok;
 Hubungan dengan Pemasok                 •    Menjalankan prinsip keterbukaan dalam semua tahapan pengadaan barang dan jasa.
 Relationship with Suppliers             •    Apply uniform systems and procedures to all suppliers;
                                         •    Uphold the principle of transparency throughout every stage of goods and services procurement.

                                         •    Menerapkan prinsip persaingan secara sehat sesuai peraturan perundangan;
                                         •    Menghargai keberadaan pesaing dan memelihara hubungan baik sesuai peraturan perundang-undangan.
 Hubungan dengan Pesaing
                                         •    Apply the principle of fair competition in accordance with applicable laws and regulations;
 Relationship with Competitors
                                         •    Respect the existence of competitors and maintain good relations in compliance with prevailing laws and
                                              regulations.




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 Etika Usaha                                         Komitmen Perseroan
 Business Ethics                                     Company Commitment


                                                     •   Menerapkan prinsip tata kelola perusahaan yang baik sesuai peraturan perundangan;
                                                     •   Menjalankan semua ketentuan dan peraturan yang diprasyaratkan dalam menjalankan usaha Perseroan.
 Hubungan dengan Pemerintah                          •   Apply the principles of Good Corporate Governance (GCG) in accordance with applicable laws and
 Relationship with Government                            regulations;
                                                     •   Comply with all provisions and regulatory requirements necessary for the conduct of the Company’s
                                                         business activities.

                                                     •   Menghormati adat istiadat setempat; dan
 Hubungan dengan Masyarakat Sekitar                  •   Berpartisipasi dalam kegiatan-kegiatan yang meningkatkan nilai sosial Perseroan.
 Relationship with Surrounding Community             •   Respect local customs and traditions;
                                                     •   Participate in activities that enhance the Company’s social value.

                                                     •   Memberikan laporan keadaan Perseroan secara transparan, akurat, dan lengkap sepanjang tidak
                                                         bertentangan dengan kepentingan Perseroan;
                                                     •   Membina hubungan baik melalui penerapan perlakuan yang sama sesuai dengan ketentuan Anggaran
 Hubungan dengan Pemilik Modal                           Dasar Perseroan dan peraturan perundangan yang berlaku.
 Relationship with Capital Owners                    •   Provide reports on the Company’s condition in a transparent, accurate, and comprehensive manner, as long
                                                         as such disclosure does not conflict with the Company’s interests;
                                                     •   Foster good relations by applying equal treatment in accordance with the provisions of the Company’s
                                                         Articles of Association and applicable laws and regulations.

                                                     •   Menerapkan sistem dan prosedur pada Entitas Anak dan perusahaan patungan dengan sistem dan
                                                         prosedur Perseroan; dan
 Hubungan dengan Entitas Anak/Perusahaan             •   Memastikan bahwa operasional dari Entitas Anak dan perusahaan patungan memberikan nilai tambah bagi
 Patungan                                                Perseroan dan menjamin keberlangsungan usaha Perseroan.
 Relationship with Entity Subsidiary/Joint Venture   •   Apply the Company’s systems and procedures consistently across Subsidiaries and joint ventures;
                                                     •   Ensure that the operations of Subsidiaries and joint ventures generate added value for the Company and
                                                         safeguard the sustainability of its business.

                                                     •   Menerapkan sistem satu pintu untuk menjamin akurasi dan keabsahan informasi yang diberikan kepada
                                                         media; dan
 Hubungan dengan Media
                                                     •   Menerima masukan dari kalangan media dengan memperhatikan aspek risiko bagi Perseroan.
 Relationship with the Media
                                                     •   Implement a single-gate system to ensure the accuracy and validity of information provided to the media;
                                                     •    Accept input from the media while taking into account potential risks to the Company.

 Etika Kerja                                         Komitmen Perseroan
 Work Ethics                                         Company Commitment

                                                     •   Menaati semua peraturan perundang-undangan dan segala ketentuan terkait yang mengatur hak dan
                                                         kewajiban sebagai warga negara yang baik;
                                                     •   Menaati semua ketentuan dalam Peraturan Perusahaan dan/atau ketentuan-ketentuan lain yang
 Kepatuhan terhadap Hukum
                                                         dikeluarkan oleh Perseroan.
 Compliance with Law
                                                     •   Comply with all laws and regulations, as well as related provisions governing the rights and obligations of
                                                         responsible citizens;
                                                     •   Adhere to all stipulations in the Company Regulations and/or other provisions issued by the Company.

                                                     •   Tidak terlibat dalam usaha apapun yang berpotensi menimbulkan benturan kepentingan dengan Perseroan;
                                                     •   Melaporkan kepada Unit Kepatuhan apabila menemukan adanya potensi dirinya bila menghadapi benturan
 Benturan Kepentingan                                    kepentingan Perseroan.
 Conflict of Interest                                •   Refrain from engaging in any activities that may give rise to potential conflicts of interest with the Company;
                                                     •   Report to the Compliance Unit if there is any indication of a potential conflict of interest involving oneself
                                                         and the Company.

                                                     •   Tidak memberi atau menerima sesuatu yang bertentangan dengan fungsi kewajiban dirinya sebagai insan
                                                         Perseroan;
 Memberi dan Menerima                                •   Menggunakan pendapatan Perseroan hanya untuk kepentingan operasional Perseroan.
 Give and Accept                                     •   Do not give or accept anything that conflicts with one’s duties and responsibilities as a member of the
                                                         Company;
                                                     •   Use the Company’s income solely for the Company’s operational purposes.

                                                     •   Tidak membicarakan informasi atau data yang bersifat material kepada siapa pun termasuk anggota
                                                         keluarganya; dan
                                                     •   Mencari informasi dan data-data yang dikeluarkan secara resmi sesuai peraturan terkait hanya untuk
 Kerahasiaan
                                                         kepentingan Perseroan.
 Confidentiality
                                                     •   Do not disclose material information or data to any party, including family members;
                                                     •   Obtain information and data officially released in accordance with relevant regulations solely for the
                                                         Company’s purposes.

                                                     •   Melakukan pembelian dan pemanfaatan aset-aset Perseroan secara efektif dan efisien semata-mata untuk
                                                         kepentingan Perseroan; dan
 Pengawasan dan Penggunaan Aset                      •   Melaporkan indikasi pelanggaran dalam pemanfaatan aset Perseroan.
 Supervision and Use of Assets                       •   Conduct the purchase and use of the Company’s assets effectively and efficiently, solely for the Company’s
                                                         interests;
                                                     •   Report any indications of misuse in the use of the Company’s assets




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 Etika Usaha                               Komitmen Perseroan
 Business Ethics                           Company Commitment


                                           •    Menciptakan dan memelihara lingkungan kerja yang sehat dan aman, serta mencegah timbulnya potensi
                                                kecelakaan di tempat bekerja; dan
                                           •    Memahami dengan benar standar dan prosedur kesehatan dan keselamatan kerja yang diterapkan
 Kesehatan dan Keselamatan Kerja                Perseroan.
 Occupational Health and Safety            •    Create and maintain a healthy and safe work environment, while preventing potential workplace accidents;
                                                and
                                           •    Properly understand and comply with the occupational health and safety standards and procedures
                                                established by the Company.

                                           •    Menjaga keharmonisan hubungan kerja tanpa memandang suku, ras, agama, jenis kelamin, dan perbedaan
                                                kelompok; serta
 Hubungan dengan Rekan Kerja               •    Menjaga kewibawaan insan Perseroan baik di dalam maupun di luar Perseroan.
 Relationship with Colleagues              •    Maintain harmonious working relationships regardless of ethnicity, race, religion, gender, or group
                                                differences; and
                                           •    Uphold the dignity of the Company’s personnel both within and outside the organization.



Pemberlakukan Kode Etik Dan Sosialisasi                                 Implementation and Dissemination of the Code of Ethics
Sejak 26 Januari 2016, Rukun Raharja telah menjalankan                  Since January 26, 2016, Rukun Raharja has undertaken initiatives
inisiatif penyebaran Kode Etik melalui serangkaian kegiatan             to disseminate the Code of Ethics through a series of internal
internal. Salah satu bentuk sosialisasi yang dilakukan adalah           activities. One of the dissemination efforts is the distribution of
pembagian Buku Saku Kode Etik bagi karyawan baru yang                   the Code of Ethics Pocketbook to new employees during their
tengah menjalani program orientasi. Pengenalan Kode Etik                orientation program. The introduction of the Code of Ethics is
juga dilakukan melalui laman web internal serta media lainnya           also carried out via the Company’s internal website and other
yang dimiliki oleh Rukun Raharja.                                       communication media owned by Rukun Raharja.

Pemberlakuan Kode Etik                                                  Implementation of the Code of Ethics
Kode Etik wajib dipatuhi oleh seluruh insan Perseroan dengan            The Code of Ethics must be observed by all members of the
menandatangani Pernyataan Kepahaman yang dikoordinasi                   Company by signing a Statement of Understanding coordinated
oleh Departemen Human Resources.                                        by the Human Resources Department.

Penegakan                                                               Enforcement
Penerapan Kode Etik berlaku bagi seluruh jajaran Perseroan,             The Code of Ethics applies to all levels of the Company without
tanpa terkecuali, mulai dari Dewan Komisaris, Direksi, Karyawan,        exception, including the Board of Commissioners, the Board
dan individu lain yang terkait dengan bisnis Perseroan. Penegakan       of Directors, employees, and individuals associated with the
Kode Etik dilakukan dengan cara menandatangani pernyataan               Company’s business. Enforcement is carried out by requiring each
telah menerima, memahami, dan setuju untuk mematuhi                     individual to sign a statement confirming receipt, understanding,
Pedoman Etika Perusahaan (Code of Conduct).                             and agreement to comply with the Company’s Code of Conduct.

Penerapan Kode Etik ini juga membutuhkan kesadaran pribadi              The application of the Code of Ethics also requires personal
seluruh insan Perusahaan dalam aktivitas sehari-hari. Sebagai           awareness from all employees in their daily activities. As part
bentuk tanggung jawab penerapan kode etik antara lain kesediaan         of this responsibility, employees are expected to report or
insan Perusahaan untuk melaporkan atau mengonsultasikan                 consult on any actions that may constitute a violation of the
tindakan pelanggaran Kode Etik tersebut. Dugaan pelanggaran             Code of Ethics. Alleged violations must be reported to the
terhadap kode etik di Perusahaan wajib dilaporkan kepada                Board of Directors, the Board of Commissioners, or the Head
Direksi, Dewan Komisaris, maupun Pimpinan unit kerja                    of the relevant Human Resources unit. Through this reporting
yang membidangi Personalia. Melalui mekanisme pelaporan                 mechanism, the Company guarantees the protection and
dugaan pelanggaran, Perseroan menjamin perlindungan dan                 confidentiality of the whistleblower’s identity.
kerahasiaan identitas pelapor.

Pelanggaran dan Sanksi                                                  Violations and Sanctions
Sanksi diberikan kepada setiap pihak yang terbukti melakukan            Sanctions are imposed on any party proven to have violated
pelanggaran Kode Etik berupa teguran, pemanggilan,                      the Code of Ethics, ranging from warnings and summons to
pemotongan gaji, hingga pemutusan hubungan kerja. Pada                  salary deductions and termination of employment. In 2025, the
tahun 2025, Departemen Human Resources tidak menerima                   Human Resources Department did not receive any reports of
laporan pelanggaran Kode Etik.                                          Code of Ethics violations.




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Program Kepemilikan Saham oleh Karyawan dan
Manajemen
Employee and Management Stock Ownership Program

Pada tahun 2025, Perseroan tidak memiliki program Kepemilikan    In 2025, the Company did not implement any Employee Stock
Saham oleh Karyawan dan Manajemen atau Employee Stock            Ownership Program (ESOP) or Management Stock Option
Option Program (ESOP) dan Management Stock Option Program        Program (MSOP).
(MSOP).


Kebijakan Pengungkapan Informasi
Information Disclosure Policy
Berdasarkan ketentuan POJK No. 11/POJK.04/2017 tentang           In accordance with the provisions of Financial Services Authority
Laporan Kepemilikan atau Setiap Perubahan Kepemilikan            Regulation Number: 11/POJK.04/2017 concerning Reports on
Saham Perusahaan Terbuka, Dewan Komisaris dan Direksi wajib      Ownership or Any Changes in Ownership of Shares in Public
melaporkan kepada Otoritas Jasa Keuangan atas kepemilikan        Companies, the Board of Commissioners and the Board of
dan setiap perubahan kepemilikan saham Perseroan. Atas           Directors are required to report to the Financial Services Authority
ketentuan OJK ini, Perseroaan tunduk dan patuh mengikuti         (OJK) regarding their shareholdings and any changes thereto.
ketentuan yang berlaku, serta secara tertib melaporkan kepada    The Company fully complies with these OJK requirements
OJK terkait kepemilikan dan setiap perubahan kepemilikan         and consistently submits reports on share ownership and any
saham yang terjadi.                                              changes in ownership in an orderly manner.

Terkait informasi kepemilikan saham Perseroan oleh Anggota       With respect to the shareholdings of the Company’s Board
Dewan Komisaris dan Direksi, sebagaimana wujud pelaksanaan       of Commissioners and Board of Directors, as part of the
atas kebijakan pengungkapan informasi berdasarkan ketentuan      implementation of the disclosure policy pursuant to Financial
POJK No. 11/ POJK.04/2017 tentang Laporan Kepemilikan atau       Services Authority Regulation Number: 11/POJK.04/2017,
Setiap Perubahan Kepemilikan Saham Perusahaan Terbuka,           detailed information can be found in the Company Profile section
dapat dilihat pada Bab Profil Perusahaan dalam buku Laporan      of this Annual Report.
Tahunan ini.




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Akses dan Keterbukaan Informasi
Access and Transparency of Information

Perseroan menerapkan prinsip transparansi atau keterbukaan     The Company upholds the principle of transparency in conducting
dalam menjalankan kegiatan bisnis dan operasionalnya sesuai    its business and operational activities in line with the principles
dengan asas Governansi. Perseroan memberikan akses informasi   of good governance. Open access to information is provided to
terbuka bagi pemegang saham dan stakeholders lain. Tujuannya   shareholders and other stakeholders to ensure that interested
agar pihak yang berkepentingan dapat memperoleh informasi      parties can obtain comprehensive information regarding the
yang komprehensif terkait kinerja perusahaan sesuai dengan     Company’s performance, in accordance with prevailing laws
ketentuan peraturan perundang-undangan yang berlaku.           and regulations.

Perseroan menyediakan akses informasi perusahaan baik          The Company facilitates both internal and external access to
internal maupun eksternal melalui berbagai media. Pada         corporate information through various communication channels.
komunikasi eksternal, Perseroan menyediakan layanan akses      For external communication, the Company provides access
informasi dan data perusahaan melalui situs web perusahaan     to corporate information and data via its official website at
di alamat www.raja.co.id. Pemangku kepentingan juga dapat      www.raja.co.id. Stakeholders may also correspond with the
melakukan korespondensi melalui:                               Company through:




                                              Alamat Sementara:
                                              Temporary Address:

                                              Jl. Patal Senayan No.2B, RT.1/RW.7,
                                              Kelurahan Grogol Utara, Kecamatan
                                              Kebayoran Lama, Kota Jakarta Selatan,
                                              Daerah Khusus Ibukota Jakarta 12210.

                                              Telepon (+6221) 2929 1053
                                              Email: corsec@raja.co.id
                                              Website: www.raja.co.id


Selain itu, Perseroan juga senantiasa menciptakan komunikasi   In addition, the Company consistently fosters two-way
dua arah kepada karyawan melalui berbagai media komunikasi     communication with employees through various communication
dalam rangka menciptakan iklim komunikasi internal yang        channels, in order to create a conducive internal communication
kondusif untuk mendukung pencapaian kinerja.                   climate that supports the achievement of performance.




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Kebijakan Pengadaan Barang Dan Jasa
Goods and Services Procurement Policy

Penyediaan barang dan jasa di Perseroan dilakukan melalui                  The Company manages the provision of goods and services
sistem yang terintegrasi serta menjunjung tinggi prinsip,                  through an integrated system that adheres to corporate principles,
kebijakan perusahaan, dan peraturan perundang-undangan yang                policies, and applicable laws and regulations. This system
berlaku. Proses penyediaan barang dan jasa yang dimaksudkan                covers finance, procurement, and the supply chain across all
meliputi bidang keuangan, pembelian, dan juga penyediaan pada              Subsidiaries. The implementation of this system is intended
semua Entitas Anak. Tujuan dari penerapan sistem ini adalah                to facilitate decision-making, ensure the availability of accurate
untuk memudahkan pengambilan keputusan, memastikan                         data, and strengthen oversight of goods and services provision
ketersediaan data yang akurat, dan memperkuat pengawasan                   as well as its reporting. The Company routinely monitors this
terhadap penyediaan barang dan jasa serta pelaporannya.                    system to drive operational efficiency.
Perseroan secara rutin melakukan pengawasan terhadap
sistem ini untuk menciptakan efisiensi usaha.



Sistem Pelaporan Pelanggaran
Whistleblowing System

Sistem Pelaporan Pelanggaran (Whistleblowing System)                       The Whistleblowing System (WBS) is an essential element in
merupakan salah satu unsur penting implementasi Tata                       the implementation of good corporate governance, serving
Kelola Perusahaan yang baik dan berfungsi sebagai sarana                   as a mechanism for preventing and disclosing violations or
dalam pencegahan, pengungkapan pelanggaran atau tindak                     fraudulent acts within the Company.
kecurangan yang terjadi di lingkup Perseroan.
                                                                           The WBS guidelines are stipulated in a resolution of the
Pedoman WBS telah diatur dalam Keputusan Direksi Perseroan.                Company’s Board of Directors. Dissemination of the WBS is
Sosialisasi WBS juga dilakukan melalui email yang dikirimkan ke            also carried out through emails sent to all employees, aimed
semua karyawan dengan tujuan agar timbul kesadaran terkait                 at raising awareness of the WBS and encouraging employees
WBS dan termotivasi untuk mencegah tindak kecurangan di                    to actively prevent fraudulent practices within the Company.
dalam lingkup Perseroan.




                                               Sistem pelaporan pelanggaran (whistleblowing system/
                                               WBS) merupakan sistem yang mampu mengendalikan
                                               tindak pelanggaran Kode Etik maupun pelanggaran
                                                    hukum yang terjadi di lingkungan Perseroan.

                                               The Whistleblowing System (WBS) serves as a mechanism
                                               to address violations of the Code of Ethics as well as
                                                        breaches of law within the Company.




         Perseroan senantiasa memberikan perlindungan terhadap                    Jika menemukan tindak pelanggaran, dapat dilaporkan
         pelapor dengan menjamin kerahasiaan identitas pelapor                    kepada Unit Kepatuhan yang ditunjuk sebagai pihak
         sesuai dengan ketentuan peraturan yang berlaku untuk                     pengelolaa melalui telepon ataupun e-mail. Pengaduan
                menumbuhkan rasa aman bagi pelapor.                               akan diproses jika didikung dengan bukti yang terverifikasi.

         The Company consistently provides protection to                          Any suspected violations may be reported to the Compliance
         whistleblowers by ensuring the confidentiality of their                  Unit, which has been designated as the administrator
         identity in accordance with applicable regulations, thereby              of the WBS, either by telephone or email. Complaints
            fostering a sense of security for those who report.                   will be processed only if supported by verified evidence.




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Cara Penyampaian Laporan Pelanggaran                                Whistleblowing Report Submission
1. Penyampaian Laporan                                              1. Report Submission
   • Pelapor menyampaikan dugaan pelanggaran lewat saluran             • Whistleblowers submit alleged violations through official
     resmi.                                                              reporting channels.
   • Identitas pelapor bisa dirahasiakan (anonim).                     • The whistleblower’s identity may remain confidential
                                                                         (anonymous).
2. Penerimaan & Registrasi                                          2. Receipt & Registration
   Laporan dicatat oleh Unit Audit Internal/Sekretaris Perusahaan      Reports are recorded by the Internal Audit Unit/Corporate
   dalam sistem WBS.                                                   Secretary within the WBS system.

3. Verifikasi Awal                                                  3. Preliminary Verification
   • Tim WBS memeriksa kelengkapan & validitas laporan.                • The WBS team reviews the completeness and validity of
                                                                          the report.
   • Jika tidak relevan → ditutup dengan dokumentasi.                  • If irrelevant → the case is closed with documentation.
   • Jika relevan → dilanjutkan ke investigasi.                        • If relevant → the case proceeds to investigation.
4. Investigasi                                                      4. Investigation
   • Dilakukan oleh Unit Audit Internal/Komite Audit.                  • Conducted by the Internal Audit Unit/Audit Committee.
   • Jika kompleks, dapat melibatkan konsultan/ahli independen.        • In complex cases, independent consultants/ experts may
                                                                          be engaged.
5. Pelaporan Hasil                                                  5. Reporting of Results
   • Rekomendasi hasil investigasi disampaikan ke Direksi/             • Investigation recommendations are submitted to the Board
     Dewan Komisaris.                                                     of Directors/Board of Commissioners.
   • Jika terkait Direksi → langsung ke Dewan Komisaris.               • If the case involves the Board of Directors → reported
                                                                          directly to the Board of Commissioners.
6. Tindakan & Sanksi                                                6. Actions & Sanctions
   Manajemen memutuskan tindakan perbaikan atau sanksi.                Management determines corrective measures or sanctions.

7. Umpan Balik & Penutupan                                          7. Feedback & Closure
   • Hasil tindak lanjut dicatat.                                      • Follow-up results are documented.
   • Pelapor (jika tidak anonim) dapat diberi informasi status         • Whistleblowers (if not anonymous) may be informed of
     laporan.                                                            the status of their report.

Saluran Pelaporan                                                   Reporting Channels
1. Email khusus WBS:wbs@raja.co.id                                  1. Dedicated WBS email: wbs@raja.co.id
2. Hotline telepon/WhatsApp :                                       2. Hotline telephone/WhatsApp: [number to be provided]
3. Website/Portal WBS : www.raja.co.id                              3. WBS Website/Portal: www.raja.co.id

Perlindungan                                                        Protection
Perseroan menjamin perlindungan pelapor dan tertuang dalam          The Company guarantees protection for whistleblowers, as
Perjanjian Kerja Bersama, yang mengatur kerahasiaan identitas       stipulated in the Collective Labor Agreement. This includes
pelapor dan hal-hal yang dilaporkan, perlindungan hukum atas        confidentiality of the whistleblower’s identity and the matters
akibat yang muncul setelah pelaporan, perlindungan terhadap         reported, legal protection against consequences arising from
ancaman fisik yang datang kepada pelapor, serta jaminan tidak       the report, protection against physical threats, and assurance
mendapatkan diskriminasi kepersonaliaan seperti hambatan            of non-discrimination in personnel matters such as career
dalam jenjang karir. Perseroan juga akan memberikan ancaman         progression. The Company also enforces strict measures,
PHK kepada atasan yang memberikan sanksi kepada pelapor.            including potential termination, against supervisors who impose
                                                                    sanctions on whistleblowers.
Penanganan
Penanganan pelaporan pelanggaran dilakukan dengan memegang          Handling of Reports
prinsip kerahasiaan dan keamanan terhadap pelapor. Setiap           Reports of violations are managed under the principles of
pelapor yang memberikan indikasi dan/atau bukti awal terkait        confidentiality and security for whistleblowers. Any whistleblower
pelanggaran akan diproses untuk penyelesaian pelanggaran.           providing indications and/or preliminary evidence of violations
Apabila hasil investigasi terbukti adanya pelanggaran disiplin      will have their report processed for resolution. If the investigation
oleh insan Perseroan, maka dapat diproses sesuai dengan             confirms disciplinary violations by Company personnel, the matter
peraturan yang berlaku.                                             will be addressed in accordance with prevailing regulations.

Pengenaan sanksi yang tegas dan konsisten kepada terlapor           Firm and consistent sanctions are imposed on individuals
yang terbukti bersalah, diharapkan dapat memberikan efek            proven guilty, with the aim of creating a deterrent effect and
jera serta tidak menutup kemungkinan kepada pihak lain yang         discouraging potential violations by others. Furthermore, reports
memiliki niat melakukan pelanggaran. Selain itu laporan yang        received serve as valuable input for improving the Company’s
diterima dapat menjadi masukan untuk perbaikan sistem bagi          systems and practices.
Perseroan agar dapat menjadi lebih baik lagi.




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Pihak Yang Mengelola Pengaduan                                        Complaint Management
1. Unit Audit Internal/Komite Audit → pengelola utama laporan.        1. Internal Audit Unit/Audit Committee → primary administrator
                                                                         of reports.
2.   Sekretaris Perusahaan (Corporate Secretary) → sebagai            2. Corporate Secretary → entry point for reports and
     pintu masuk laporan & koordinasi.                                   coordination.
3.   Dewan Komisaris/Komite Etik → jika laporan terkait Direksi       3. Board of Commissioners/Ethics Committee → if the report
     atau pejabat tinggi.                                                involves Directors or senior executives.

Sosialisasi dan Evaluasi                                              Dissemination and Evaluation
Perseroan melakukan sosialisasi untuk meningkatkan pemahaman          The Company conducts ongoing socialization to enhance
yang baik terhadap WBS kepada Dewan Komisaris dan organ               understanding of the WBS among the Board of Commissioners
pendukungnya, Direksi dan karyawan Perseroan, termasuk                and its supporting organs, the Board of Directors, and employees.
menjadi materi dalam proses induction (pengenalan) bagi               WBS awareness is also incorporated into induction programs
karyawan baru, serta kepada stakeholders Perseroan.                   for new employees and communicated to stakeholders.

Hasil Pengaduan dan Sanksi                                            Complaints and Sanctions Results
Pada tahun 2025, Perseroan tidak menerima pengaduan baru              In 2025, the Company did not receive any new complaints through
melalui Whistleblowing System serta tidak ada proses pengaduan        the Whistleblowing System, nor were there any pending cases
yang terbawa dari tahun sebelumnya melalui Email. Sehingga            carried over from the previous year via email. Accordingly, no
tidak terdapat sanksi/tindak lanjut atas pengaduan yang telah         sanctions or follow-up actions were required.
selesai diproses.


Pengendalian Gratifikasi dan Anti Korupsi
Gratuity Control and Anti-Corruption
Kebijakan Pengendalian Gratifikasi dan Anti Korupsi                   Gratuity Control and Anti-Corruption Policy
Kebijakan terkait pengendalian gratifikasi dan komitmen anti          The Company’s policy on gratuity control and its commitment
korupsi tertuang di dalam Kode Etik Perseroan. Kode etik              to anti-corruption are embedded in the Code of Ethics, which
tersebut wajib ditaati oleh seluruh insan perusahaan. Kebijakan       must be observed by all employees. This policy aims to foster
pengendalian ini bertujuan untuk menciptakan lingkungan               a healthy and conducive work environment, raise awareness
kerja yang sehat dan nyaman, memberikan pemahaman atas                of the negative impacts of gratification and corruption, and
dampak negatif tentang perilaku gratifikasi dan korupsi, serta        strengthen relationships with customers and business partners.
menjalin hubungan baik dengan pelanggan dan mitra kerja.              Implementation of this policy is demonstrated through employment
Adapun implementasinya dibuktikan melalui perjanjian kerja            agreements accompanied by the signing of Integrity Pacts with
yang disertai penandatanganan Pakta Integritas dengan mitra           business partners and customers.
usaha dan pelanggan.

Sosialisasi Program Pengendalian Gratifikasi dan Komitmen             Dissemination of Gratification Control and Anti-Corruption
Anti Korupsi                                                          Commitment
Perseroan senantiasa melakukan sosialisasi dan edukasi terkait        The Company consistently conducts dissemination and education
anti-korupsi kepada pihak internal dan eksternal, antara lain         programs on anti-corruption for both internal and external
melalui pelatihan terkait praktik anti-korupsi, penandatanganan       parties. These initiatives include training on anti-corruption
Pakta Integritas, serta penyampaian informasi terkait anti-korupsi.   practices, the signing of Integrity Pacts, and the dissemination
                                                                      of information related to anti-corruption.




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Penerapan atas Pedoman Tata Kelola Perusahaan
Implementation of Good Corporate Governance Guidelines

Pada Laporan Tahunan ini, Perusahaan telah mengungkapkan                               In this Annual Report, the Company has disclosed information
informasi mengenai penerapan rekomendasi dalam Pedoman                                 on the implementation of recommendations set forth in the
Tata Kelola, sebagaimana dimaksud pada Surat Edaran Otoritas                           Corporate Governance Guidelines, as stipulated in Circular
Jasa Keuangan No. 32/SEOJK.04/2015 tentang Penerapan                                   Letter of the Financial Services Authority (OJK) Number 32/
Pedoman Tata Kelola Perusahaan Terbuka, yakni sebagai berikut:                         SEOJK.04/2015 concerning the Implementation of Corporate
                                                                                       Governance Guidelines for Public Companies, as follows:


 Prinsip                                    Rekomendasi                                                       Penerapan
 Principles                                 Recommendation(s)                                                 Implementation


 Aspek A: Hubungan Perusahaan Terbuka dengan Pemegang Saham Dalam Menjamin Hak-Hak Pemegang Saham
 Aspect A: Public Listed Company’s Relationship with Shareholders in Ensuring Shareholders’ Rights

 Prinsip 1: Meningkatkan nilai              Perusahaan terbuka memiliki cara atau prosedur teknis             Terpenuhi
 penyelenggaraan Rapat Umum                 pengumpulan suara (voting), baik secara terbuka maupun            Complied
 Pemegang Saham.                            tertutup yang mengedepankan independensi, dan
                                            kepentingan Pemegang Saham.
 Principle 1: Increase value organization   Public companies have technical methods or procedures for
 of the General Meeting of Shareholders.    voting, both openly and privately, that prioritize independence
                                            and the interests of shareholders.

                                            Seluruh anggota Direksi dan anggota Dewan Komisaris               Terpenuhi
                                            Perusahaan Terbuka hadir dalam RUPS Tahunan.                      Complied
                                            All members of the Board of Directors and members of
                                            the Board of Commissioners of a Public Company must be
                                            present at the Annual GMS.

                                            Ringkasan risalah RUPS tersedia dalam Situs Web                   Terpenuhi
                                            Perusahaan Terbuka paling sedikit selama 1 (satu) tahun.          Complied
                                            A summary of the minutes of the GMS is available on the
                                            Public Company Website for at least 1 (one) year.

 Prinsip 2. Meningkatkan kualitas           Perusahaan Terbuka memiliki suatu kebijakan komunikasi            Terpenuhi
 Komunikasi Perusahaan Terbuka dengan       dengan pemegang saham atau investor.                              Complied
 Pemegang Saham atau Investor               Public companies must have a communication policy with
                                            shareholders or investors.
 Principle 2: Improve the quality of
 communication between the public           Perusahaan Terbuka mengungkapkan kebijakan komunikasi             Terpenuhi
 company and its shareholders or            Perusahaan Terbuka dengan pemegang saham atau investor            Complied
 investors                                  dalam Situs Web.
                                            Public Companies disclose the communication policy of
                                            Public Companies with shareholders or investors on the
                                            Website.

 Aspek B: Fungsi dan Peran Dewan Komisaris
 Aspect B: Functions and Roles of the Board of Commissioners

 Prinsip 3. Memperkuat keanggotaan dan      3.1. Penentuan jumlah anggota Dewan Komisaris                     Terpenuhi
 Komposisi Dewan Komisaris                  mempertimbangkan kondisi Perusahaan Terbuka.                      Complied
                                            The determination of the number of members of the Board
 Principle 3: Strengthen the membership     of Commissioners considers the conditions of the Public
 and composition of the Board of            Company.
 Commissioners
                                            3.2. Penentuan komposisi anggota Dewan Komisaris                  Terpenuhi
                                            memperhatikan keberagaman keahlian pengetahuan, dan               Complied
                                            pengalaman yang dibutuhkan.
                                            The composition of the Board of Commissioners members
                                            is determined by considering the diversity of knowledge,
                                            expertise, and experience required.




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 Prinsip                                     Rekomendasi                                                     Penerapan
 Principles                                  Recommendation(s)                                               Implementation


 Prinsip 4. Meningkatkan kualitas            Dewan Komisaris mempunyai kebijakan penilaian sendiri           Terpenuhi
 pelaksanaan tugas dan tanggung jawab        (self assessment) untuk menilai kinerja Dewan Komisaris.        Complied
 Dewan Komisaris                             The Board of Commissioners has a self assessment policy
                                             to assess the performance of the Board of Commissioners.
 Principle 4: Improve the quality of
 the implementation of the duties            Kebijakan penilaian sendiri (self assessment) untuk menilai     Terpenuhi
 and responsibilities of the Board of        kinerja Dewan Komisaris, diungkapkan melalui Laporan            Complied
 Commissioners                               Tahunan Perusahaan Terbuka.
                                             Self-assessment policy to assess the performance of the
                                             Board of Commissioners, disclosed through the Annual
                                             Report of Public Companies.

                                             Dewan      Komisaris      mempunyai    kebijakan  terkait       Terpenuhi
                                             pengunduran diri anggota Dewan Komisaris apabila terlibat       Complied
                                             dalam kejahatan keuangan.
                                             The Board of Commissioners has a policy regarding the
                                             resignation of members of the Board of Commissioners if
                                             they are involved in financial crimes.

                                             Dewan Komisaris atau Komite yang menjalankan fungsi             Terpenuhi
                                             Nominasi dan Remunerasi menyusun kebijakan suksesi              Complied
                                             dalam proses Nominasi anggota Direksi.
                                             The Board of Commissioners or the Committee that carries
                                             out the Nomination and Remuneration functions formulates
                                             a succession policy in the process of nominating members of
                                             the Board of Directors.

 Aspek C: Fungsi Dan Peran Direksi
 Aspect C: Functions and Roles of the Board of Directors

 Prinsip 5. Memperkuat keanggotaan dan       5.1. Penentuan jumlah anggota Direksi mempertimbangkan          Terpenuhi
 Komposisi Direksi                           kondisi Perusahaan Terbuka serta efektivitas dalam              Complied
                                             pengambilan keputusan.
 Principle 5: Strengthen the membership      The determination of the number of members of the Board
 and composition of the Board of             of Directors considers the conditions of the Public Company
 Directors                                   and the effectiveness of decision making.

                                             5.2. Penentuan komposisi anggota Direksi memperhatikan          Terpenuhi
                                             keberagaman keahlian, pengetahuan dan pengalaman yang           Complied
                                             dibutuhkan.
                                             The composition of the Board of Directors members is
                                             determined by considering the diversity of expertise,
                                             knowledge and experience required.

                                             5.3. Anggota Direksi yang membawahi bidang akuntansi            Terpenuhi
                                             atau keuangan memiliki keahlian dan/atau pengetahuan di         Complied
                                             bidang akuntansi.
                                             Members of the Board of Directors who supervise accounting
                                             or finance have expertise and/or knowledge in the field of
                                             accounting.

 Prinsip 6. Meningkatkan pelaksanaan         6.1. Direksi memiliki kebijakan penilaian sendiri (self         Terpenuhi
 tugas dan tanggung jawab Direksi            assessment) untuk menilai kinerja Direksi.                      Complied
                                             The Board of Directors has a self-assessment policy to
 Principle 6: Improve the implementation     evaluate the performance of the Board of Directors.
 of the duties and responsibilities of the
 Board of Directors

                                             6.2. Kebijakan penilaian sendiri (self assessment) untuk        Terpenuhi
                                             menilai kinerja Direksi diungkapkan melalui laporan             Complied
                                             tahunan Perusahaan Terbuka.
                                             The self-assessment policy for evaluating the performance
                                             of the Board of Directors is disclosed through the annual
                                             report of a Public Company.

                                             6.3. Direksi mempunyai kebijakan terkait pengunduran diri       Terpenuhi
                                             anggota Direksi apabila terlibat dalam kejahatan keuangan.      Complied
                                             The Board of Directors has a policy regarding the resignation
                                             of members of the Board of Directors if they are involved in
                                             financial crimes.




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Prinsip                                     Rekomendasi                                                     Penerapan
Principles                                  Recommendation(s)                                               Implementation


Aspek D: Partisipasi Pemangku Kepentingan
Aspect D: Stakeholder Participation

Prinsip 7. Meningkatkan aspek tata          7.1. Perusahaan Terbuka memiliki kebijakan untuk                Terpenuhi
kelola Perusahaan melalui partisipasi       mencegah terjadinya insider trading.                            Complied
pemangku kepentingan                        Public companies have policies to prevent insider trading.

Principle 7: Improve the aspect of
corporate governance through the            7.2. Perusahaan Terbuka memiliki kebijakan anti korupsi         Terpenuhi
participation of stakeholders               dan anti fraud.                                                 Complied
                                            Public Companies have anti-corruption and anti-fraud
                                            policies.

                                            7.3. Perusahaan Terbuka memiliki kebijakan tentang seleksi      Terpenuhi
                                            dan peningkatan kemampuan pemasok atau vendor.                  Complied
                                            Public companies have policies regarding the selection and
                                            improvement of suppliers or vendors.

                                            7.4. Perusahaan Terbuka memiliki kebijakan tentang              Terpenuhi
                                            pemenuhan hak-hak kreditur.                                     Complied
                                            Public Companies have policies regarding the fulfillment of
                                            creditor rights.

                                            7.5. Perusahaan Terbuka memiliki kebijakan sistem               Terpenuhi
                                            whistleblowing.                                                 Complied
                                            Public Companies have a whistleblowing policy.

                                            7.6. Perusahaan Terbuka memiliki kebijakan pemberian            Terpenuhi
                                            insentif jangka panjang kepada Direksi dan karyawan.            Complied
                                            Public companies have a policy of providing long-term
                                            incentives to directors and employees.

Aspek E: Keterbukaan informasi
Aspect E: Transparency of Information

Prinsip 8. Meningkatkan keterbukaan         8.1. Perusahaan Terbuka memanfaatkan penggunaan                 Terpenuhi
informasi                                   teknologi informasi secara lebih luas selain Situs Web          Complied
                                            sebagai media keterbukaan informasi.
Principle 8: Improve information            Public Companies utilize information technology on a
disclosure                                  broader scale than just websites as a medium for information
                                            disclosure.

                                            8.2. Laporan Tahunan Perusahaan Terbuka mengungkapkan           Terpenuhi
                                            pemilik manfaat akhir dalam kepemilikan saham                   Complied
                                            Perusahaan Terbuka paling sedikit 5% (lima persen), selain
                                            pengungkapan pemilik manfaat akhir dalam kepemilikan
                                            saham Perusahaan Terbuka melalui pemegang saham
                                            utama dan pengendali.
                                            The Annual Report of a Public Company discloses the
                                            ultimate beneficial owner(s) of at least 5% (five percent) of
                                            the shares in the Public Company, in addition to disclosing
                                            the ultimate beneficial owner(s) of the shares in the Public
                                            Company through the major and controlling shareholders.




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                                                                                                                                      Laporan Tahunan
                                                                                                                                  PT Rukun Raharja Tbk   2025



     Prinsip                                     Rekomendasi                                                     Penerapan
     Principles                                  Recommendation(s)                                               Implementation


     Aspek D: Partisipasi Pemangku Kepentingan
     Aspect D: Stakeholder Participation

     Prinsip 7. Meningkatkan aspek tata          7.1. Perusahaan Terbuka memiliki kebijakan untuk                Terpenuhi
     kelola Perusahaan melalui partisipasi       mencegah terjadinya insider trading.                            Complied
     pemangku kepentingan                        Public companies have policies to prevent insider trading.

     Principle 7: Improve the aspect of
     corporate governance through the            7.2. Perusahaan Terbuka memiliki kebijakan anti korupsi         Terpenuhi
     participation of stakeholders               dan anti fraud.                                                 Complied
                                                 Public Companies have anti-corruption and anti-fraud
                                                 policies.

                                                 7.3. Perusahaan Terbuka memiliki kebijakan tentang seleksi      Terpenuhi
                                                 dan peningkatan kemampuan pemasok atau vendor.                  Complied
                                                 Public companies have policies regarding the selection and
                                                 improvement of suppliers or vendors.

                                                 7.4. Perusahaan Terbuka memiliki kebijakan tentang              Terpenuhi
                                                 pemenuhan hak-hak kreditur.                                     Complied
                                                 Public Companies have policies regarding the fulfillment of
                                                 creditor rights.

                                                 7.5. Perusahaan Terbuka memiliki kebijakan sistem               Terpenuhi
                                                 whistleblowing.                                                 Complied
                                                 Public Companies have a whistleblowing policy.

                                                 7.6. Perusahaan Terbuka memiliki kebijakan pemberian            Terpenuhi
                                                 insentif jangka panjang kepada Direksi dan karyawan.            Complied
                                                 Public companies have a policy of providing long-term
                                                 incentives to directors and employees.

     Aspek E: Keterbukaan informasi
     Aspect E: Transparency of Information

     Prinsip 8. Meningkatkan keterbukaan         8.1. Perusahaan Terbuka memanfaatkan penggunaan                 Terpenuhi
     informasi                                   teknologi informasi secara lebih luas selain Situs Web          Complied
                                                 sebagai media keterbukaan informasi.
     Principle 8: Improve information            Public Companies utilize information technology on a
     disclosure                                  broader scale than just websites as a medium for information
                                                 disclosure.

                                                 8.2. Laporan Tahunan Perusahaan Terbuka mengungkapkan           Terpenuhi
                                                 pemilik manfaat akhir dalam kepemilikan saham                   Complied
                                                 Perusahaan Terbuka paling sedikit 5% (lima persen), selain
                                                 pengungkapan pemilik manfaat akhir dalam kepemilikan
                                                 saham Perusahaan Terbuka melalui pemegang saham
                                                 utama dan pengendali.
                                                 The Annual Report of a Public Company discloses the
                                                 ultimate beneficial owner(s) of at least 5% (five percent) of
                                                 the shares in the Public Company, in addition to disclosing
                                                 the ultimate beneficial owner(s) of the shares in the Public
                                                 Company through the major and controlling shareholders.




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2025   Annual Report
       PT Rukun Raharja Tbk
                                    Together Shaping Excellence For Sustainable Growth




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                                                                                           Laporan Tahunan
                                                                                       PT Rukun Raharja Tbk   2025




                                                       O6      LAPORAN
                                                               KEBERLANJUTAN
                                                               Sustainability Report




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2025     Annual Report
         PT Rukun Raharja Tbk
                                                                                           Together Shaping Excellence For Sustainable Growth




Laporan Keberlanjutan
Laporan Keberlanjutan


Perseroan berkomitmen untuk mengembangkan usaha                 The Company is committed to developing businesses that are
yang tidak hanya berorientasi pada aspek ekonomi, tetapi        not only economically oriented but also emphasize social and
juga mengedepankan aspek sosial dan lingkungan sebagai          environmental aspects as a form of responsibility in supporting
bentuk tanggung jawab dalam mendukung pembangunan               sustainable development. In implementing sustainability
berkelanjutan. Dalam pelaksanaan program Keberlanjutan,         programs, the Company adheres to:
Perseroan berpedoman pada:

1.   Undang-Undang No. 8 Tahun 1999 tentang Perlindungan        1.   Law Number 8 of 1999 concerning Consumer Protection.
     Konsumen.
2.   Undang-Undang No. 13 Tahun 2003 tentang Ketenagakerjaan.   2.   Law Number 13 of 2003 concerning Manpower.
3.   Undang-Undang No. 40 Tahun 2007 tentang Perseroan          3.   Law Number 40 of 2007 concerning Limited Liability
     Terbatas.                                                       Companies.
4.   Peraturan Pemerintah No. 47 Tahun 2012 tentang Tanggung    4.   Government Regulation Number 47 of 2012 concerning
     Jawab Sosial dan Lingkungan Perseroan Terbatas.                 Social and Environmental Responsibility of Limited Liability
                                                                     Companies.
5.   Peraturan Otoritas Jasa Keuangan No. 51/POJK.03/2017       5.   Regulation of the Financial Services Authority (OJK)
     tentang Penerapan Keuangan Berkelanjutan bagi Lembaga           Number 51/POJK.03/2017 concerning the Implementation
     Jasa Keuangan, Emiten, dan Perusahaan Publik.                   of Sustainable Finance for Financial Services Institutions,
                                                                     Issuers, and Public Companies.
6.   Pedoman CSR Bidang Lingkungan dari Kementerian             6.   CSR Guidelines in the Environmental Sector issued by the
     Lingkungan Hidup.                                               Ministry of Environment.
7.   ISO 26000:2010 tentang Pedoman Tanggung Jawab Sosial.      7.   ISO 26000:2010 concerning Guidance on Social Responsibility.
8.   Global Reporting Initiative (GRI) Standard 2021.           8.   Global Reporting Initiative (GRI) Standards 2021.

Informasi mengenai pencapaian kinerja dan pelaksanaan           Information on the Company’s sustainability performance
tanggung jawab sosial dan lingkungan Perseroan disampaikan      achievements and the implementation of social and environmental
secara terpisah dalam Laporan Keberlanjutan Tahun 2025.         responsibility is presented separately in the 2025 Sustainability
Namun demikian, laporan ini merupakan bagian yang tidak         Report. Nevertheless, this report forms an integral part of the
terpisahkan dari Laporan Tahunan Tahun 2025.                    2025 Annual Report.




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                                                                     PT Rukun Raharja Tbk   2025




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2025   Annual Report
       PT Rukun Raharja Tbk
                                    Together Shaping Excellence For Sustainable Growth




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                                                                                      Laporan Tahunan
                                                                                  PT Rukun Raharja Tbk   2025




                                                       O7      Laporan Keuangan
                                                               Financial Report




                                                                    238
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                        PT Rukun Raharja Tbk
 dan Entitas Anaknya/ and Its Subsidiaries

                        Laporan Keuangan Konsolidasian
                    Tanggal 31 Desember 2025 dan 2024
dan untuk tahun-tahun yang berakhir pada tanggal tersebut
                    beserta Laporan Auditor Independen/

                     Consolidated Financial Statements
                    As at December 31, 2025 and 2024
                            and for the years then ended
                      with Independent Auditor’s Report
Page 239
                     DAFTAR ISI                                         TABLE OF CONTENTS


                                                  Halaman/
                                                   Page

Pernyataan direksi tentang tanggung jawab                    Directors' statement regarding the responsibility
 atas laporan keuangan konsolidasian                               for the consolidated financial statements

Laporan auditor independen                                                        Independent auditor's report

Laporan keuangan konsolidasian                                              Consolidated financial statements

    Laporan posisi keuangan konsolidasian           1-3         Consolidated statement of financial position

    Laporan laba rugi dan penghasilan                           Consolidated statement of profit or loss and
       komprehensif lain konsolidasian              4-5                     other comprehensive income

    Laporan perubahan ekuitas konsolidasian          6          Consolidated statement of changes in equity

    Laporan arus kas konsolidasian                  7-8               Consolidated statement of cash flows

    Catatan atas laporan keuangan konsolidasian    9 - 111    Notes to the consolidated financial statements
Page 240

          
Page 241
Laporan Auditor Independen                           Independent Auditor’s Report

Laporan No. : 00752/2.1133/AU.1/02/0754-             Report No. : 00752/2.1133/AU.1/02/0754-
5/1/III/2026                                         5/1/III/2026

Pemegang Saham, Dewan Komisaris                      The Shareholders, Board of Commissioners
dan Direksi                                          and Directors
PT Rukun Raharja Tbk                                 PT Rukun Raharja Tbk

Opini                                                Opinion

Kami telah mengaudit laporan keuangan                We have audited the consolidated financial
konsolidasian PT Rukun Raharja Tbk dan Entitas       statements of PT Rukun Raharja Tbk and Its
Anaknya ("Grup"), yang terdiri dari laporan posisi   Subsidiaries ("the Group"), which comprise the
keuangan konsolidasian tanggal 31 Desember           consolidated statement of financial position as at
2025, serta laporan laba rugi dan penghasilan        December 31, 2025, and the consolidated
komprehensif lain konsolidasian, laporan             statement of profit or loss and other
perubahan ekuitas konsolidasian, dan laporan arus    comprehensive income, consolidated statement of
kas konsolidasian untuk tahun yang berakhir pada     changes in equity and consolidated statement of
tanggal tersebut, serta catatan atas laporan         cash flows for the year then ended, and notes to
keuangan konsolidasian, termasuk informasi           the consolidated financial statements, including
kebijakan akuntansi material.                        material accounting policy information.

Menurut opini kami, laporan keuangan                 In our opinion, the accompanying consolidated
konsolidasian terlampir menyajikan secara wajar,     financial statements present fairly, in all material
dalam semua hal yang material, posisi keuangan       respects, the consolidated financial position of the
konsolidasian Grup tanggal 31 Desember 2025          Group as at December 31, 2025 and its
serta kinerja keuangan konsolidasian dan arus kas    consolidated financial performance and its
konsolidasiannya untuk tahun yang berakhir pada      consolidated cash flows for the year then ended, in
tanggal tersebut, sesuai dengan Standar Akuntansi    accordance with Indonesian Financial Accounting
Keuangan di Indonesia.                               Standards.

Basis Opini                                          Basis for Opinion

Kami melaksanakan audit kami berdasarkan             We conducted our audit in accordance with
Standar Audit yang ditetapkan oleh Institut          Standards on Auditing established by the
Akuntan Publik Indonesia. Tanggung jawab kami        Indonesian Institute of Certified Public
menurut standar tersebut diuraikan lebih lanjut      Accountants. Our responsibilities under those
dalam paragraf Tanggung Jawab Auditor terhadap       standards are further described in the Auditor’s
Audit atas Laporan Keuangan Konsolidasian pada       Responsibilities for the Audit of the Consolidated
laporan kami. Kami independen terhadap Grup          Financial Statements paragraph of our report. We
berdasarkan ketentuan etika yang relevan dalam       are independent of the Group in accordance with
audit kami atas laporan keuangan konsolidasian di    the ethical requirements that are relevant to our
Indonesia, dan kami telah memenuhi tanggung          audit of the consolidated financial statements in
jawab etika lainnya berdasarkan ketentuan            Indonesia, and we have fulfilled our other ethical
tersebut. Kami yakin bahwa bukti audit yang telah    responsibilities in accordance with these
kami peroleh adalah cukup dan tepat untuk            requirements. We believe that the audit evidence
menyediakan suatu basis bagi opini audit kami.       we have obtained is sufficient and appropriate to
                                                     provide a basis for our opinion.
Page 242
Laporan Auditor Independen (lanjutan)                Independent Auditor’s Report (continued)

Laporan No. : 00752/2.1133/AU.1/02/0754-             Report No. : 00752/2.1133/AU.1/02/0754-
5/1/III/2026                                         5/1/III/2026


Hal Audit Utama                                      Key Audit Matters

Hal audit utama adalah hal-hal yang, menurut         Key audit matters are those matters that, in our
pertimbangan profesional kami, merupakan hal         professional judgment, were of most significance in
yang paling signifikan dalam audit kami atas         our audit of the consolidated financial statements
laporan keuangan Konsolidasian tahun kini. Hal-hal   of the current period. These matters were
tersebut disampaikan dalam konteks audit kami        addressed in the context of our audit of the
atas laporan keuangan konsolidasian secara           consolidated financial statements as a whole, and
keseluruhan, dan dalam merumuskan opini kami         in forming our opinion thereon, and we do not
atas laporan keuangan konsolidasian terkait, kami    provide a separate opinion on these matters.
tidak menyatakan suatu opini terpisah atas hal
audit utama tersebut.

Hal audit utama yang teridentifikasi dalam audit     The key audit matters identified in our audit is
kami diuraikan sebagai berikut:                      outline as follows:

1. Aset Tetap                                        1. Fixed Assets

    Pada tanggal 31 Desember 2025, nilai                 As at December 31, 2025, the carrying
    tercatat aset tetap - bersih adalah sebesar          amount of fixed assets - net was amounting
    AS$ 199.437.035 yang mencakup 41,76%                 to US$ 199,437,035 which represents
    dari jumlah aset Grup.                               41.76% of the Group’s total assets.

    Aset tetap dianggap sebagai hal audit utama          Fixed assets are considered a key audit matter
    karena pengukuran penyusutan dan                     as measurement of depreciation and
    penurunan nilai aset tetap mengharuskan              impairment of fixed assets requires the
                                                         management to make judgments,
    manajemen untuk membuat pertimbangan,
                                                         assumptions and estimates related to
    asumsi dan estimasi yang terkait dengan              determining the useful life and method of
    penentuan masa manfaat dan metode                    depreciation and perform a test for the
    penyusutan dan melakukan pengujian                   impairment of fixed assets.
    penurunan nilai aset tetap.

    Respon audit:                                        Audit response:

    −   Kami memperoleh pemahaman,                       −   We obtained understanding, evaluating
        mengevaluasi dan menguji prosedur                    and testing management's control
        pengendalian manajemen terkait aset                  procedures in relation to fixed asset,
        tetap, termasuk penilaian penurunan nilai.           including impairment assessment.
Page 243
Laporan Auditor Independen (lanjutan)               Independent Auditor’s Report (continued)

Laporan No. : 00752/2.1133/AU.1/02/0754-            Report No. : 00752/2.1133/AU.1/02/0754-
5/1/III/2026                                        5/1/III/2026


Hal Audit Utama (lanjutan)                          Key Audit Matters (continued)

1. Aset Tetap (lanjutan)                            1. Fixed Assets (continued)

   Respon audit: (lanjutan)                             Audit response: (continued)

   −   Kami melakukan reviu analitikal dan             −   We performed analytical review and
       verifikasi dokumen terhadap penambahan              document verification on additions and
       dan pelepasan aset tetap.                           disposals of fixed assets.

   −   Kami memverifikasi keberadaan fisik dan         −   We verified the physical existence and
       kepemilikan Grup atas aset tetap tersebut.          ownership of the Group of such fixed
                                                           assets.

   −   Kami memverifikasi kebenaran                    −   We verified the correctness of the
       penghitungan penyusutan sesuai dengan               computation of depreciation according to
       estimasi manajemen atas masa                        the Management's estimates for the
       manfaatnya.                                         useful life.

   −   Kami menilai metodologi yang digunakan          −   We assessed the methodology used by
       oleh manajemen untuk mengestimasi                   management to estimate the recoverable
       jumlah terpulihkan.                                 amounts.

   −   Ketika penilai independen digunakan oleh        −   Where an independent valuer was used by
       manajemen, kami menilai kualifikasi dan             management, we assessed the valuers'
       keahlian penilai, mempertimbangkan                  qualifications and their expertise,
       apakah terdapat hal-hal yang dapat                  considering whether there were any
       mempengaruhi objektivitas atau batasan              matters that might have affected their
       cakupan pada ruang lingkup kerja penilai.           objectivity or might have imposed scope
       Kami membaca laporan valuasi yang                   limitations upon their work. We read the
       mencakup aset Grup tertentu untuk                   valuation reports covering certain Group's
       mempertimbangkan apakah model yang                  assets to consider whether the valuation
       digunakan telah tepat untuk setiap aset             models used were appropriate for each
       dan sesuai untuk digunakan dalam                    asset and suitable for use in determining
       menentukan jumlah tercatat. Kami juga               the carrying value. We also performed
       melakukan pengujian, berdasarkan                    testing, on a sample basis, of the data
       sampel, atas data yang digunakan dalam              used in the valuation process to ensure the
       proses valuasi untuk memastikan                     accuracy of the asset information supplied
       keakurasian informasi aset yang diberikan           to the valuers by management.
       kepada penilai oleh manajemen.
Page 244
Laporan Auditor Independen (lanjutan)                Independent Auditor’s Report (continued)

Laporan No. : 00752/2.1133/AU.1/02/0754-             Report No. : 00752/2.1133/AU.1/02/0754-
5/1/III/2026                                         5/1/III/2026


Hal Audit Utama (lanjutan)                           Key Audit Matters (continued)

1. Aset Tetap (lanjutan)                             1. Fixed Assets (continued)

   Respon audit: (lanjutan)                              Audit response: (continued)

   −   Kami juga menilai kecukupan                      −   We assessed the adequacy of the related
       pengungkapan terkait yang disajikan                  disclosures provided in notes 2j, 3b and 12
       dalam catatan 2j, 3b dan 12 atas laporan             to the consolidated financial statements.
       keuangan konsolidasian.

2. Pengakuan pendapatan penjualan gas alam           2. Revenue recognition on natural gas trading

   Untuk tahun yang berakhir                             For the year ended December 31, 2025, the
   pada tanggal 31 Desember 2025,                        Group's consolidated revenues was amounting
   pendapatan konsolidasian Grup                         to US$ 266,667,002 and which about 53.13%
   adalah sebesar AS$ 266.667.002 yang                   of the total revenue or equivalent to
   sebesar 53,13% dari jumlah pendapatan atau            US$ 141,685,458, comprises natural gas
   setara dengan AS$ 141.685.458,                        trading which are recognized when the natural
   terdiri atas penjualan gas alam yang diakui           gas is distributed to the customers based on
   pada saat gas alam telah didistribusikan              the meter readings.
   kepada pelanggan berdasarkan pencatatan
   pada angka meteran.

   Hal ini signifikan terhadap audit kami karena         This matter is significant to our audit because
   proses pengakuan pendapatan niaga gas alam            the gas trading revenue recognition process is
   dipengaruhi oleh: (i) kelengkapan data yang           affected by the: (i) completeness of data
   diambil selama pembacaan meter, yang                  captured during meter readings, which
   melibatkan pemrosesan data dalam jumlah               involves processing large volume of data from
   besar dari berbagai lokasi dan berbagai               multiple locations and multiple customers, (ii)
   pelanggan, (ii) kesesuaian penerapan tarif yang       propriety of the application of the relevant
   relevan terhadap pemakaian yang dapat                 rates to the billable consumption of different
   ditagih dari berbagai pelanggan yang                  customers classified as industrial and
   diklasifikasikan sebagai pelanggan industri dan       commercial, (iii) complexity in revenue
   komersial, (iii) kompleksitas dalam pengakuan         recognition due to consideration of several
   pendapatan karena pertimbangan beberapa               contractual obligations.
   kewajiban kontraktual.

   Catatan 2n dan 32 atas laporan keuangan               Notes 2n and 32 to the accompanying
   konsolidasian terlampir memberikan                    consolidated financial statements
   pengungkapan yang relevan terkait hal ini.            provide the relevant disclosures related to
                                                         this matter.
Page 245
Laporan Auditor Independen (lanjutan)               Independent Auditor’s Report (continued)

Laporan No. : 00752/2.1133/AU.1/02/0754-            Report No. : 00752/2.1133/AU.1/02/0754-
5/1/III/2026                                        5/1/III/2026


Hal Audit Utama (lanjutan)                          Key Audit Matters (continued)

2. Pengakuan pendapatan penjualan gas alam          2. Revenue recognition on natural gas trading
   (lanjutan)                                          (continued)

   Respon audit:                                        Audit response:

   -   Kami memeroleh suatu pemahaman                   -   We obtained an understanding of the
       mengenai proses pengakuan pendapatan                 Group's gas trading revenue recognition
       penjualan gas alam Grup, termasuk                    process, which includes obtaining and
       memeroleh dan membaca kontrak                        reading significant revenue contracts
       pendapatan signifikan yang ditandatangani            entered into by the Group during the year
       oleh Grup selama tahun berjalan untuk                to evaluate the revenue recognition in
       mengevaluasi pengakuan pendapatan                    accordance with Statement of Financial
       sesuai dengan Pernyataan Standar                     Accounting Standards ("SFAS") 115,
       Akuntansi Keuangan ("PSAK") 115,                     Revenue from Contracts with Customers,
       Pendapatan     dari    Kontrak      dengan           maintaining customer database, capturing
       Pelanggan, memelihara basis data                     billable gas consumption, calculating
       pelanggan, mencatat konsumsi gas yang                billable amounts based on applicable
       dapat ditagih, menghitung jumlah yang                rates, and transferring data from the
       dapat ditagih berdasarkan tarif yang                 billing system to the financial reporting
       berlaku, dan mentransfer data dari sistem            system, and the relevant controls
       penagihan ke sistem pelaporan keuangan,              established by management.
       serta pengendalian terkait yang ditetapkan
       oleh manajemen.

   -   Kami melakukan pengujian pisah batas             -   We performed detailed testing on cut-off
       secara terperinci untuk memastikan                   transactions to ensure gas trading
       pendapatan niaga gas alam diakui pada                revenues were recognized in the correct
       periode yang tepat. Berdasarkan sampel,              period. On a sample basis, we performed
       kami melakukan pengujian detil atas                  test of details of revenue transactions by
       transaksi pendapatan dengan memeriksa                inspecting to the supporting evidence.
       bukti pendukung.

3. Estimasi cadangan minyak dan gas                 3. Estimation of oil and gas reserve

   Grup mengakui properti minyak dan gas -              The Group recognized consolidated oil and gas
   bersih konsolidasian per 31 Desember 2025            properties – net as at December 31, 2025
   sebesar AS$ 18.974.738 atau sama dengan              amounted to US$ 18,974,738 or equivalent to
   3,97% dari total aset konsolidasian. Estimasi        3.97% of total consolidated assets,
   cadangan minyak dan gas digunakan dalam              respectively. Estimation of oil and gas reserves
   perhitungan deplesi atas aset produksi               are used in the calculation depletion expenses,
   tersebut merupakan pos material dalam                which are material line items in the
   laporan keuangan konsolidasian terlampir.            accompanying consolidated financial
                                                        statements.
Page 246
Laporan Auditor Independen (lanjutan)              Independent Auditor’s Report (continued)

Laporan No. : 00752/2.1133/AU.1/02/0754-           Report No. : 00752/2.1133/AU.1/02/0754-
5/1/III/2026                                       5/1/III/2026


Hal Audit Utama (lanjutan)                         Key Audit Matters (continued)

3. Estimasi cadangan minyak dan gas (lanjutan)     3. Estimation of oil and gas reserve (continued)

   Sebagaimana dijelaskan dalam catatan 2s, 3g         As described in notes 2s, 3g and 15 to the
   dan 15 atas laporan keuangan konsolidasian          accompanying consolidated financial
   terlampir, estimasi cadangan minyak dan gas         statements, the estimation of oil and gas
   merupakan hal yang kompleks, karena                 reserves is a complex matter due to significant
   terdapat ketidakpastian estimasi signifikan         uncertainties in assessing the quantities and
   dalam menilai jumlah dan tingkat cadangan di        level of reserves in each oil and gas block, as
   setiap blok minyak dan gas, serta asumsi data       well as economic data assumptions, such as oil
   ekonomi yang digunakan, antara lain, asumsi         and gas price and future operating and capital
   harga minyak dan gas, dan asumsi biaya              cost, which may change from year to year.
   operasi dan modal di masa mendatang, yang
   dapat berubah dari tahun ke tahun.

   Respon audit:                                       Audit response:

   Kami memeroleh suatu pemahaman mengenai             We obtained an understanding of the oil and
   proses estimasi Grup atas cadangan minyak           gas reserves estimation process of the Group
   dan gas serta pengendalian terkait yang             and the relevant controls established by
   ditetapkan oleh manajemen atas estimasi             management on the estimate of oil and gas
   cadangan minyak dan gas yang dibuat oleh            reserves prepared by management. We tested
   manajemen. Kami menguji asumsi-asumsi               key assumptions underlying reserves
   utama yang mendasari penentuan cadangan             determination by comparing forecast prices
   dengan membandingkan proyeksi harga yang            used in the reserves calculation to the oil and
   digunakan terhadap proyeksi harga minyak            gas prices forecast from third party and
   dan gas dari pihak ketiga dan mengevaluasi          evaluated the future capital expenditures with
   proyeksi biaya modal terhadap rencana jangka        the Group's long-term planning and historical
   panjang Grup dan pengeluaran biaya modal            capital expenditures.
   yang telah terjadi.
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Hal Audit Utama (lanjutan)                             Key Audit Matters (continued)

4. Akuisisi Grup Hafar                                 4. Acquisition of Hafar Group

   Efektif pada tanggal 31 Agustus 2025,                   Effective from August 31, 2025, the Company
   Perusahaan mengakuisisi kepemilikan sebesar             acquired a 49% ownership interest in PT Hafar
   49% atas PT Hafar Daya Konstruksi (HDK) dan             Daya Konstruksi (HDK) and PT Hafar Daya
   PT Hafar Daya Samudera dan entitas anak                 Samudera and its subsidiaries (HDS)
   (HDS) (bersama-sama disebut “Grup Hafar”)               (collectively, the “Hafar Group”) for a total
   dengan jumlah harga perolehan sebesar AS$               consideration of US$ 23,851,320. The
   23.851.320. Investasi tersebut dicatat sebagai          investment is accounted for as an investment
   investasi pada entitas asosiasi dengan                  in associates using the equity method. The
   menggunakan metode ekuitas. Grup telah                  Group engaged an external independent
   melibatkan tenaga ahli penilaian independen             valuation expert to assist in determining the
   eksternal untuk membantu dalam penentuan                fair value of the identifiable net assets at the
   nilai wajar atas aset neto teridentifikasi pada         acquisition date, which forms the basis for the
   tanggal akuisisi, yang menjadi dasar dalam              initial recognition of the investment and the
   penentuan nilai tercatat awal investasi serta           determination of any excess of the cost of
   pengakuan selisih nilai perolehan investasi             investment over the Group’s share of the fair
   dengan bagian Grup atas nilai wajar aset neto           value of identifiable net assets. We focused on
   teridentifikasi. Kami memfokuskan perhatian             this area due to the materiality of the
   pada area ini karena materialitas nilai investasi       investment and because the determination of
   tersebut serta penentuan nilai wajar aset neto          the fair value of the identifiable net assets
   teridentifikasi yang mendasari pencatatan               underlying the initial recognition of the
   awal investasi pada entitas asosiasi melibatkan         investment in associates involves significant
   pertimbangan dan estimasi manajemen yang                management judgment and estimates. These
   signifikan. Pertimbangan dan estimasi tersebut          judgments and estimates primarily relate to
   terutama berkaitan dengan identifikasi dan              the identification and measurement of the fair
   pengukuran nilai wajar atas aset dan liabilitas         values of the assets and liabilities acquired
   yang diperoleh dari akuisisi entitas asosiasi           from the acquisition of associate. Accordingly,
   tersebut. Oleh karena itu, akuisisi investasi           the acquisition of the investment in the Hafar
   pada Grup Hafar telah ditetapkan sebagai hal            Group has been determined to be a key audit
   audit utama. Pengungkapan Grup mengenai                 matter. The Group’s disclosures regarding
   investasi pada entitas asosiasi disajikan dalam         investments in associates are presented in
   catatan 2i, 3f dan 11 atas laporan keuangan             notes 2i, 3f and 11 to the consolidated
   konsolidasian.                                          financial statements.
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Hal Audit Utama (lanjutan)                           Key Audit Matters (continued)

4. Akuisisi Grup Hafar (lanjutan)                    4. Acquisition of Hafar Group (continued)

   Respon audit:                                         Audit response:
   -   Kami memperoleh pemahaman dengan                 -   We obtained an understanding from
       manajemen terkait dengan bisnis dan                  management of the business and the
       rasionalisasi dari akuisisi investasi                rationale for the acquisition of the
       tersebut.                                            investment.

   -   Kami memperoleh laporan keuangan Grup            -   We obtained the Hafar Group’s financial
       Hafar serta laporan penilaian yang disusun           statements as well as the valuation report
       oleh tenaga ahli penilaian manajemen dan             prepared by management’s valuation
       menilai proses identifikasi serta penentuan          expert and assessed the process for
       nilai wajar atas aset neto teridentifikasi.          identifying and determining the fair value
                                                            of the identifiable net assets.

   -   Kami melakukan diskusi dengan                    -   We held discussions with management
       manajemen dan tenaga ahli penilai                    and management’s valuation expert
       manajemen mengenai kemungkinan                       regarding the possibility of other
       adanya aset dan liabilitas signifikan lain           significant assets and liabilities relevant to
       yang relevan terhadap penentuan nilai                the fair value determination that may not
       wajar namun belum diidentifikasi.                    have been identified.

   -   Kami menilai kompetensi, kapabilitas, dan        -   We assessed the competence, capabilities,
       objektivitas tenaga ahli eksternal                   and objectivity of management’s external
       manajemen. Kami mengevaluasi                         expert. We evaluated the initial accounting
       perhitungan awal investasi, termasuk                 for the investment, including the
       penentuan selisih antara harga perolehan             determination of any difference between
       investasi dengan bagian Grup atas nilai              the cost of the investment and the Group’s
       wajar aset neto teridentifikasi pada                 share of the fair value of the identifiable
       tanggal akuisisi.                                    net assets at the acquisition date.

   -   Kami mengevaluasi metodologi dan asumsi          -    We evaluate the management’s external
       utama penilaian spesialis manajemen serta            specialist’s valuation methodologies and
       input yang digunakan dalam mengukur nilai            key assumptions used in measuring the
       wajar atas aset signifikan yang diakuisisi.          fair value of the significant assets
                                                            acquired.

   -   Kami menilai kesesuaian penyajian dan            -   We also assessed the appropriateness of
       pengungkapan investasi pada entitas                  the presentation and disclosures of the
       asosiasi dalam laporan keuangan                      investment in associates in the
       konsolidasian.                                       consolidated financial statements.
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Informasi Lain                                        Other Information

Manajemen bertanggung jawab atas informasi            Management is responsible for the other
lain. Informasi lain terdiri dari informasi yang      information. The other information comprises
tercantum dalam laporan tahunan, tetapi tidak         the information included in the annual report,
termasuk laporan keuangan konsolidasian dan           but does not include the consolidated financial
laporan auditor kami. Laporan tahunan diharapkan      statements and our auditor’s report thereon. The
akan tersedia bagi kami setelah tanggal laporan       annual report is expected to be made available to
auditor ini.                                          us after the date of this auditor’s report.

Opini kami atas laporan keuangan konsolidasian        Our opinion on the consolidated financial
tidak mencakup informasi lain, dan oleh karena itu,   statements does not cover the other information
kami tidak menyatakan bentuk keyakinan apapun         and we will not express any form of assurance
atas informasi lain tersebut.                         conclusion thereon.

Sehubungan dengan audit kami atas laporan             In connection with our audit of the consolidated
keuangan konsolidasian, tanggung jawab kami           financial statements, our responsibility is to read
adalah untuk membaca informasi lain yang              the other information identified above when it
teridentifikasi di atas, jika tersedia dan, dalam     becomes available and, in doing so, consider
melaksanakannya, mempertimbangkan apakah              whether the other information is materially
informasi lain mengandung ketidakkonsistensian        inconsistent with the consolidated financial
material dengan laporan keuangan konsolidasian        statements or our knowledge obtained in the audit,
atau pemahaman yang kami peroleh selama audit,        or otherwise appears to be materially misstated.
atau mengandung kesalahan penyajian material.

Ketika kami membaca laporan tahunan, jika             When we read the annual report, if we conclude
kami menyimpulkan bahwa terdapat suatu                that there is a material misstatement therein,
kesalahan penyajian material di dalamnya, kami        we are required to communicate the matter to
diharuskan untuk mengomunikasikan hal                 those charged with governance and take
tersebut kepada pihak yang bertanggung jawab          appropriate actions in accordance with
atas tata kelola dan mengambil tindakan tepat         Standards on Auditing established by the
berdasarkan Standar Audit yang ditetapkan oleh        Indonesian Institute of Certified Public
Institut Akuntan Publik Indonesia.                    Accountants.
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Tanggung Jawab Manajemen dan Pihak yang            Responsibilities of Management and Those
Bertanggung Jawab atas Tata Kelola terhadap        Charged with Governance for the Consolidated
Laporan Keuangan Konsolidasian                     Financial Statements

Manajemen bertanggung jawab atas penyusunan        Management is responsible for the preparation
dan penyajian wajar laporan keuangan               and fair presentation of the consolidated financial
konsolidasian tersebut sesuai dengan Standar       statements in accordance with Indonesian
Akuntansi Keuangan di Indonesia, dan atas          Financial Accounting Standards, and for such
pengendalian internal yang dianggap perlu oleh     internal control as management determines is
Manajemen untuk memungkinkan penyusunan            necessary to enable the preparation of
laporan keuangan konsolidasian yang bebas dari     consolidated financial statements that are free
kesalahan penyajian material, baik yang            from material misstatement, whether due to fraud
disebabkan oleh kecurangan maupun kesalahan.       or error.

Dalam penyusunan laporan keuangan                  In preparing the consolidated financial statements,
konsolidasian, manajemen bertanggung jawab         management is responsible for assessing the
untuk menilai kemampuan Grup dalam                 Group’s ability to continue as a going concern,
mempertahankan kelangsungan usahanya,              disclosing, as applicable, matters related to going
mengungkapkan, sesuai dengan kondisinya, hal-hal   concern and using the going concern basis of
yang berkaitan dengan kelangsungan usaha, dan      accounting unless management either intends to
menggunakan basis akuntansi kelangsungan usaha,    liquidate the Group or to cease operations, or has
kecuali Manajemen memiliki intensi untuk           no realistic alternative but to do so.
melikuidasi Grup atau menghentikan operasi, atau
tidak memiliki alternatif yang realistis selain
melaksanakannya.

Pihak yang bertanggung jawab atas tata kelola      Those charged with governance are responsible for
bertanggung jawab untuk mengawasi proses           overseeing the Group’s financial reporting process.
pelaporan keuangan Grup.
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Tanggung Jawab Auditor terhadap Audit atas           Auditor’s Responsibilities for the Audit of the
Laporan Keuangan Konsolidasian                       Consolidated Financial Statements

Tujuan kami adalah untuk memeroleh keyakinan         Our objectives are to obtain reasonable assurance
memadai tentang apakah laporan keuangan              about whether the consolidated financial
konsolidasian secara keseluruhan bebas dari          statements as a whole are free from material
kesalahan penyajian material, baik yang              misstatement, whether due to fraud or error, and
disebabkan oleh kecurangan maupun kesalahan,         to issue an auditor’s report that includes our
dan untuk menerbitkan laporan auditor yang           opinion. Reasonable assurance is a high level of
mencakup opini kami. Keyakinan memadai               assurance, but is not a guarantee that an audit
merupakan suatu tingkat keyakinan tinggi, namun      conducted in accordance with Standards on
bukan merupakan suatu jaminan bahwa audit yang       Auditing will always detect a material
dilaksanakan berdasarkan Standar Audit akan          misstatement when it exists. Misstatements can
selalu mendeteksi kesalahan penyajian material       arise from fraud or error and are considered
ketika hal tersebut ada. Kesalahan penyajian dapat   material if, individually or in the aggregate, they
disebabkan oleh kecurangan maupun kesalahan          could reasonably be expected to influence the
dan dianggap material jika, baik secara individual   economic decisions of users taken on the basis of
maupun secara agregat, dapat diekspektasikan         these consolidated financial statements.
secara wajar akan memengaruhi keputusan
ekonomi yang diambil oleh pengguna berdasarkan
laporan keuangan konsolidasian tersebut.

Sebagai bagian dari suatu audit berdasarkan          As part of an audit in accordance with Standards
Standar Audit, kami menerapkan pertimbangan          on Auditing, we exercise professional judgment
profesional dan mempertahankan skeptisisme           and maintain professional skepticism throughout
profesional selama audit. Kami juga:                 the audit. We also:

•   Mengidentifikasi dan menilai risiko kesalahan    •   Identify and assess the risks of material
    penyajian material dalam laporan keuangan            misstatement of the consolidated financial
    konsolidasian, baik yang disebabkan oleh             statements, whether due to fraud or error,
    kecurangan maupun kesalahan, mendesain               design and perform audit procedures
    dan melaksanakan prosedur audit yang                 responsive to those risks, and obtain audit
    responsif terhadap risiko tersebut, serta            evidence that is sufficient and appropriate to
    memeroleh bukti audit yang cukup dan tepat           provide a basis for our opinion. The risk of not
    untuk menyediakan basis bagi opini kami.             detecting a material misstatement resulting
    Risiko tidak terdeteksinya kesalahan penyajian       from fraud is higher than for one resulting
    material yang disebabkan oleh kecurangan             from error, as fraud may involve collusion,
    lebih tinggi dari yang disebabkan oleh               forgery, intentional omissions,
    kesalahan, karena kecurangan dapat                   misrepresentations, or the override of internal
    melibatkan kolusi, pemalsuan, penghilangan           control.
    secara sengaja, pernyataan salah, atau
    pengabaian pengendalian internal.
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Tanggung Jawab Auditor terhadap Audit atas         Auditor’s Responsibilities for the Audit of the
Laporan Keuangan Konsolidasian (lanjutan)          Consolidated Financial Statements (continued)

•   Memeroleh suatu pemahaman tentang              •   Obtain an understanding of internal control
    pengendalian internal yang relevan dengan          relevant to the audit in order to design audit
    audit untuk mendesain prosedur audit yang          procedures that are appropriate in the
    tepat sesuai dengan kondisinya, tetapi bukan       circumstances, but not for the purpose of
    untuk tujuan menyatakan opini atas                 expressing an opinion on the effectiveness of
    keefektivitasan pengendalian internal Grup.        the Group’s internal control.

•   Mengevaluasi ketepatan kebijakan akuntansi     •   Evaluate the appropriateness of accounting
    yang digunakan serta kewajaran estimasi            policies used and the reasonableness of
    akuntansi dan pengungkapan terkait yang            accounting estimates and related disclosures
    dibuat oleh manajemen.                             made by management.

•   Menyimpulkan ketepatan penggunaan basis        •   Conclude on the appropriateness of
    akuntansi kelangsungan usaha oleh                  management's use of the going concern basis
    manajemen dan, berdasarkan bukti audit yang        of accounting and, based on the audit
    diperoleh, apakah terdapat suatu                   evidence obtained, whether a material
    ketidakpastian material yang terkait dengan        uncertainty exists related to events or
    peristiwa atau kondisi yang dapat                  conditions that may cast significant doubt on
    menyebabkan keraguan signifikan atas               the Group's ability to continue as a going
    kemampuan Grup untuk mempertahankan                concern. If we conclude that a material
    kelangsungan usahanya. Ketika kami                 uncertainty exists, we are required to draw
    menyimpulkan bahwa terdapat suatu                  attention in our auditor's report to the related
    ketidakpastian material, kami diharuskan           disclosures in the consolidated financial
    untuk menarik perhatian dalam laporan              statements or, if such disclosures are
    auditor kami ke pengungkapan terkait dalam         inadequate, to modify our opinion. Our
    laporan keuangan konsolidasian atau, jika          conclusions are based on the audit evidence
    pengungkapan tersebut tidak memadai, harus         obtained up to the date of our auditor's
    menentukan apakah perlu untuk memodifikasi         report. However, future events or conditions
    opini kami. Kesimpulan kami didasarkan pada        may cause the Group to cease to continue as a
    bukti audit yang diperoleh hingga tanggal          going concern.
    laporan auditor kami. Namun, peristiwa atau
    kondisi masa depan dapat menyebabkan Grup
    tidak dapat mempertahankan kelangsungan
    usaha.
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Tanggung Jawab Auditor terhadap Audit atas          Auditor’s Responsibilities for the Audit of the
Laporan Keuangan Konsolidasian (lanjutan)           Consolidated Financial Statements (continued)

•   Mengevaluasi penyajian, struktur, dan isi       •   Evaluate the overall presentation, structure
    laporan keuangan konsolidasian secara               and content of the consolidated financial
    keseluruhan, termasuk pengungkapannya, dan          statements, including the disclosures, and
    apakah laporan keuangan konsolidasian               whether the consolidated financial statements
    mencerminkan transaksi dan peristiwa yang           represent the underlying transactions and
    mendasarinya dengan suatu cara yang                 events in a manner that achieves fair
    mencapai penyajian wajar.                           presentation.

•   Memeroleh bukti audit yang cukup dan tepat      •   Obtain sufficient appropriate audit evidence
    terkait informasi keuangan entitas atau             regarding the financial information of the
    aktivitas bisnis dalam Grup untuk menyatakan        entities or business activities within the Group
    opini atas laporan keuangan konsolidasian.          to express an opinion on the consolidated
    Kami bertanggung jawab atas arahan,                 financial statements. We are responsible for
    supervisi, dan pelaksanaan audit Grup. Kami         the direction, supervision and performance of
    tetap bertanggung jawab sepenuhnya atas             the Group audit we remain solely responsible
    opini audit kami.                                   for our audit opinion.

Kami mengomunikasikan kepada pihak yang             We communicate with those charged with
bertanggung jawab atas tata kelola mengenai,        governance regarding, among other matters, the
antara lain, ruang lingkup dan saat yang            planned scope and timing of the audit and
direncanakan atas audit, serta temuan audit         significant audit findings, including any significant
signifikan, termasuk setiap defisiensi signifikan   deficiencies in internal control that we identify
dalam pengendalian internal yang teridentifikasi    during our audit.
oleh kami selama audit.

Kami juga memberikan suatu pernyataan kepada        We also provide those charged with governance
pihak yang bertanggung jawab atas tata kelola       with a statement that we have complied with
bahwa kami telah mematuhi ketentuan etika yang      relevant ethical requirements regarding
relevan mengenai independensi, dan                  independence, and to communicate with them all
mengomunikasikan seluruh hubungan, serta hal-       relationships and other matters that may
hal lain yang dianggap secara wajar berpengaruh     reasonably be thought to bear on our
terhadap independensi kami, dan, jika relevan,      independence, and where applicable, related
pengamanan terkait.                                 safeguards.
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Tanggung Jawab Auditor terhadap Audit atas           Auditor’s Responsibilities for the Audit of the
Laporan Keuangan Konsolidasian (lanjutan)            Consolidated Financial Statements (continued)

Dari hal-hal yang dikomunikasikan kepada pihak       From the matters communicated with those
yang bertanggung jawab atas tata kelola, kami        charged with governance, we determine those
menentukan hal-hal tersebut yang paling signifikan   matters that were of most significance in the audit
dalam audit atas laporan keuangan konsolidasian      of the consolidated Financial Statements of the
tahun kini dan oleh karenanya menjadi hal audit      current period and are therefore the key audit
utama. Kami menguraikan hal audit utama dalam        matters. We describe these matters in our auditor’s
laporan auditor kami, kecuali peraturan              report unless law or regulation precludes public
perundang-undangan melarang pengungkapan             disclosure about the matter or when, in extremely
publik tentang hal tersebut atau ketika, dalam       rare circumstances, we determine that a matter
kondisi yang sangat jarang terjadi, kami             should not be communicated in our report because
menentukan bahwa suatu hal tidak boleh               the adverse consequences of doing so would
dikomunikasikan dalam laporan kami karena            reasonably be expected to outweigh the public
konsekuensi merugikan dari mengomunikasikan          interest benefits of such communication.
hal tersebut akan diekspektasikan secara wajar
melebihi manfaat kepentingan publik atas
komunikasi tersebut.



                     Paul Hadiwinata, Hidajat, Arsono, Retno, Palilingan & Rekan




                                 Retno Dwi Andani, S.E., Ak., CPA, CA
                 Registrasi Akuntan Publik/ Public Accountant Registration No. AP.0754

                                    31 Maret 2026/ March 31, 2026
Page 255
PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                         PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN KONSOLIDASIAN                                       CONSOLIDATED STATEMENT OF FINANCIAL POSITION
Tanggal 31 Desember 2025 dan 2024                                                                    As at December 31, 2025 and 2024
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                  (Expressed in full US Dollar amount, unless otherwise stated)




                                                              Catatan/
                                               2025            Notes              2024


ASET LANCAR                                                                                                       CURRENT ASSETS
 Kas dan setara kas                            90.868.436     2e, 2u, 4          44.350.787                Cash and cash equivalents
 Piutang usaha                                                                                                     Trade receivables
    Pihak ketiga - bersih                      28.026.829      2f, 2u, 5         33.547.375                      Third parties - net
    Pihak berelasi                              4.948.958   2f, 2u, 5, 40b              -                          Related parties
 Piutang lain-lain                                                                                                 Other receivables
    Pihak ketiga - bersih                       5.669.426       2f, 2u, 6          2.646.475                     Third parties - net
    Pihak berelasi                                158.374   2f, 2p, 2u, 40c        4.232.132                       Related parties
 Persediaan                                       635.886         2g, 7              568.253                              Inventories
 Pajak dibayar di muka                          2.881.955          17a             2.724.851                            Prepaid taxes
 Uang muka dan beban dibayar                                                                                   Advances and prepaid
   di muka                                      3.707.522       2h, 8              2.738.799                               expenses
 Investasi jangka pendek                          608.701       2u, 9                    -                     Short-term investment
 Aset lancar lain-lain                            103.969      2u, 16a                   -                       Other current assets

   Jumlah aset lancar                       137.610.056                          90.808.672                      Total current assets

ASET TIDAK LANCAR                                                                                             NON-CURRENT ASSETS
 Investasi jangka panjang                      11.962.123       2u, 10                   -                        Long-term investment
 Piutang usaha                                                                                                       Trade receivables
    Pihak ketiga - bersih                          60.288      2f, 2u, 5             194.053                       Third parties - net
 Investasi pada entitas asosiasi               45.813.083       2i, 11             8.623.865                  Investment in associates
 Aset pajak tangguhan                           2.440.652      2m, 17d             1.685.142                        Deferred tax assets
 Taksiran klaim pengembalian                                                                           Estimated claims for income tax
   pajak penghasilan                            950.969          17a                114.615                                     refund
 Aset tetap - bersih                        199.437.035         2j, 12          167.904.947                           Fixed assets - net
 Aset hak guna - bersih                       3.612.628        2l, 13a            2.830.177                    Right of use assets - net
 Aset takberwujud - bersih                      859.930         2k, 14            1.070.592                      Intangible assets - net
 Properti minyak dan gas - bersih            18.974.738         2s, 15           21.708.950                Oil and gas properties - net
 Aset hak kontraktual proyek                  1.484.021          39a              3.179.196             Project contractual right assets
 Goodwill                                    25.188.426        2c, 39b           26.810.373                                    Goodwill
 Aset tidak lancar lain-lain                 29.239.128        2u, 16b            6.420.077                   Other non-current assets

   Jumlah aset tidak lancar                 340.023.021                         240.541.987                  Total non-current assets

JUMLAH ASET                                 477.633.077                         331.350.659                            TOTAL ASSETS




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



                                                                  1
Page 256
PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                      PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN KONSOLIDASIAN                                    CONSOLIDATED STATEMENT OF FINANCIAL POSITION
 (Lanjutan)                                                                                                             (Continued)
Tanggal 31 Desember 2025 dan 2024                                                                 As at December 31, 2025 and 2024
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)               (Expressed in full US Dollar amount, unless otherwise stated)




                                                             Catatan/
                                               2025           Notes            2024


LIABILITAS JANGKA PENDEK                                                                                   CURRENT LIABILITIES
 Pinjaman bank jangka pendek                    7.479.383    2u, 23a            1.667.039                   Short-term bank loans
 Utang usaha                                                                                                        Trade payables
    Pihak ketiga                               26.294.712     2u, 18          18.523.806                              Third parties
 Utang lain-lain                                                                                                    Other payables
    Pihak ketiga                                  664.993     2u, 19              515.270                             Third parties
    Pihak berelasi                                 85.014   2p, 2u, 40d           545.000                          Related parties
 Utang dividen                                  6.297.049     2u, 29                  -                         Dividend payables
 Utang pajak                                    4.672.458       17b             4.864.209                            Taxes payable
 Kewajiban kontrak                              4.889.597     2n, 20            4.311.396                        Contract liabilities
 Beban akrual                                   8.638.016     2u, 21            4.970.804                       Accrued expenses
 Bagian jangka pendek pinjaman                                                                                Current maturities of
  jangka panjang                                                                                                  long-term loans
    Utang pembelian aset tetap                        -       2u, 22             104.360        Fixed assets purchase payables
    Pinjaman bank                              34.826.131    2u, 23b          21.686.680                              Bank loans
    Pinjaman pembiayaan konsumen                  868.412     2u, 24             697.055              Consumer financing loans
    Liabilitas sewa                               611.455    2l, 13b             562.471                        Lease liabilities

   Jumlah liabilitas jangka pendek             95.327.220                     58.448.090                    Total current liabilities

LIABILITAS JANGKA PANJANG                                                                             NON-CURRENT LIABILITIES
 Pinjaman jangka panjang - setelah                                                                           Long term loan - net of
  dikurang bagian jangka pendek                                                                                  current maturities
    Utang pembelian aset tetap                      -         2u, 22              66.468        Fixed assets purchase payables
    Pinjaman bank                           108.207.265      2u, 23b          88.955.087                              Bank loans
    Pinjaman pembiayaan konsumen                957.051       2u, 24           1.218.903              Consumer financing loans
    Liabilitas sewa                             602.433      2l, 13b             353.009                          Lease liabilities
 Liabilitas pembongkaran aset                14.131.992       2t, 25           8.514.079               Asset dismantling obligation
 Liabilitas imbalan pasca-kerja                 687.449       2o, 26             515.282        Post-employment benefits liabilities
 Liabilitas imbalan pensiun direksi                                                                   Pension benefit obligation for
  dan komisaris                                 1.782.275     2o, 27            1.417.160            directors and commissioners

   Jumlah liabilitas jangka panjang         126.368.465                      101.039.988                Total non-current liabilities

   Jumlah liabilitas                        221.695.685                      159.488.078                             Total liabilities




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



                                                                2
Page 257
PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                      PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
LAPORAN POSISI KEUANGAN KONSOLIDASIAN                                    CONSOLIDATED STATEMENT OF FINANCIAL POSITION
 (Lanjutan)                                                                                                             (Continued)
Tanggal 31 Desember 2025 dan 2024                                                                 As at December 31, 2025 and 2024
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)               (Expressed in full US Dollar amount, unless otherwise stated)




                                                             Catatan/
                                               2025           Notes            2024


EKUITAS                                                                                                                         EQUITY
 Ekuitas yang dapat diatribusikan                                                                        Equity attributable to owners
  kepada pemilik entitas induk                                                                                    of the parent entity
   Modal saham                                                                                                         Share capital
    Modal dasar 4.227.082.500 saham                                                            Authorized capital 4,227,082,500
      dengan nilai nominal Rp 25                                                                  shares with nominal value of
      (AS$ 0,0026) per saham,                                                                   Rp 25 (US$ 0.0026) per share,
      seluruhnya telah ditempatkan                                                                 all shares have been issued
      dan disetor penuh                        10.964.473       28            10.964.473                            and fully paid
   Tambahan modal disetor                      32.148.722      30a            23.231.955                   Additional paid in capital
   Selisih atas transaksi ekuitas entitas                                                              The difference in the equity
    anak                                       60.300.540    2b, 30b            5.552.967              transaction of subsidiaries
   Selisih kurs atas penjabaran                                                               Foreign exchange differences from
    laporan keuangan dalam mata                                                               the translation of foreign currency
    uang asing                                 (1.113.990)                        (15.536)                   financial statements
   Komponen ekuitas lain                         (277.282)                        (54.484)                Other equity compponent
   Saldo laba                                                                                                    Retained earnings
      Ditentukan penggunaannya                  185.036                           50.756                              Appropriated
      Belum ditentukan penggunaannya        110.914.975                      105.416.648                           Unappropriated

                                            213.122.474                      145.146.779

 Kepentingan nonpengendali                     42.814.918     2b, 31          26.715.802                   Non-controlling interests

   Jumlah ekuitas                           255.937.392                      171.862.581                               Total equity

JUMLAH LIABILITAS DAN EKUITAS               477.633.077                      331.350.659         TOTAL LIABILITIES AND EQUITY




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



                                                               3
Page 258
PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                       PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
LAPORAN LABA RUGI DAN PENGHASILAN                                             CONSOLIDATED STATEMENT OF PROFIT OR LOSS
 KOMPREHENSIF LAIN KONSOLIDASIAN                                                          AND OTHER COMPREHENSIVE INCOME
Untuk tahun-tahun yang berakhir pada                                                                              For the years ended
 tanggal 31 Desember 2025 dan 2024                                                                     December 31, 2025 and 2024
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                (Expressed in full US Dollar amount, unless otherwise stated)




                                                              Catatan/
                                                2025           Notes            2024


PENDAPATAN BERSIH                            266.667.002       2n, 32         254.476.931                              NET REVENUE

BEBAN POKOK PENDAPATAN                      (194.510.070)      2n, 33        (185.226.881)                       COST OF REVENUE

LABA BRUTO                                     72.156.932                      69.250.050                             GROSS PROFIT

Beban umum dan administrasi                    (25.311.928)    2n, 34          (19.865.164)      General and administrative expenses
Laba selisih kurs - bersih                      (2.220.348)      2d               (331.908)           Gain on foreign exchange - net
Pendapatan lain-lain                             5.079.380     2n, 35            1.951.328                            Others income
Beban lain-lain                                 (9.836.978)    2n, 36           (2.623.860)                          Other expenses

LABA USAHA                                     39.867.058                      48.380.446                       OPERATING PROFIT

Bagian laba entitas asosiasi                   19.747.573      2i, 11            6.154.687             Share of profit from associates

LABA USAHA SEBELUM BEBAN                                                                              PROFIT BEFORE FINANCING
 KEUANGAN DAN PAJAK                                                                                           AND INCOME TAX
 PENGHASILAN                                   59.614.631                      54.535.133                            EXPENSE

Beban keuangan/bunga                           (10.071.435)    2n, 37          (10.316.208)                     Finance/interest costs

LABA SEBELUM BEBAN                                                                                        PROFIT BEFORE INCOME
 PAJAK PENGHASILAN                             49.543.196                      44.218.925                         TAX EXPENSE

Beban pajak penghasilan                        (14.523.451)   2m, 17d          (15.136.415)                       Income tax expense

LABA TAHUN BERJALAN                            35.019.745                      29.082.510                   PROFIT FOR THE YEAR

PENGHASILAN/(KERUGIAN)                                                                                     OTHER COMPREHENSIVE
 KOMPREHENSIF LAIN                                                                                                    INCOME/(LOSS)
 Pos-pos yang tidak akan                                                                            Items that will not be reclassified
  direklasifikasi ke laba rugi:                                                                                        to profit or loss:
   Pengukuran kembali liabilitas                                                                                 Remeasurement of
     imbalan pasca-kerja                                                                               post-employment benefits
     (setelah pajak)                             (300.287)                         (13.464)                  obligation (net of tax)
 Pos-pos yang akan direklasifikasi                                                                       Items that will be reclassified
  ke laba rugi:                                                                                                        to profit or loss:
   Selisih kurs penjabaran                                                                           Difference in foreign currency
     laporan keuangan                                                                                   translation of subsidiary’s
     entitas anak                               (1.100.695)                        (10.916)                   financial statements

 Jumlah kerugian                                                                                          Total other comprehensive
  komprehensif lain                             (1.400.982)                        (24.380)                                   loss

JUMLAH PENGHASILAN                                                                                        TOTAL COMPREHENSIVE
 KOMPREHENSIF TAHUN                                                                                            INCOME FOR THE
 BERJALAN                                      33.618.763                      29.058.130                               YEAR




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




                                                                4
Page 259
PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                     PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
LAPORAN LABA RUGI DAN PENGHASILAN                                           CONSOLIDATED STATEMENT OF PROFIT OR LOSS
 KOMPREHENSIF LAIN KONSOLIDASIAN (Lanjutan)                               AND OTHER COMPREHENSIVE INCOME (Continued)
Untuk tahun-tahun yang berakhir pada                                                                            For the years ended
 tanggal 31 Desember 2025 dan 2024                                                                   December 31, 2025 and 2024
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)              (Expressed in full US Dollar amount, unless otherwise stated)




                                                            Catatan/
                                               2025          Notes            2024


LABA TAHUN BERJALAN YANG                                                                                 PROFIT FOR THE YEAR
 DAPAT DIATRIBUSIKAN KEPADA:                                                                               ATTRIBUTABLE TO:
   Pemilik entitas induk                       27.240.089                    25.552.112              Owners of the parent entity
   Kepentingan nonpengendali                    7.779.656                     3.530.398                Non-controlling interests

      Jumlah                                   35.019.745                    29.082.510                                   Total

JUMLAH PENGHASILAN                                                                                     TOTAL COMPREHENSIVE
 KOMPREHENSIF TAHUN                                                                                                 INCOME FOR
 BERJALAN YANG DAPAT                                                                                                   THE YEAR
 DIATRIBUSIKAN KEPADA:                                                                                     ATTRIBUTABLE TO:
   Pemilik entitas induk                       25.894.553                    25.527.284              Owners of the parent entity
   Kepentingan nonpengendali                    7.724.210                     3.530.846                Non-controlling interests

      Jumlah                                   33.618.763                    29.058.130                                   Total

LABA PER SAHAM YANG DAPAT                                                                             EARNINGS PER SHARE
 DIATRIBUSIKAN KEPADA PEMILIK                                                                 ATTRIBUTABLE TO OWNERS OF
 ENTITAS INDUK - DASAR DAN                                                                  THE PARENT ENTITY - BASIC AND
 DILUSIAN                                        0,00644     2q, 38             0,00604                           DILUTED




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




                                                              5
Page 260
PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                                                                                                                                      PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
LAPORAN PERUBAHAN EKUITAS KONSOLIDASIAN                                                                                                                                                  CONSOLIDATED STATEMENT OF CHANGES IN EQUITY
Untuk tahun-tahun yang berakhir pada tanggal 31 Desember 2025 dan 2024                                                                                                                            For the years ended December 31, 2025 and 2024
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                                                                                                                               (Expressed in full US Dollar amount, unless otherwise stated)




                                                                                    Ekuitas yang dapat diatribusikan kepada pemilik entitas induk/
                                                                                           Equity attributable to owner of the parent entity
                                                                                                  Selisih kurs
                                                                                               atas penjabaran
                                                                                                    laporan
                                                                                                   keuangan/
                                                                             Selisih ekuitas        Foreign
                                                                              dari setoran         exchange                                     Saldo laba/
                                                                             Entitas Anak/       differences                                 Retained earnings
                                                           Tambahan         The difference             from          Komponen                               Belum                          Kepentingan
                                                          modal disetor/    in the equity of    the translation     ekuitas lain/      Ditentukan         ditentukan                      nonpengendali/
                               Catatan/   Modal saham/      Additional        Subsidiaries        of financial      Other equity    penggunaannya/ penggunaannya/         Jumlah/         Non-controlling   Jumlah ekuitas/
                                Notes     Share capital   paid in capital       deposits          statements        component         Appropriated      Unappropriated     Total             interests       Total equity


Saldo per 31 Desember 2023                  10.964.473      23.231.955          5.552.967             (5.863)         (54.484)            31.468          89.898.979     129.619.495         24.922.791       154.542.286     Balance as at December 31, 2023

 Penyertaan kepentingan                                                                                                                                                                                                               Acquisition of interest in
    pada entitas anak                              -                -                 -                  -                -                  -                   -               -              (502.840)        (502.840)                        subsidiary
 Pengalokasian dana cadangan      29               -                -                 -                  -                -               19.288             (19.288)            -                   -                -            Allocation of reserve funds
 Dividen tunai                  29, 31             -                -                 -                  -                -                  -           (10.000.000)    (10.000.000)         (1.234.995)     (11.234.995)                     Cash dividends
 Laba periode berjalan                             -                -                 -                  -                -                  -            25.552.112      25.552.112           3.530.398       29.082.510                  Profit for the period
 Penghasilan/(kerugian)                                                                                                                                                                                                                 Other comprehensive
    komprehensif lain                              -                -                 -               (9.673)             -                   -              (15.155)        (24.828)               448            (24.380)                   income/(loss)

Saldo per 31 Desember 2024                  10.964.473      23.231.955          5.552.967            (15.536)         (54.484)            50.756        105.416.648      145.146.779         26.715.802       171.862.581     Balance as at December 31, 2024

 Pendirian entitas anak                            -                -                 -                  -                -                   -                   -                 -         7.359.098         7.359.098         Establishment of subsidiary
 Perubahan kepemilikan                                                                                                                                                                                                              Restructure ownership of
    pada entitas anak          30b, 31             -                -         54.747.573                 -           (222.798)                -              (36.103)     54.488.672            570.684        55.059.356                         subsidiary
 Tambahan modal disetor                                                                                                                                                                                                                      Additional paid-in
    entitas anak               30a, 31             -         8.916.767                -                  -                -                  -                   -         8.916.767           4.001.697       12.918.464              capital of subsidiary
 Pengalokasian dana cadangan      29               -               -                  -                  -                -              134.280            (134.280)            -                   -                -            Allocation of reserve funds
 Dividen tunai                  29, 31             -               -                  -                  -                -                  -           (21.324.297)    (21.324.297)         (3.556.573)     (24.880.870)                     Cash dividends
 Laba periode berjalan                             -               -                  -                  -                -                  -            27.240.089      27.240.089           7.779.656       35.019.745                  Profit for the period
 Penghasilan/(kerugian)                                                                                                                                                                                                                 Other comprehensive
    komprehensif lain                              -                -                 -           (1.098.454)             -                   -             (247.082)     (1.345.536)           (55.446)        (1.400.982)                   income/(loss)

Saldo per 31 Desember 2025                  10.964.473      32.148.722        60.300.540          (1.113.990)        (277.282)           185.036        110.914.975      213.122.474         42.814.918       255.937.392     Balance as at December 31, 2025




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


                                                                                                                                 6
Page 261
PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                       PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
LAPORAN ARUS KAS KONSOLIDASIAN                                                   CONSOLIDATED STATEMENT OF CASH FLOWS
Untuk tahun-tahun yang berakhir pada tanggal                                                                      For the years ended
 31 Desember 2025 dan 2024                                                                             December 31, 2025 and 2024
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                (Expressed in full US Dollar amount, unless otherwise stated)




                                                              Catatan/
                                                2025           Notes            2024

ARUS KAS DARI AKTIVITAS                                                                           CASH FLOWS FROM OPERATING
 OPERASI                                                                                                                ACTIVITIES
 Penerimaan dari pelanggan                   267.944.714                      255.472.172                 Receipts from customers
 Pembayaran kepada pemasok,                                                                                  Payments to suppliers,
  karyawan dan operasional                  (185.627.857)                    (188.209.458)             employees and operational
 Pembayaran biaya keuangan/bunga              (9.139.889)                      (9.471.203)         Payments for finance/interest cost
 Pembayaran pajak penghasilan                (15.447.737)                     (12.416.657)              Payments for income taxes
 Penerimaan restitusi pajak                       32.509        17f               231.322              Receipts from tax restitution
 Penerimaan/(pembayaran)                                                                               Receipts from/(payments for)
  lain-lain- bersih                             (4.947.639)                      2.231.794                             others - net

 Kas bersih diperoleh dari                                                                                     Net cash provided by
  aktivitas operasi                            52.814.101                      47.837.970                       operating activities

ARUS KAS DARI AKTIVITAS                                                                            CASH FLOWS FROM INVESTING
 INVESTASI                                                                                                                ACTIVITIES
 Perolehan aset tetap                          (44.573.153)    12, 46          (10.149.011)               Acquisitions of fixed assets
 Akuisisi entitas asosiasi                     (23.851.320)      11                    -          Acquisitions of associate company
 Hasil pelepasan aset tetap                        416.727       12                 69.802         Proceed from sale of fixed assets
 Perolehan aset takberwujud                        (61.076)                        (55.961)          Acquisitions of intangible assets
 Penerimaan dividen kas dari                                                                          Receipt of cash dividends from
  entitas asosiasi                               6.362.564      11               7.437.798                                 associates
 Akuisisi entitas anak                                 -                        (2.671.794)                 Acquisitions of subsidiary
 Perolehan properti minyak dan gas              (1.317.831)     15              (1.002.349)     Acquisitions of oil and gas properties
 Penarikan/(penempatan) kas di bank                                                                        Withdrawal/(placement) of
  dan deposito berjangka yang                                                                            restricted cash in bank and
    dibatasi penggunaanya - bersih              (7.910.800)      16              2.888.003                        time deposit - net
 Penempatan investasi jangka pendek               (615.217)      9                     -           Short-term investment placement
 Penempatan investasi jangka panjang           (12.060.908)      10                    -            Long-term investment placement
 Pembayaran refundable deposit                 (12.500.000)     16b                    -            Payments for refundable deposit
 Pembayaran kepada pihak                                                                                                 Payments for
  non pengendali                                 (222.798)                             -                      non-controlling interest
 Penerimaan atas divestasi entitas anak                                                       Proceeds from divestment of subsidiary
  tanpa kehilangan pengendalian                56.555.220     30c, 31                  -                       without loss of control
 Pembayaran biaya terkait divestasi                                                                       Payment of costs related to
  entitas anak                                  (1.807.647)                            -                    divestment of subsidiary

 Kas bersih digunakan untuk                                                                                         Net cash used in
  aktivitas investasi                          (41.586.239)                     (3.483.512)                      investing activities




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




                                                                7
Page 262
PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                       PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
LAPORAN ARUS KAS KONSOLIDASIAN                                                   CONSOLIDATED STATEMENT OF CASH FLOWS
 (Lanjutan)                                                                                                              (Continued)
Untuk tahun-tahun yang berakhir pada tanggal                                                                      For the years ended
 31 Desember 2025 dan 2024                                                                             December 31, 2025 and 2024
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                (Expressed in full US Dollar amount, unless otherwise stated)




                                                              Catatan/
                                                2025           Notes            2024

ARUS KAS DARI AKTIVITAS                                                                           CASH FLOWS FROM FINANCING
 PENDANAAN                                                                                                             ACTIVITIES
 Penerimaan dari pinjaman bank               124.951.332                         4.044.233                  Receipts of bank loans
 Pembayaran untuk pinjaman bank              (86.972.245)                      (26.356.804)             Repayments of bank loans
 Pembayaran dividen kas kepada                                                                      Payments for cash dividends to
  pemilik entitas induk                        (15.021.615)     29             (10.000.000)            owners of the parent entity
 Pembayaran dividen kas kepada                                                                      Payments for cash dividends to
  kepentingan nonpengendali                     (3.556.573)                     (1.234.995)              non-controlling interests
 Penerimaan dari pinjaman                                                                                 Receipts from consumer
  pembiayaan konsumen - bersih                    (834.742)                         (4.639)                   financing loan - net
 Pembayaran untuk liabilitas sewa               (2.431.648)                     (2.722.931)           Payments for lease liabilities
 Penerimaan dari                                                                                                    Received from
  pihak berelasi - bersih                       3.258.182                        1.806.631                   related parties - net
 Penerimaan dari penawaran                                                                              Proceeds from initial public
  umum perdana entitas anak                    13.497.306                              -                    offering of subsidiary
 Pembayaran biaya                                                                                                Payment of share
  penerbitan saham entitas anak                  (407.794)                             -              issuance cost of subsidiary
 Setoran modal dari                                                                                       Capital contribution from
  non pengendali                                7.359.098                              -                 non-controlling interests

 Kas bersih diperoleh dari/                                                                           Net cash provided by/(used in)
  (digunakan untuk) aktivitas pendanaan        39.841.301                      (34.468.505)                     financing activities

KENAIKAN BERSIH                                                                                              NET INCREASE IN
 KAS DAN SETARA KAS                            51.069.163                        9.885.953       CASH AND CASH EQUIVALENTS

KAS DAN SETARA KAS                                                                               CASH AND CASH EQUIVALENTS
 AWAL TAHUN                                    44.350.787                      34.867.986       AS AT THE BEGINNING OF YEAR

 Dampak perubahan kepemilikan                                                                        Effect of changes in ownership
  entitas anak                                  (4.001.697)                         15.786                          of subsidiaries
 Dampak perubahan selisih kurs                    (549.817)                       (418.938)         Effect of exchange rate changes

KAS DAN SETARA KAS                                                                                CASH AND CASH EQUIVALENTS
 AKHIR TAHUN                                   90.868.436        4             44.350.787                AT THE END OF YEAR




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




                                                                8
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                            PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                              NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN                                                                                                             STATEMENTS
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                           As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                             for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                     (Expressed in full US Dollar amount, unless otherwise stated)


1. UMUM                                                                  1.     GENERAL

   a. Pendirian dan informasi umum                                              a. Establishment and general information

      PT Rukun Raharja Tbk, ("Perusahaan") didirikan                               PT Rukun Raharja Tbk ("the Company") was
      berdasarkan akta No. 290 tanggal 24 Desember 1993                            established by deed No. 290 dated December 24, 1993
      yang dibuat di hadapan Ir. Rusli, S.H., dan diubah dengan                    were made before Ir. Rusli, S.H., and amended by deed
      akta No. 163 tanggal 19 Februari 1994 yang dibuat di                         No. 163 dated February 19, 1994 were made before
      hadapan Kristianto, S.H., Notaris di Jakarta. Akta ini telah                 Kristianto, S.H., Notary in Jakarta. This deed was
      disahkan oleh Menteri Kehakiman (sekarang Menteri                            approved by the Minister of Justice (currently known as
      Hukum dan Hak Asasi Manusia) Republik Indonesia                              the Minister of Law and Human Rights) of the Republic
      No.C2.12743. HT.01.01-Th 94 tanggal 23 Agustus 1994.                         of Indonesia No.C2. 12743. HT.01.01-Th 94 dated
      Perusahaan telah melakukan penyesuaian Anggaran                              August 23, 1994. The Company has adjusted the
      Dasar Perusahaan dengan Undang-Undang No. 40                                 Company's Articles by Law No. 40 In 2007, based on
      Tahun 2007, berdasarkan Akta Pernyataan Keputusan                            the Deed No. 35 on August 8, 2008 made by Mrs.
      Rapat No. 35 Tanggal 8 Agustus 2008 yang dibuat oleh                         Poerbaningsih Adi Warsito, S.H., Notary in Jakarta,
      Ny. Poerbaningsih Adi Warsito, S.H., Notaris di Jakarta,                     where the deed was approved by the Minister of Law
      dimana akta tersebut telah memperoleh persetujuan dari                       and Human Rights of the Republic of Indonesia No.
      Menteri Hukum dan Hak Asasi Manusia Republik                                 AHU-85276.AH.01.02 Tahun 2008 dated November 13,
      Indonesia dengan No. AHU-85276.AH.01.02 Tahun 2008                           2008.
      tanggal 13 November 2008.

      Berdasarkan Akta Pernyataan Keputusan Rapat Umum                             Based on the Deed of Extraordinary General
      Pemegang Saham Luar Biasa No. 1 tanggal 9 Juli 2010                          Shareholders No. 1 dated July 9, 2010 that made before
      yang dibuat di hadapan Notaris Ny. Rini Yulianti, S.H.,                      Notary Mrs. Rini Yulianti, S.H., the shareholders have
      pemegang saham telah menyetujui perubahan bidang                             approved changing the Company's previous line of
      usaha Perusahaan dari sebelumnya bergerak dalam                              business is engaged in real estate to be engaged in the
      bidang real estate menjadi bergerak dalam bidang                             integrated energy providers from upstream to
      penyedia energi terintegrasi dari hulu sampai dengan hilir.                  downstream. The amendment of the Articles of
      Perubahan Anggaran Dasar Perusahaan tersebut telah                           Association of the Company has obtain the approval
      memperoleh persetujuan dari Menteri Hukum dan Hak                            from the Minister of Laws and Human Rights of
      Asasi Manusia Republik Indonesia melalui surat                               Republic of Indonesia based on its Decree No. AHU-
      keputusan No. AHU-35808.AH.01.02 Tahun 2010 tanggal                          35808.AH.01.02 Year 2010 dated July 16, 2010.
      16 Juli 2010. Perubahan Anggaran Dasar Perusahaan                            Amendments to the Articles of Association were last
      yang terakhir dimuat dalam Akta Pernyataan Keputusan                         published in Deed No. 9 On June 11, 2014 were made
      Rapat No. 9 Tanggal 11 Juni 2014 yang dibuat di                              before Rini Yulianti, S.H., Notary in Jakarta, and has
      hadapan Rini Yulianti, S.H., Notaris di Jakarta dan telah                    obtained the approval of an amendment of the Minister
      memperoleh persetujuan perubahan Anggaran Dasar dari                         of Justice and Human Rights of the Republic of
      Menteri Hukum dan Hak Asasi Manusia Republik                                 Indonesia with No. AHU-02946.40.21.2014 dated June
      Indonesia dengan No. AHU-02946.40.21.2014 tanggal 13                         13, 2014.
      Juni 2014.


      Perusahaan telah melakukan penyesuaian Anggaran                              The Company has adjusted the Articles of Association
      Dasar Perusahaan dengan peraturan Otoritas Jasa                              their Company to the Financial Services Authority
      Keuangan No. 32/POJK.04/2014 tentang Rencana dan                             regulation No. 32/POJK.04/2014 on the Planning and
      Penyelenggaraan Rapat Umum Pemegang Saham dan                                Implementation of the General Meeting of Shareholders
      Peraturan Otoritas Jasa Keuangan No. 33/POJK.04/2014                         and the Financial Services Authority Regulation No.
      tentang Direksi dan Dewan Komisaris, berdasarkan Akta                        33/POJK.04/2014 of the Board of Directors and the
      Pernyataan Keputusan Rapat No. 14 tanggal 22                                 Board of Commissioners, based on the Deed No. 14
      Desember 2015 yang dibuat di hadapan Rini Yulianti,                          dated December 22, 2015 were made before Rini
      S.H., Notaris di Jakarta, dimana akta tersebut telah                         Yulianti, S.H., Notary in Jakarta, where the deed has
      memperoleh penerimaan pemberitahuan perubahan                                gained acceptance notification of an amendment of the
      Anggaran Dasar dari Menteri Hukum dan Hak Asasi                              Minister of Justice and Human Rights of the Republic of
      Manusia RI dengan No. AHU-AH.01.03-0001182 tanggal                           Indonesia No. AHU-AH.01.03-0001182 dated January
      8 Januari 2016.                                                              8, 2016.




                                                                     9
Page 264
PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                     PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                       NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                              STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                    As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                      for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)              (Expressed in full US Dollar amount, unless otherwise stated)


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

   a. Pendirian dan informasi umum (Lanjutan)                            a. Establishment and general information (Continued)

      Maksud dan tujuan Perusahaan sesuai dengan Pasal 3                   The Company's purposes and objectives in accordance
      Anggaran Dasar adalah sebagai berikut:                               with Article 3 of the Articles of Association are as
                                                                           follows:
      - Menjalankan usaha dibidang jasa atau pelayanan yang                - To carry out a business in the service which include
        meliputi jasa-jasa penunjang pertambangan minyak                       supporting services to oil and gas mining, power
        dan gas, penyediaan tenaga listrik, konsultasi bidang                  generation, consultancy in energy and mining, port
        energi dan pertambangan, pengelolaan pelabuhan,                        services, loading and unloading containers, building
        bongkar muat peti kemas, pengelolaan dan penyewaan                     management and rental, supporting utilities of
        gedung, sarana penunjang perusahaan properti dan                       property company and consultancy in planning and
        konsultasi bidang perencanaan dan pengawasan                           construction supervision;
        pembangunan;
      - Menjalankan usaha dibidang pertambangan yang                       - To carry out business in mining, including distribution
        meliputi pendistribusian gas dan Bahan Bakar Minyak                  of gas and fuel oil, gas storage and fuel development,
        ("BBM"), penyimpanan gas dan pengembangan BBM,                       as well as trade capacity and fuel gas transmission
        serta perdagangan kapasitas pipa transmisi gas dan                   pipeline;
        BBM;
      - Menjalankan usaha penunjang yang meliputi usaha                    - To carry out supporting business including
        pemborongan, perdagangan antara lain perdagangan                     contracting, trading such as trading related with real
        yang berhubungan dengan usaha real estate dan                        estate and property; import, export, local and inter-
        properti; perdagangan impor, ekspor, lokal serta antar               island trading, as well as large commercial
        pulau, demikian pula usaha-usaha perdagangan besar,                  enterprises, as agents, suppliers, wholesalers and
        sebagai agen, leveransir, grosir dan distributor;                    distributors; act as representatives of agencies, other
        bertindak sebagai perwakilan dari badan-badan,                       companies both inside and outside the country.
        perusahaan-perusahaan lain baik di dalam maupun di
        luar negeri.

      Pada saat ini, Perusahaan menjalankan usahanya di                    Currently, the Company’s conducts its business in the
      bidang jasa atau pelayanan distribusi gas alam.                      field of service or natural gas distribution services. The
      Perusahaan berdomisili di Office Park Thamrin                        Company is domiciled at Office Park Thamrin
      Residences Blok A No. 01-05, Tanah Abang, Jakarta                    Residences Blok A No. 01-05, Tanah Abang, Central
      Pusat.                                                               Jakarta.

   b. Penawaran umum efek Perusahaan                                     b. The Company’s public offering

      Pada tanggal 31 Desember 2002, Perusahaan                            On December 31, 2002, the Company obtained the
      memperoleh surat pernyataan efektif dari Ketua Badan                 effective statement approval from the Chairman of the
      Pengawas Pasar Modal ("Bapepam") dengan surat                        Capital Market Supervisory Board ("Bapepam") on its
      Nomor S-2699/PM/2002 untuk melakukan Penawaran                       letter No. S-2699/PM/2002 to do initial public offering of
      Umum Saham Perdana Perusahaan kepada masyarakat                      its shares of 120,000,000 (one hundred and twenty
      sejumlah 120.000.000 (seratus dua puluh juta) lembar                 million) shares by names along with warrants as much
      saham biasa atas nama disertai dengan waran sebanyak                 as 84,000,000 (eighty four million) common shares of
      84.000.000 (delapan puluh empat juta) lembar waran                   warrants allotted free of charge. Each holder of a
      yang diberikan secara cuma-cuma. Setiap pemegang                     warrant is entitled to purchase one share of the
      satu waran berhak membeli satu saham Perusahaan                      Company with an exercise price of Rp100 per share.
      dengan harga pelaksanaan sebesar Rp100 per saham.                    Purchases can be made during the execution period
      Pembelian dapat dilakukan selama masa pelaksanaan                    starting on July 21, 2003 until January 22, 2006. If the
      yaitu mulai tanggal 21 Juli 2003 sampai dengan 22                    warrants are not exercised until the period of validity
      Januari 2006. Bila waran tidak dilaksanakan sampai                   expires, the warrants shall be expired. All shares have
      dengan masa berlaku habis, maka waran tersebut                       been listed on the Surabaya Stock Exchange on
      menjadi kedaluwarsa. Seluruh saham tersebut telah                    January 22, 2003.
      dicatat di Bursa Efek Surabaya tanggal 22 Januari 2003.




                                                                 10
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                           PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                             NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                    STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                          As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                            for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                    (Expressed in full US Dollar amount, unless otherwise stated)


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

   b. Penawaran umum efek Perusahaan (Lanjutan)                                b. The Company’s public offering (Continued)

      Pada tanggal 28 Juni 2005, Perusahaan memperoleh                            On June 28, 2005, the Company obtained the effective
      surat pernyataan efektif dari Ketua Bapepam dengan                          statement approval from the Chairman of Bapepam on
      surat Nomor: S1697/PM/2005 untuk melakukan                                  its letter No: S1697/PM/2005 to do Right Issue to the
      Penawaran Umum Terbatas I kepada para pemegang                              shareholders in the framework of the issuance of
      saham dalam rangka penerbitan Hak Memesan Efek                              Preemptive Rights ("HMETD"). The number of shares of
      Terlebih Dahulu ("HMETD"). Jumlah saham hasil                               public offering I was as much as 362,718,750 (three
      penawaran umum terbatas I adalah sebanyak                                   hundred and sixty-two million seven hundred and
      362.718.750 (tiga ratus enam puluh dua juta tujuh ratus                     eighteen thousand seven hundred and fifty thousand)
      delapan belas ribu tujuh ratus lima puluh ribu) lembar                      shares with a value of as much as Rp100 per share
      saham dengan harga pelaksanaan Rp100 setiap saham.                          execution.

      Pada tanggal 30 April 2012, Perusahaan memperoleh                           On April 30, 2012, the Company obtained an effective
      surat pernyataan efektif dari Ketua Bapepam dengan                          statement of the Chairman of Bapepam in letter No. S-
      surat No. S-4933/BL/2012 untuk melakukan penawaran                          4933/BL/2012 to conduct a limited public offering II to
      umum terbatas II kepada para pemegang saham dalam                           shareholders in order to issue Rights issue (HMETD)
      rangka penerbitan HMETD Saham Biasa Atas Nama                               Common Shares with a nominal value of Rp100 per
      dengan nilai nominal Rp100 setiap saham, dengan                             share with the provisions of any holder of 2 (two) old
      ketentuan setiap pemegang 2 (dua) saham lama berhak                         shares entitled to 1 (one) HMETD to purchase 1 (one)
      atas 1 (satu) HMETD untuk membeli 1 (satu) saham                            new share. The number of shares the limited public
      baru. Jumlah saham hasil penawaran umum terbatas II                         offering II is as much as 339,756,875 shares with an
      adalah sebanyak 339.756.875 saham dengan nilai harga                        exercise price of Rp677 per share.
      pelaksanaan Rp677 setiap saham.

      Perusahaan telah melakukan penambahan modal                                 The Company has made additional capital as much as
      sebanyak 10% (sepuluh persen) dari modal disetor                            10% (ten percent) from paid capital through without
      melalui    mekanisme   penambahan     modal   tanpa                         giving HMETD with due observance of the prevailing
      memberikan HMETD dahulu dengan memperhatikan                                laws and regulations in the capital market sector,
      ketentuan perundang-undangan yang berlaku dibidang                          especially the Financial Services Authority Regulation
      pasar modal khususnya Peraturan Otoritas Jasa                               No.38/POJK.04/2014 with reference additional paid
      Keuangan No. 38/POJK.04/2014 tentang penambahan                             capital without giving pre-emptive rights, based on deed
      modal perusahaan tanpa memesan efek terlebih dahulu,                        No. 20 dated September 21, 2018 made by Rini Yulianti
      berdasarkan Akta No. 20 tanggal 21 September 2018                           S.H. which has been notified to the Minister of Law and
      dibuat oleh Rini Yulianti S.H., yang mana telah                             Human Rights based on a letter of receipt of notification
      diberitahukan kepada Menteri Hukum dan Hak Asasi                            of changes to the Articles of Association of the Company
      Manusia berdasarkan surat penerimaan pemberitahuan                          No.AHU-AH.01.03-0245634 dated September 24, 2018.
      perubahan anggaran dasar Perusahaan No. AHU-
      AH.01.03-0245634 tanggal 24 September 2018.

   c. Dewan komisaris, direksi, komite audit dan karyawan                      c. Boards of commissioners, directors, audit committee and
                                                                                  employees

      Susunan dewan komisaris dan direksi Perusahaan pada                         The composition of the board of commissioner and
      tanggal 31 Desember 2025 sesuai dengan akta No. 32                          director of the Company as at December 31, 2025 in
      tanggal 30 April 2025 dari notaris Rini Yulianti S.H. (2024:                accordance with the notarial deed No. 32 dated April 30,
      No. 122 tanggal 29 Mei 2024 dari Notaris Surjadi, SH.,                      2025 of Rini Yulianti S.H. (2024: No. 122 dated May 29,
      MKn.) adalah sebagai berikut:                                               2024 of Notary Surjadi, SH., MKn.) are as follows:


                                                 2025                                   2024

      Dewan komisaris                                                                                                 Board of commissioners
       Komisaris utama                         Rudiantara                             Rudiantara                     President commissioner
       Komisaris                   Moh. Arsjad Rasjid P. Mangkuningrat    Moh. Arsjad Rasjid P. Mangkuningrat                 Commissioner

       Komisaris independen                 Rachmad Gobel                          Rachmad Gobel                   Independent commissioner
       Komisaris independen              Djaman Andhi Nirwanto                  Djaman Andhi Nirwanto              Independent commissioner
       Komisaris independen                       -                              Orias Petrus Moedak               Independent commissioner




                                                                     11
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                   PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                     NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                            STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                  As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                    for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)            (Expressed in full US Dollar amount, unless otherwise stated)


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

   c. Dewan komisaris, direksi, komite audit dan karyawan              c. Boards of commissioners, directors, audit committee and
      (Lanjutan)                                                          employees (Continued)

                                             2025                           2024

      Dewan direksi                                                                                              Board of directors
       Direktur utama                    Djauhar Maulidi                Djauhar Maulidi                         President director
       Direktur                            Ogi Rulino                     Ogi Rulino                                     Director
       Direktur                                -                           Sumantri                                      Director

      Susunan komite audit Perusahaan pada tanggal 31                     The composition of the Company’s audit committee as at
      Desember 2025 dan 2024 adalah sebagai berikut:                      December 31, 2025 and 2024 was as follows:

                                             2025                           2024

      Komite Audit                                                                                                Audit Committee
       Ketua                            D. Andhi Nirwanto             Orias Petrus Moedak                               Chairman
       Anggota                         Aryo Wibisono, S.E.             D. Andhi Nirwanto                                 Member
       Anggota                         Budi Taufik Wibawa             Aryo Wibisono, S.E.                                Member
       Anggota                                  -                     Budi Taufik Wibawa                                 Member

      Pembentukan komite audit telah dilakukan sesuai dengan              The formation of the audit committee is in accordance
      peraturan Otoritas Jasa Keuangan (”OJK”) No.                        with Financial Services Authority (“OJK”) rule No.
      55/POJK.04/2015 tanggal 29 Desember 2015.                           55/POJK.04/2015 dated December 29, 2015.

      Jumlah karyawan Perusahaan dan Entitas Anaknya pada                 Number of employees of the Company and Its
      tanggal 31 Desember 2025 dan 2024 masing-masing                     Subsidiaries as at December 31, 2025 and 2024 are 714
      sebanyak 714 dan 678 orang (tidak diaudit).                         and 678 employees, respectively (unaudited).

      Pada tanggal 31 Desember 2025 dan 2024, Corporate                   As at December 31, 2025 and 2024, the Company's
      Secretary Perusahaan adalah Yuni Pattinasarani.                     Corporate Secretary is Yuni Pattinasarani. The
      Perusahaan telah membentuk unit internal audit sejak                Company has established an internal audit unit since
      tanggal 2 Juni 2011.                                                June 2, 2011.

      Gaji dan kompensasi lainnya yang dibayarkan kepada                  Salaries and other compensation paid to the
      Komisaris dan Direksi Perusahaan adalah sebagai                     Commissioners and Directors of the Company are as
      berikut:                                                            follows:

                                                      2025               2024

      Komisaris                                       1.245.365             879.559                               Commissioners
      Direksi                                         2.042.793           1.480.069                                   Directors

        Jumlah                                        3.288.158           2.359.628                                       Total




                                                               12
Page 267
PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                                                            PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                                                              NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                                                     STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                                                           As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                                                              for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                                                     (Expressed in full US Dollar amount, unless otherwise stated)


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

   d. Entitas anak, entitas asosiasi dan pengaturan bersama                                                     d. Subsidiaries, associate entities and joint arrangements

      Pada tanggal 31 Desember 2025 dan 2024, Perusahaan                                                               As at December 31, 2025 and 2024, the Company has
      mempunyai pemilikan langsung dan tidak langsung pada                                                             direct and indirect ownership in the following
      entitas anak dengan rincian sebagai berikut:                                                                     subsidiaries with detail as follows:

                                                                                                                           Tahun
                                                                                                           Tahun          pendirian/       Persentase kepemilikan      Jumlah aset sebelum eliminasi/
                                                                                                         penyertaan/      Year of           efektif (%) / Effective    Total assets before elimination
     Entitas Anak/                                 Domisili/   Kegiatan usaha/                            Year of         establish-     percentage of ownership (%)    (Dalam ribuan / in thousand )
     Subsidiaries                                  Domicile    Business activities                       acquisition        ment          2025                2024       2025               2024


     Dimiliki langsung oleh Perusahaan/
     Held directly by the Company
     1.   PT Triguna Internusa Pratama ("TIP")     Jakarta     Transmisi dan kompresi gas/                    2010          2003          100,00              100,00        63.264             34.877
                                                               Gas transmission and compression
     2.   PT Panji Raya Alamindo Tbk ("PRA")       Jakarta     Investasi/Investment ****)                     2010          2007           67,00              67,00        106.295             99.813
     3.   PT PDPDE Gas ("PDPDE")                   Jakarta     Distributor gas alam/                          2014          2009           85,00              85,00           2.552              3.369
                                                               Distributor of natural gas *)
     4.   PT Petrotech Penta Nusa ("PTN")          Jakarta     Jasa energi/Energy services                    2020          2004           99,90              99,90         15.626               6.612
     5.   PT Raharja Daya Energi ("RDE")           Jakarta     Investasi/Investment                           2014          2014           99,00              99,00                 78                 85
     6.   PT Raharja Energi Cepu Tbk ("RATU")      Jakarta     Investasi/Investment                           2018          2006           69,02              100,00        76.020             52.824
     7.   PT Rukun Prima Sarana ("RPS")            Jakarta     Energi/Energy *)                               2015          2012           97,50              97,50             612                634
     8.   PT Raharja Energi Sentosa ("RES")        Jakarta     Energi/Energy *)                               2017          2017           99,00              99,00             602                625
     9.   PT Heksa Energi Mitraniaga ("HEM")       Jakarta     Jasa penyediaan fasilitas LPG **)/             2020          2019           85,00              85,00           2.290              4.562
                                                               LPG facilities services
     10. PT Raharja Energi Bohorok ("REB")         Jakarta     Jasa profesional/                              2020          2020          100,00              100,00            596                619
                                                               Professional services *)
     11. PT Karya Mineral Jaya ("KMJ")             Jakarta     Distributor gas alam/                          2024          2017           55,00              55,00                 19                 21
                                                               Distributor of natural gas *)
     12. PT Banawa Rezeki Optima ("BRO")           Jakarta     Angkutan laut/                                 2025            -           100,00                 -            3.441                -
                                                               Maritime transportation *)

     Dimiliki melalui/Held through TIP
     1.   PT Trimitra Cipta Mandiri ("TCM")        Jakarta     Jasa pemeliharaan LPG/                         2011          2000          100,00              100,00          2.257              1.720
                                                               LPG facilities services
     2.   PT Bravo Delta Persada ("BDP")           Jakarta     Penampungan, Penjernihan dan                   2020          2008           99,00              99,00           1.250              1.517
                                                               penyaluran air/Storage, purification
                                                               and distribution of water
     3.   PT Sarana Infrastruktur Sejahtera ("SIS") Jakarta    Treatment air/                                 2025            -            99,00                 -              656                -
                                                               Water treatment *)

     Dimiliki melalui/Held through PRA
     1.   PT Energasindo Heksa Karya ("EHK")       Jakarta     Distributor gas alam/                          2010          1998           67,00              67,00         94.772             88.164
                                                               Distributor of natural gas
     2.   PT Prima Energi Raharja ("PER")          Jakarta     Energi/Energy *)                               2012          2012           67,02              67,02             569                628

     Dimiliki melalui/Held through EHK
     1.   PT Majuko Utama Indonesia ("MUI")        Jakarta     Jasa transportasi gas/                         2021          2003           66,99              66,99           3.674              2.479
                                                               Gas transportation services
     2.   PT Artha Prima Energy ("APE)             Jakarta     Perdagangan/trading of CNG ***)                2021          2017           67,00              53,59         12.673             11.541
     3.   PT Bumi Karya Artha ("BKA")              Jakarta     Energi/Energy *)                               2016          2016           67,32              67,32             -                      69

     Dimiliki melalui/Held through RDE
     1.   PT Adidaya Bismawisesa
            International ("ABI")                  Jakarta     Energi/Energy *)                               2014          2014           99,01              99,01             313                327

     Dimiliki melalui/Held through PTN
     1.   PT Artifisial Teknologi                  Jakarta     Perdagangan dan sewa                           2021          2005           99,90              85,00           3.868              3.698
            Persada ("ATP")                                    pompa minyak/
                                                               Trading and rental of oil pump

     Dimiliki melalui/Held through RATU
     1.   PT Raharja Energi Tanjung                Jakarta     Pertambangan dan penggalian/                   2022          2022           99,00              99,00         46.261             41.955
            Jabung ("RETJ")                                    Mining and excavation
     2.   PT Raharja Energi Indonesia ("REI")      Jakarta     Pertambangan dan penggalian/                   2025            -            69,02                 -          15.085                 -
                                                               Mining and excavation *)
     3.   PT Raharja Energi Negeri ("REN")         Jakarta     Pertambangan dan penggalian/                   2025            -            69,02                 -               30                -
                                                               Mining and excavation *)

     Dimiliki melalui/Held through REI
     1.   PT Raharja Energi Madura ("REM")         Jakarta     Investasi/Investment *)                        2025            -            35,20                 -          14.895                 -


     *)   Tidak menjalankan aktivitas komersial                                                             *)       Does not engage in commercial activities.
     **) LPG = Gas minyak cair                                                                              **)      LPG = Liquefied petroleum gas
     ***) CNG = Gas alam terkompresi                                                                        ***)     CNG = Compressed natural gas
     ****) Proses IPO dalam penundaan                                                                       ****) IPO process on postponed




                                                                                                    13
Page 268
PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                                       PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                                         NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                                STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                                      As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                                         for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                                (Expressed in full US Dollar amount, unless otherwise stated)


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

   d. Entitas anak, entitas asosiasi dan pengaturan bersama                                d. Subsidiaries, associate entities and join arrangements
      (Lanjutan)                                                                              (Continued)

      Pada tanggal 31 Desember 2025 dan 2024, Perusahaan                                      As at December 31, 2025 and 2024, the Company has
      mempunyai entitas asosiasi dengan rincian sebagai                                       interests in associates entities with detail as follows:
      berikut:

                                                                                                            Tahun                    Persentase kepemilikan
                                                                                       Tahun              pendirian/                        efektif (%)/
                                                                                     penyertaan/           Year of                   Effective percentage of
      Entitas asosiasi/                    Kegiatan usaha/                            Year of             establish-                     ownership (%)
      Associates entities                  Business activities                       acquisition            ment                    2025                 2024

      1. PT Petrogas Jatim Utama           Pertambangan minyak dan gas alam/              2007               2007                   49,00              49,00
          Cendana ("PJUC")                 Oil and natural gas mining
      2. PT Banggai Ammonia                Kimia dasar organik/                           2022               2022                   40,00              40,00
          Indonesia ("BAI")                Basic organic chemical *)

      3. PT Hafar Daya                     Konstruksi/                                    2025               2009                   49,00                -
          Konstruksi ("HDK")               Construction
      4. PT Hafar Daya                     Penyewaan kapal/                               2025               2007                   49,00                -
          Samudera ("HDS")                 Ship chartering
      5. PT Hafar Capitol                  Penyewaan kapal/                               2025               2011                   49,00                -
          Nusantara ("HCN")                Ship chartering **)

     *)    Tidak menjalankan aktivitas komersial                                              *)    Does not engage in commercial activities.
     **)   Entitas anak HDS                                                                   **)   Subsidiary of HDS


      Pada tanggal 31 Desember 2025 dan 2024, Grup                                            As at December 31, 2025 and 2024, the Group has
      mempunyai kerja sama operasi minyak dan gas alam                                        interests in oil and natural gas joint operation with detail
      dengan rincian sebagai berikut:                                                         as follows:

                                                                                                                       Persentase hak kepemilikan (%)/
      Kerja sama operasi/                           Melalui entitas/    Lokasi operation/                           Percentage of participating interests (%)
      Joint operation                               Through entity      Location of operation                            2025                    2024

      Blok/block      Rokan                         Perusahaan/         Riau, Indonesia                                     25,00                    25,00
                                                    The Company
      Blok/block      Jabung                        RETJ                Jambi, Indonesia                                     8,00                    8,00
      Konsorsium/ PETRO-BPI-CPM                     PTN                 Kalimantan Timur/                                   81,31                    75,00
       Consortium                                                       East Kalimantan, Indonesia

      Blok Rokan                                                                              Rokan Block

      Berdasarkan perjanjian Kerja Sama Operasi ("KSO")                                       Based on the Joint Operation Agreement ("KSO") dated
      tertanggal 21 Oktober 2020, dan selanjutnya di                                          October 21, 2020, and subsequently amended on April
      amandemen tanggal 14 April 2021 dan 30 Agustus 2021,                                    14, 2021 and August 30, 2021, the Company and PT
      Perusahaan dan PT Pertamina Gas ("Pertagas")                                            Pertamina Gas ("Pertagas") entered into a KSO
      mengadakan perjanjian KSO melalui skema KSO non-                                        agreement through a non-administrative KSO scheme in
      administrasi dalam pembangunan, pengoperasian dan                                       construction, operation and maintenance of Rokan
      pemeliharaan bersama pada Proyek Pipa Rokan yang                                        Pipeline Project located in Rokan-Riau, that is Balam-
      berlokasi di Rokan-Riau yaitu proyek pipa minyak koridor                                Bangka-Dumai corridor oil pipeline project and the
      Balam-Bangka-Dumai dan Koridor Minas-Duri-Dumai                                         Minas-Duri-Dumai corridor with total length of
      sepanjang kurang lebih 352 KM yang terdiri dari jaringan                                approximately 352 KM consisting of a pipeline of twelve
      pipa dua belas (12) segmen dan stasiun tiga (3) segmen,                                 (12) segments and stations of three (3) segments,
      termasuk fasilitas-fasilitas pendukungnya.                                              including its supporting facilities.




                                                                               14
Page 269
PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                     PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                       NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                              STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                    As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                      for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)              (Expressed in full US Dollar amount, unless otherwise stated)


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

   d. Entitas anak, entitas asosiasi dan pengaturan bersama              d. Subsidiaries, associate entities and join arrangements
      (Lanjutan)                                                            (Continued)

      Blok Rokan (Lanjutan)                                                Rokan Block (Continued)

      Perusahaan dan Pertagas secara bersama-sama                          The Company and Pertagas jointly participate in the
      berpartisipasi dalam pengelolaan dan kepemilikan Proyek              management and ownership of the Rokan Pipeline
      Pipa Rokan sesuai dengan bagian partisipasi masing-                  Project in accordance with their respective participation
      masing. Estimasi jumlah nilai investasi KSO Proyek Pipa              shares. The total estimated investment value of the KSO
      Rokan sampai dengan 31 Desember 2025 adalah                          Rokan Pipeline Project until December 31, 2025 is
      sebesar AS$311.025.984, dimana Pertagas berpartisipasi               US$311,025,984, with Pertagas participating at 75% and
      sebesar 75% dan Perusahaan sebesar 25%. Peran                        the Company at 25%. Pertagas plays a primary role as
      utama Pertagas adalah sebagai pihak yang ditugaskan                  the entity assigned by PT Pertamina (Persero)
      oleh PT Pertamina (Persero) ("Pertamina") dan PT                     ("Pertamina") and PT Perusahaan Gas Negara Tbk
      Perusahaan      Gas    Negara    Tbk     ("PGN") untuk               ("PGN") to execute the Rokan Pipeline Project. This
      melaksanakan       Proyek   Pipa    Rokan,    melakukan              includes land management, holding business permits,
      pengurusan lahan, pemegang izin usaha, memiliki                      having transportation agreements with Pertamina and
      perjanjian pengangkutan dengan Pertamina dan PT                      PT Pertamina Hulu Rokan ("PHR"), and providing
      Pertamina Hulu Rokan ("PHR") dan memberikan                          funding contributions. Meanwhile, the Company's main
      kontribusi pendanaan. Sedangkan peran utama                          role is to contribute funding and support the
      Perusahaan adalah sebagai pihak yang memberikan                      implementation of the Rokan Pipeline Project.
      kontribusi pendanaan dan dukungan dalam pelaksanaan
      Proyek Pipa Rokan.

      Perusahaan dan Pertagas bersama-sama berhak atas                     The Company and Pertagas are collectively entitled to
      pendapatan dan keuntungan, sejalan dengan porsi atau                 the generated revenue and profits, each in proportion to
      bagian partisipasinya, selama jangka waktu perjanjian.               their respective participations, throughout the entire
      Perjanjian ini berlaku sejak tanggal efektif KSO pada 27             duration of the KSO Agreement, effective from April 27,
      April 2021 hingga 8 Agustus 2041. Kesepakatan ini                    2021, to August 8, 2041. This agreement specifically
      mengacu pada perjanjian pengangkutan minyak bumi                     pertains to the transportation of crude oil via the Minas-
      melalui pipa, yaitu ruas Minas-Duri-Dumai dan Balam-                 Duri-Dumai      and    Balam-Bangko-Dumai          pipeline
      Bangko-Dumai, antara Pertagas dan PHR. Ketika                        segments, a collaboration between Pertagas and PHR.
      perjanjian berakhir, kepemilikan Perusahaan atas Pipa                Upon the conclusion of the agreement, the Company's
      Rokan akan dialihkan ke Pertagas. Dengan demikian,                   ownership stake in the Rokan Pipeline will seamlessly
      pada akhir perjanjian, seluruh Pipa Rokan akan                       transition to Pertagas, ultimately resulting in Pertagas
      sepenuhnya menjadi milik Pertagas.                                   becoming the sole proprietor of the Rokan Pipeline.

      Pengeluaran       modal      yang telah  direalisasikan              Capital expenditures that have been realized and utilized
      pengunaannya oleh Pertagas untuk Proyek Pipa Rokan                   by Pertagas for the Rokan Pipe Project were recorded
      dicatat sebagai aset tetap "jaringan pipa kerja sama                 as fixed assets of "pipeline of joint operations" (see note
      operasi" (lihat catatan 13).                                         13).

      Pengeluaran modal yang telah dibayarkan oleh                         Capital expenditures that have been paid by the
      Perusahaan namun belum direalisasikan pengunaannya                   Company but not yet utilized by Pertagas for the Rokan
      oleh Pertagas untuk Proyek Pipa Rokan dicatat sebagai                Pipe Project were recorded as other non-current assets
      aset tidak lancar lain-lain "uang muka cash call ".                  of "advance for cash call".




                                                                 15
Page 270
PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                      PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                        NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                               STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                     As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                       for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)               (Expressed in full US Dollar amount, unless otherwise stated)


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

   d. Entitas anak, entitas asosiasi dan pengaturan bersama               d. Subsidiaries, associate entities and join arrangements
      (Lanjutan)                                                             (Continued)

      Blok Jabung                                                           Jabung Block

      Berdasarkan Perjanjian Jual Beli Participating Interest               Based on the Conditional Participating Interest ("PI")
      ("PI") Bersyarat antara PT GPI Jabung Indonesia ("GPI")               Sale and Purchase Agreement between PT GPI Jabung
      dan PT Raharja Energi Tanjung Jabung ("RETJ"), entitas                Indonesia ("GPI") and PT Raharja Energi Tanjung
      anak, tanggal 7 Juni 2023, GPI setuju untuk menjual dan               Jabung ("RETJ"), a subsidiary, dated June 7, 2023, GPI
      mengalihkan 8% kepemilikan atas PI sebesar di Wilayah                 agreed to sell and transfer the PI of 8% in the Jabung
      Kerja Jabung kepada RETJ dengan harga jual senilai                    Working Area to RETJ with a selling price of
      AS$26,500,000, termasuk Production Sharing Contract                   US$26,500,000 inclusive Profit Sharing Contract ("PSC")
      ("PSC") - 7% Transfer Tax . RETJ telah mendapatkan                    - Transfer Tax of 7%. RETJ has obtained approval from
      persetujuan dari Menteri Energi dan Sumber Daya                       the Minister of Energy and Mineral Resources of the
      Mineral      Republik      Indonesia      nomor      T-               Republic       of      Indonesia       number        T-
      965/MG.04/MEM.M/2023 tanggal 22 Desember 2023 atas                    965/MG.04/MEM.M/2023 dated December 22, 2023 for
      pengalihan tersebut.                                                  this permit.

      RETJ memiliki hak atas pendapatan dan keuntungan,                     RETJ is entitled to revenue and profits, in accordance
      sesuai dengan porsi atau bagian partisipasinya, selama                with its proportional or participatory share for 20 (twenty)
      periode 20 (dua puluh) tahun, mulai dari tanggal 27                   years, commencing from February 27, 2023 until
      Februari 2023 hingga 27 Februari 2043.                                February 27, 2043.

      Pengeluaran      modal      yang   telah   direalisasikan             Capital expenditures that have been realized by RETJ
      pengunaannya oleh RETJ untuk pembelian porsi                          for the purchase of Participating Interest portion, were
      Participating Interest, dicatat sebagai "Properti minyak              recorded as "Oil and gas properties" (see note 15).
      dan gas" (lihat catatan 15).

      Konsorsium PETRO-BPI-CPM                                              PETRO-BPI-CPM Consortium

      Berdasarkan Perjanjian Konsorsium tanggal 20 Mei 2022,                Based on the Consortium Agreement dated May 20,
      PT Petrotech Penta Nusa ("PTN"), entitas anak,                        2022, PT Petrotech Penta Nusa ("PTN"), a subsidiary,
      mendirikan konsorsium bersama PT Citra Panji                          established a consortium with PT Citra Panji Manunggal
      Manunggal dan PT Bakrie Pipe Industries ("Konsorsium                  and PT Bakrie Pipe Industries ("PETRO-BPI-CPM
      PETRO-BPI-CPM"). Konsorsium ini telah disahkan                        Consortium"). The consortium was formalized through
      melalui Akta No. 501/W/V/2022 pada 23 Mei 2022 oleh                   Deed No. 501/W/V/2022 on May 23, 2022, by Notary
      Notaris Rini Yulianti, S.H. Perjanjian ini kemudian                   Rini Yulianti, S.H. This agreement was subsequently
      diperbarui melalui Perjanjian Konsorsium No. 061/KSO                  updated through Consortium Agreement No. 061/KSO
      PPN-BPI-CPM/X/2024 pada 4 Oktober 2024.                               PPN-BPI-CPM/X/2024 on October 4, 2024.

      Berdasarkan perjanjian "Penyediaan Jasa Pipanisasi                    Based on the "Provide of Fuel Pipeline Services at
      BBM Tanjung Batu - Samarinda" No. 3950366106 tanggal                  Tanjung Batu - Samarinda" agreement No. 3950366106
      4 Oktober 2024, Konsorsium PETRO-BPI-CPM dan PT                       dated October 4, 2024, the Consortium PETRO-BPI-
      Pertamina Patra Niaga ("Patra Niaga") melalui skema                   CPM and PT Pertamina Patra Niaga ("Patra Niaga")
      Kerja Sama Operasi ("KSO") administrasi dalam                         entered into a Joint Operation Agreement ("KSO")
      pembangunan,       pengoperasian   dan   pemeliharaan                 through an administrative KSO scheme in the
      bersama pada Proyek Pipa Bahan Bakar Minyak ("BBM")                   construction, operation and joint maintenance of the Fuel
      yang berlokasi di Tanjung Batu - Samarinda sepanjang                  Oil ("BBM") Pipeline Project located in Tanjung Batu -
      kurang lebih 120 KM termasuk fasilitas-fasilitas                      Samarinda with a length of approximately 120 KM
      pendukungnya. Perjanjian ini berlaku selama 12 (dua-                  including its supporting facilities. This agreement is valid
      belas) tahun yang terdiri dari 2 (dua) tahun masa                     for 12 (twelve) years, comprising a 2 (two)-year
      konstruksi dan 10 (sepuluh) tahun masa operasional dan                construction period and a 10 (ten)-year operational and
      perawatan. Pada tanggal 5 Desember 2025, perjanjian ini               maintenance period. On December 5, 2025, this
      diamandemen dengan perubahan masa konstruksi                          agreement was amended by changing the construction
      menjadi 3 (tiga) tahun.                                               period become to 3 (three) years.




                                                                  16
Page 271
PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                     PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                       NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                              STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                    As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                      for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)              (Expressed in full US Dollar amount, unless otherwise stated)


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

   d. Entitas anak, entitas asosiasi dan pengaturan bersama              d. Subsidiaries, associate entities and join arrangements
      (Lanjutan)                                                            (Continued)

      Konsorsium PETRO-BPI-CPM (Lanjutan)                                   PETRO-BPI-CPM Consortium (Continued)

      Konsorsium PETRO-BPI-CPM secara bersama-sama                          The Consortium PETRO-BPI-CPM jointly participates in
      berpartisipasi dalam pengelolaan dan kepemilikan Proyek               the management and ownership of the BBM Pipeline
      Pipa BBM sesuai dengan bagian partisipasi masing-                     Project in accordance with their respective participation
      masing. Estimasi jumlah nilai investasi KSO Proyek Pipa               portions. The estimated investment value of the KSO
      BBM ini adalah sebesar Rp1.395.260.650.605, dimana                    BBM Pipeline Project is Rp1,395,260,650,605, of which
      PPN, entitas anak, berpartisipasi sebesar 75%. Peran                  PPN, subsidiary, participates by 75%. The main role of
      utama Konsorsium PETRO-BPI-CPM adalah sebagai                         the Consortium PETRO-BPI-CPM is as a contractor
      kontraktor yang ditugaskan oleh Patra Niaga untuk                     assigned by Patra Niaga to implement the BBM Pipeline
      melaksanakan Proyek Pipa BBM, melakukan pengadaan                     Project, to procure and manage land, build, operate,
      dan pengurusan lahan, pembangunan, pengoperasian,                     maintain and repair pipes and provide support for BBM
      perawatan dan perbaikan pipa serta memberikan                         distribution activities. While the main role of Patra Niaga
      dukungan untuk kegiatan penyaluran BBM. Sedangkan                     is as a party that operates in the context of BBM
      peran utama Patra Niaga adalah sebagai pihak yang                     distribution activities from the Tanjung Batu BBM station
      mengoperasikan dalam rangka kegiatan penyaluran BBM                   to the Samarinda BBM station and the Palaran BBM
      dari Terminal BBM Tanjung Batu ke Terminal BBM                        station.
      Samarinda dan Terminal BBM Palaran.

      Patra Niaga akan membayar biaya Proyek Pipa BBM                       Patra Niaga will pay the cost of BBM Pipe Project to the
      kepada Konsorsium PETRO-BPI-CPM sejak tanggal                         Consortium PETRO-BPI-CPM from the date of
      operasi komersial melalui throughout fee berdasarkan                  commercial operation through a throughput fee based on
      volume BBM yang mengalir sesuai harga yang berlaku                    the volume of fuel flowing according to the applicable
      dalam perjanjian. Setelah 10 (sepuluh) tahun operasi                  price in the agreement. After 10 (ten) years commercial
      komersial, kepemilikan Konsorsium PETRO-BPI-CPM                       operation, the ownership of the Consortium PETRO-BPI-
      atas Pipa BBM akan dialihkan ke Patra Niaga. Dengan                   CPM over the BBM Pipe will be transferred to Patra
      demikian, pada akhir perjanjian, seluruh Pipa BBM akan                Niaga. Thus, at the end of the agreement, the entire
      sepenuhnya menjadi milik Patra Niaga.                                 BBM Pipe will be fully owned by Patra Niaga.

      Selanjutnya pada tanggal 14 Maret 2025, PTN setuju                    Furthermore on March 14, 2025, PTN agreed to increase
      untuk meningkatkan bagian partisipasi sebesar 6,30%                   participation portion amounting of 6.30% which taken
      yang diambil dari bagian partisipasi PT Citra Panji                   from the participation portion owned by PT CItra Panji
      Manunggal, pihak ketiga. Sehingga sejak tanggal 14                    Manunggal, third party. Hence since March 14, 2025, the
      Maret 2025, Perusahaan telah memiliki bagian partisipasi              Company has a participation portion or ownership
      atau hak kepemilikan sebesar 81,31%.                                  amounting of 81.31%.

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

   Informasi kebijakan akuntansi material yang diterapkan oleh           Material accounting policy information adopted by the
   Perusahaan dan entitas anaknya (secara bersama-sama                   Company and it subsidiaries (collectively referred to as the
   disebut sebagai "Grup") yang mempengaruhi penentuan                   "Group") which affect the determination of its financial
   posisi keuangan dan hasil usahanya dijelaskan berikut ini:            position and results of its operations is presented below:

   a. Dasar penyusunan laporan keuangan konsolidasian                    a. Basis for preparation of the consolidated financial
                                                                            statements

      Laporan keuangan konsolidasian telah disusun dan                      The consolidated financial statements have been
      disajikan sesuai dengan Standar Akuntansi Keuangan di                 prepared and presented in accordance with Indonesian
      Indonesia, yang mencakup Pernyataan Standar                           Financial Accounting Standards, which comprise the
      Akuntansi Keuangan ("PSAK") dan Interpretasi Standar                  Statement of Financial Accounting Standards ("SFAS")
      Akuntansi Keuangan ("ISAK") yang dikeluarkan oleh                     and Interpretation of Financial Accounting Standards
      Dewan Standar Akuntansi Keuangan Ikatan Akuntan                       ("IFAS") issued by the Financial Accounting Standards
      Indonesia dan peraturan-peraturan serta pedoman                       Board of the Indonesian Institute of Accountants and the
      penyajian dan pengungkapan laporan keuangan yang                      regulations and guidelines on financial statement
      diterbitkan oleh Otoritas Jasa Keuangan ("OJK").                      presentation and disclosures issued by Financial
                                                                            Services Authority ("OJK").




                                                                 17
Page 272
PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                       PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                         NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                      As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                        for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                (Expressed in full US Dollar amount, unless otherwise stated)


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

   a. Dasar penyusunan      laporan   keuangan    konsolidasian           a. Basis for preparation of the consolidated financial
      (Lanjutan)                                                             statements (Continued)

      Dasar penyusunan laporan keuangan konsolidasian,                       The basis for preparing the consolidated financial
      kecuali untuk laporan arus kas konsolidasian, adalah                   statements, except for the consolidated statements of
      dasar akrual. Laporan keuangan konsolidasian disusun                   cash flows, is accrual basis. The consolidated financial
      dan disajikan berdasarkan asumsi kelangsungan usaha                    statements have been prepared and presented based on
      dan dengan pengukuran nilai historis, kecuali beberapa                 going concern assumption and with historical value
      akun tertentu disusun berdasarkan pengukuran lain                      measurements, except for certain accounts which have
      sebagaimana diuraikan dalam kebijakan akuntansi                        been prepared using other measurements as described
      masing-masing akun tersebut.                                           in the related accounting policies for those accounts.

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

      Penyusunan       laporan    keuangan        konsolidasian              The preparation of consolidated financial statements
      mengharuskan penggunaan estimasi dan asumsi. Hal                       requires the use of certain critical accounting estimates
      tersebut juga mengharuskan manajemen untuk membuat                     and assumptions. It also requires management to
      pertimbangan dalam proses penerapan kebijakan                          exercise its judgement in the process of applying the
      akuntansi Grup. Area yang kompleks atau memerlukan                     Group’s accounting policies. The complexity areas or
      tingkat pertimbangan yang lebih tinggi atau area di mana               involving a higher degree of judgement, or areas where
      asumsi dan estimasi dapat berdampak signifikan                         assumptions and estimates are significant to the
      terhadap laporan keuangan konsolidasian diungkapkan di                 consolidated financial statements are disclosed in note
      catatan 3.                                                             3.

      Perubahan pada PSAK dan ISAK                                           Changes in SFAS and IFAS

      Dewan Standar Akuntansi Keuangan Ikatan Akuntan                        The Financial Accounting Standards Board of the
      Indonesia    telah   menerbitkan    amandemen        dan               Indonesian Institute of Accountants has issued the
      penyesuaian berikut, yang berlaku efektif untuk tahun                  following amendments and improvements, which are
      buku yang dimulai pada 1 Januari 2025 yang relevan                     effective for the financial year starting January 1, 2025
      namun tidak menyebabkan perubahan signifikan atas                      which are relevant but did not result in substantial
      kebijakan akuntansi Grup dan tidak memberikan dampak                   changes to the Group’s accounting policies and had no
      yang material terhadap jumlah yang dilaporkan di laporan               material effect on the amounts reported for the current
      keuangan konsolidasian tahun berjalan.                                 year consolidated financial statements.

      - PSAK 117 “Kontrak Asuransi”;                                         - SFAS 117 “Insurance Contratct”;
      - Amendemen PSAK 221 “Pengaruh Perubahan Kurs                          - Amendment to SFAS 221 “The Effect of Changes in
        Valuta Asing” tentang Kekurangan Ketukaran.                            Foreign Exchange Rates” related to Lack of
                                                                               Exchangeability.

      Standar akuntansi revisian berikut telah diterbitkan                   The following revised accounting standard has been
      berlaku efektif sejak tanggal 1 Januari 2026 dan belum                 issued and will be effective from January 1, 2026 and
      diterapkan secara dini oleh Grup:                                      has not been early adopted by the Group:

      - Amandemen PSAK 109, “Instrumen Keuangan” dan                         - Amendment to SFAS 109, “Financial Instruments” and
        PSAK 107, "Instrumen Keuangan: Pengungkapan”.                          SFAS 107, “Financial Instruments: Disclosure”.




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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                            PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                              NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                     STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                           As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                             for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                     (Expressed in full US Dollar amount, unless otherwise stated)


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

   b. Prinsip-prinsip konsolidasian                                            b. Principles of consolidation

      Laporan keuangan konsolidasian meliputi laporan                             The consolidated financial statements include the
      keuangan Perusahaan dan entitas anaknya sebagaimana                         financial statements of the Company and its Subsidiaries
      dijelaskan dalam catatan 1d atas laporan keuangan                           as described in note 1d to consolidated financial
      konsolidasian, dimana Perusahaan mempunyai pemilikan                        statements, which the Company has direct ownership of
      secara langsung lebih dari 50% pemilikan dan/atau                           more than 50% ownership and/or has the right to
      mempunyai hak untuk mengatur dan mengendalikan                              regulate and control the management and operational
      kebijakan manajemen serta operasional Entitas Anak.                         policies of Subsidiaries.

      Pengaruh dari seluruh transaksi dan saldo antara                            The effects of all transactions and balances between the
      perusahaan-perusahaan di dalam Grup yang material                           companies within the Group have been eliminated in
      telah dieliminasi dalam penyajian laporan keuangan                          preparing the consolidated financial statements.
      konsolidasian.

      Entitas Anak dikonsolidasi secara penuh sejak tanggal                       Subsidiaries are fully consolidated from the date of
      akuisisi, yaitu tanggal Perusahaan memperoleh                               acquisitions, being the date on which the Company
      pengendalian, sampai dengan tanggal Grup kehilangan                         obtained control, and continue to be consolidated until
      pengendalian. Pengendalian dianggap ada ketika                              the date such control ceases. Control is presumed to
      Perusahaan memiliki secara langsung atau tidak                              exist if the Company owns, directly or indirectly through
      langsung melalui Entitas Anak, lebih dari setengah                          subsidiaries, more than a half of the voting power of an
      kekuasaan suara entitas.                                                    entity.

      Rugi entitas anak yang tidak dimiliki secara penuh                          Losses of a non-wholly owned subsidiary are attributed
      diatribusikan pada Kepentingan Non-Pengendali ("KNP")                       to the Non-controlling Interests ("NCI") even if that
      bahkan jika hal ini mengakibatkan KNP mempunyai saldo                       results in a deficit balance.
      defisit.

      Selisih lebih imbalan yang dialihkan, jumlah setiap                         The excess of the consideration transferred the amount
      kepentingan nonpengendali pada pihak diakuisisi dan                         of any non-controlling interest in the acquiree and the
      nilai wajar pada tanggal akuisisi kepentingan ekuitas                       acquisition-date fair value of any previous equity interest
      sebelumnya dimiliki oleh pihak pengakuisisi pada pihak                      in the acquiree over the fair value of the net identifiable
      diakuisisi atas nilai wajar aset bersih teridentifikasi yang                assets acquired is recorded as goodwill. If those
      diperoleh dicatat sebagai goodwill . Jika jumlah tersebut                   amounts are less than the fair value of the net
      lebih rendah dari nilai wajar aset bersih teridentifikasi atas              identifiable assets of the business acquired, in the case
      bisnis yang diakuisisi dalam kasus pembelian dengan                         of a bargain purchase, the difference is recognised
      diskon, selisihnya diakui dalam laporan laba rugi                           directly in the consolidated profit or loss.
      konsolidasian.

      Jika kehilangan pengendalian atas suatu Entitas Anak,                       In case of loss of control over a subsidiary, the Group:
      maka Grup:
      - menghentikan pengakuan aset (termasuk setiap                              - derecognized the assets (including goodwill) and
         goodwill ) dan liabilitas Entitas Anak;                                    liabilities of the Subsidiary;
      - menghentikan pengakuan jumlah tercatat setiap KNP;                        - derecognized the carrying amount of any NCI;
      - menghentikan          pengakuan       akumulasi selisih                   - derecognized the cumulative translation differences,
         penjabaran, yang dicatat di ekuitas, bila ada;                             recorded in equity, if any;
      - mengakui nilai wajar pembayaran yang diterima;                            - recognized the fair value of the consideration
                                                                                    received;
      - mengakui setiap sisa investasi pada nilai wajarnya;                       - recognized the fair value of any investment retained;
      - mengakui setiap perbedaan yang dihasilkan sebagai                         - recognized any surplus or deficit in the consolidated
        keuntungan atau kerugian dalam laporan laba rugi dan                        statement of profit or loss and other comprehensive
        penghasilan komprehensif lain konsolidasian; dan                            income; and
      - mereklasifikasi bagian induk atas komponen yang                           - reclassifies the parent’s share of components
        sebelumnya diakui sebagai laba komprehensif ke                              previously recognized in other comprehensive income
        laporan laba rugi dan penghasilan komprehensif lain                         to the consolidated statement of profit or loss and
        konsolidasian, atau mengalihkan secara langsung ke                          other comprehensive income or retained earnings, as
        saldo laba.                                                                 appropriate.




                                                                       19
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                        PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                          NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                 STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                       As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                         for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                 (Expressed in full US Dollar amount, unless otherwise stated)


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

   b. Prinsip-prinsip konsolidasian (Lanjutan)                             b. Principles of consolidation (Continued)

      KNP mencerminkan bagian atas laba atau rugi dan aset                    NCI represents the portion of the profit or loss and net
      neto dari Entitas-entitas Anak yang tidak dapat                         assets of the Subsidiaries not attributable, directly or
      diatribusikan secara langsung maupun tidak langsung                     indirectly, to a parent, which are presented in the
      oleh Grup, yang masing-masing disajikan dalam laporan                   consolidated statement of profit or loss and other
      laba    rugi   dan    penghasilan   komprehensif    lain                comprehensive income and under the equity section of
      konsolidasian dan dalam ekuitas pada laporan posisi                     the consolidated statements of financial position,
      keuangan konsolidasian, terpisah dari bagian yang dapat                 respectively, separately from the correspoding portion
      diatribusikan kepada pemilik Perusahaan.                                attributable to the equity holders of the Parent entity.

      Perubahan dalam bagian kepemilikan Perusahaan pada                      Changes in the Company's ownership in Subsidiaries
      Entitas Anak yang tidak mengakibatkan hilangnya                         that do not result in loss of control accounted for as
      pengendalian dicatat sebagai transaksi ekuitas. Nilai                   equity transactions. The carrying amount of the
      tercatat kepentingan Entitas Anak dan kepentingan                       controlling and noncontrolling interest are adjusted to
      nonpengendali      disesuaikan   untuk     mencerminkan                 reflect changes in the relative portion Subsidiaries. Any
      perubahan bagian kepemilikannya atas Entitas Anak.                      difference between the amount of noncontrolling interest
      Setiap perbedaan antara jumlah kepentingan non                          adjusted and the fair value of the consideration given or
      pengendali disesuaikan dan nilai wajar imbalan yang                     received is recognized directly in equity and attributable
      diberikan atau diterima diakui secara langsung dalam                    to the equity holders of the Parent entity.
      ekuitas dan diatribusikan pada pemilik Perusahaan.

   c. Kombinasi bisnis                                                     c. Business combinations

      Kombinasi bisnis dicatat dengan menggunakan metode                      Business combinations are accounted for using the
      akuisisi. Biaya perolehan dari sebuah akuisisi diukur pada              acquisition method. The cost of an acquisition is
      nilai agregat imbalan yang dialihkan, diukur pada nilai                 measured as the aggregate of the consideration
      wajar pada tanggal akuisisi, dan jumlah setiap KNP pada                 transferred, measured at acquisition-date fair value and
      pihak yang diakuisisi. Untuk setiap kombinasi bisnis,                   the amount of any NCI in the acquiree. For each
      pihak pengakuisisi mengukur KNP pada entitas yang                       business combination, the acquirer measures the NCI in
      diakuisisi baik pada nilai wajar ataupun pada proporsi                  the acquiree either at fair value or at the proportionate
      kepemilikan KNP atas aset neto yang teridentifikasi dari                share of the acquiree’s identifiable net assets.
      entitas yang diakuisisi. Biaya-biaya akuisisi yang timbul               Acquisition costs incurred are directly expensed and
      dibebankan langsung dan disertakan dalam beban-beban                    included in administrative expenses.
      administrasi.

      Ketika melakukan akuisisi atas sebuah bisnis,                           When the Company acquires a business, it assesses the
      Perusahaan mengklasifikasikan dan menentukan aset                       financial assets acquired and liabilities assumed for
      keuangan yang diperoleh dan liabilitas keuangan yang                    appropriate classification and designation in accordance
      diambil alih berdasarkan pada persyaratan kontraktual,                  with the contractual terms, economic circumstances and
      kondisi ekonomi, dan kondisi terkait lain yang ada pada                 pertinent conditions as at the acquisition date. The
      tanggal akuisisi. Hal ini termasuk pemisahan derivatif                  assessment includes the separation of embedded
      melekat dalam kontrak utama oleh pihak yang diakuisisi.                 derivatives in host contracts by the acquiree.

      Pada tanggal akuisisi, goodwill awalnya diukur pada                     At acquisition date, goodwill is initially measured at cost
      harga perolehan yang merupakan selisih lebih nilai                      being the excess of the aggregate of the consideration
      agregat dari imbalan yang dialihkan dan jumlah setiap                   transferred and the amount recognized for NCI over the
      KNP atas selisih jumlah dari aset teridentifikasi yang                  net identifiable assets acquired and liabilities assumed.
      diperoleh dan liabilitas yang diambil alih. Jika imbalan                If this consideration is lower than the fair value of the net
      tersebut kurang dari nilai wajar aset neto Entitas Anak                 assets of the Subsidiary acquired, the difference is
      yang diakuisisi, selisih tersebut diakui dalam laba rugi.               recognized in profit or loss.




                                                                   20
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                       PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                         NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                      As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                        for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                (Expressed in full US Dollar amount, unless otherwise stated)


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

   c. Kombinasi bisnis (Lanjutan)                                         c. Business combinations (Continued)

      Untuk pengujian penurunan nilai, goodwill yang diperoleh               For the purpose of impairment testing, goodwill acquired
      dalam kombinasi bisnis dialokasikan pada setiap unit                   in a business combination is allocated to each of the
      penghasil kas, atau kelompok unit penghasil kas ("UPK"),               cash generating unit ("CGU"), or groups of CGUs, that is
      yang diharapkan dapat memberikan manfaat dari sinergi                  expected to benefit from the synergies of the
      kombinasi bisnis tersebut. Setiap unit atau kelompok unit              combination. Each unit or group of units to which the
      yang memperoleh alokasi goodwill menunjukkan tingkat                   goodwill is allocated represents the lowest level within
      terendah dalam entitas yang goodwill- nya dipantau untuk               the entity at which the goodwill is monitored for internal
      tujuan internal manajemen. Goodwill dipantau pada level                management purposes. Goodwill is monitored at the
      segmen operasi.                                                        operating segment level.

   d. Transaksi dan saldo dalam mata uang asing                           d. Foreign currency transactions and balances

      Mata uang fungsional dan penyajian                                     Functional currency and presentation

      Mata uang penyajian yang digunakan dalam laporan                       The presentation currency used in the preparation of
      keuangan konsolidasian adalah Dolar Amerika Serikat                    the consolidated financial statements is the United
      ("AS") yang merupakan mata uang fungsional Grup.                       States ("US") Dollar which is the functional currency of
      Setiap entitas di Grup menetapkan mata uang fungsional                 the Group. Each entity in the Group determines its own
      sendiri dan transaksi-transaksi di dalam laporan                       functional currency and items included in the financial
      keuangan dari setiap entitas diukur berdasarkan mata                   statements of each entity are measured using that
      uang fungsional tersebut.                                              functional currency.

      Transaksi dan saldo                                                    Transactions and balances

      Transaksi-transaksi dalam mata uang asing dijabarkan                   Transactions in foreign currencies are translated into US
      kedalam mata uang Dolar AS dengan mempergunakan                        Dollar using the exchange rates prevailing at the time
      kurs yang berlaku pada saat terjadinya transaksi yang                  the transactions are made. At consolidated statements
      bersangkutan. Pada tanggal laporan posisi keuangan                     of financial position date, monetary assets and liabilities
      konsolidasian, aset dan liabilitas moneter dalam mata                  denominated in other currencies are translated into US
      uang asing dijabarkan kedalam mata uang Dolar AS                       Dollar at the middle rate of Bank Indonesia at that date
      dengan menggunakan kurs tengah yang dikeluarkan                        as follows:
      Bank Indonesia sebagai berikut:

                                                         2025               2024

      Rupiah per 1 Dolar AS ("AS$")                         16.782              16.162                 Rupiah to 1 US Dollar ("US$")
      Rupiah per 100 Yen Jepang ("¥")                       10.759              10.236              Rupiah to Japanese 100 Yen ("¥")

      Keuntungan atau kerugian yang timbul sebagai akibat                    Gains or losses arising from the translation of monetary
      dari penjabaran aset dan liabilitas moneter dalam mata                 assets and liabilities denominated in foreign currencies
      uang asing dicatat sebagai laba atau rugi pada laporan                 are recorded as profit or loss in the consolidated
      laba rugi konsolidasian tahun berjalan.                                statement of profit or loss current year.

   e. Kas dan setara kas                                                  e. Cash and cash equivalents

      Kas dan setara kas terdiri dari saldo kas, bank dan                    Cash and cash equivalents consist of cash on hand,
      deposito jangka pendek yang jangka waktunya tiga bulan                 banks and short-term deposits with maturity of not more
      atau kurang, yang tidak dibatasi penggunaannya.                        than three months, is not restricted.

      Deposito berjangka dan kas di bank yang di batasi                      Restricted time deposits and restricted cash in banks are
      penggunaannya disajikan sebagai bagian dari "aset                      presented as part of "other current assets" and "other
      lancar lainnya" dan "aset tidak lancar lainnya" pada                   non-current assets" in the consolidated statement of
      laporan posisi keuangan konsolidasian sesuai dengan                    financial position, based on the maturity date of the
      tanggal jatuh tempo pembatasannya.                                     restriction.




                                                                  21
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                          PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                            NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                   STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                         As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                           for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                   (Expressed in full US Dollar amount, unless otherwise stated)


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

   f. Piutang usaha dan piutang lain-lain                                    f. Trade receivables and other receivables

      Piutang usaha adalah jumlah tagihan dari pelanggan                        Trade receivables are amounts due from customers for
      untuk barang atau jasa yang dijual atau diberikan dalam                   goods and services sold or provided in the ordinary
      transaksi bisnis pada umumnya. Jika pembayaran                            course of business. If collection is expected in one year
      piutang diharapkan selesai dalam satu tahun atau kurang,                  or less, they are classified as current assets. If not, they
      piutang tersebut dikelompokkan sebagai aset lancar. Jika                  are presented as non-current assets.
      tidak, piutang tersebut disajikan sebagai aset tidak lancar.

      Piutang lain-lain merupakan tagihan selain piutang usaha,                 Other receivables represent receivables other than trade
      termasuk pinjaman yang diberikan kepada pihak berelasi.                   receivable, including loans granted to related parties. In
      Sesuai peraturan OJK, piutang lain-lain yang berasal dari                 accordance with OJK regulations, other receivables
      pihak berelasi, disajikan sebagai aset tidak lancar kecuali               arising from related parties are presented as non-current
      jika ada kondisi tertentu pada piutang lain-lain dari pihak               assets unless specific conditions exist for classifying
      berelasi untuk disajikan sebagai aset lancar.                             such receivables as current assets.

      Penyisihan penurunan nilai piutang diukur berdasarkan                     Impairment of receivables are measured based on
      kerugian kredit ekspektasian dengan melakukan reviu                       expected credit losses by reviewing the collectibility of
      atas kolektibilitas saldo secara individual atau kolektif                 individual or collective balances in a lifetime of trade
      sepanjang      umur     piutang    usaha   menggunakan                    receivables using simplified approach with considering
      pendekatan         yang       disederhanakan     dengan                   the forward-looking information at the and of each
      mempertimbangkan informasi yang bersifat perkiraan                        reporting period. Receivables are written-off during the
      masa depan yang dilakukan setiap akhir periode                            period in which they are determined to be not collectible.
      pelaporan. Piutang dihapus pada saat piutang tersebut
      tidak akan tertagih.

   g. Persediaan                                                             g. Inventories

      Persediaan terdiri dari suku cadang untuk mendukung                       Inventories consist of sparepart to support the Group's
      usaha Grup. Persediaan dinyatakan menurut nilai yang                      business. Inventories are stated at the lower of cost and
      terendah antara harga perolehan dan nilai bersih yang                     net realizable value. Cost is determined based on the
      dapat direalisasikan. Harga perolehan ditetapkan                          First-In First-Out method which includes all costs
      berdasarkan metode Masuk Pertama Keluar Pertama                           incurred to acquire the inventories and bring them to
      (First-In First-Out ) yang meliputi seluruh biaya yang                    their present location and condition. Net realizable value
      terjadi untuk memperoleh persediaan tersebut serta                        is the estimated selling value less selling expenses.
      membawanya ke lokasi dan kondisinya yang sekarang.                        Provision for obsolete inventories is made on the basis
      Nilai realisasi bersih adalah estimasi nilai jual dikurangi               of periodic reviews of the condition of inventories.
      beban penjualan. Penyisihan persediaan usang dilakukan
      atas dasar hasil penelaahan secara periodik terhadap
      kondisi persediaan.

   h. Beban dibayar di muka                                                  h. Prepaid expenses

      Beban dibayar di muka diamortisasi selama masa                            Prepaid expenses are amortized over their beneficial
      manfaat masing-masing biaya dengan menggunakan                            periods using the straight-line method. Prepaid
      metode garis lurus. Beban dibayar di muka yang masa                       expenses which benefits more than 1 (one) year are
      manfaatnya lebih dari 1 (satu) tahun disajikan sebagai                    presented as a part of "non-current asset" in the
      bagian dari "aset tidak lancar" pada laporan posisi                       consolidated statement of financial position (excluding
      konsolidasian keuangan (kecuali biaya sewa yang                           rental expense classified as Leases by SFAS 116:
      klasifikasinya masuk dalam kategori PSAK 116: Sewa).                      Leases).




                                                                     22
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                       PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                         NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                      As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                        for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                (Expressed in full US Dollar amount, unless otherwise stated)


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

   i. Investasi pada entitas asosiasi                                     i. Investment in associates

      Investasi Grup pada entitas asosiasi dicatat dengan                    The Group’s investment in its associated company is
      menggunakan metode ekuitas. Entitas asosiasi adalah                    accounted for using the equity method. An associated
      entitas dimana Grup mempunyai pengaruh signifikan.                     company is an entity in which the Group has significant
      Dengan metode ekuitas, biaya perolehan investasi akan                  influence. Under the equity method, the cost of
      ditambah atau dikurangi dengan bagian laba atau rugi                   investment is increased or decreased by the Group's
      bersih Grup dan dividen yang diterima dari investee sejak              share in net earnings or losses, and dividends received
      tanggal perolehan.                                                     from the investee since the date of acquisition.

      Laporan laba rugi dan penghasilan komprehensif lain                    The consolidated statements of profit or loss and other
      konsolidasian mencerminkan bagian dari hasil operasi                   comprehensive income reflects the share of the results
      entitas asosiasi. Jika terdapat perubahan yang diakui                  of operations of the associate. Where there has been a
      secara langsung dalam ekuitas entitas asosiasi, Grup                   change recognized directly in the equity of the associate,
      mengakui bagiannya atas perubahan tersebut dan                         the Group recognizes its share of any such changes and
      mengungkapkan hal ini, jika berlaku, dalam laporan                     discloses this, when applicable, in the consolidated
      perubahan ekuitas konsolidasian. Keuntungan dan                        statement of changes in equity. Unrealized gains and
      kerugian yang belum direalisasi sebagai hasil dari                     losses resulting from transactions between the Group
      transaksi antara Grup dan entitas asosiasi dieliminasi                 and the associate are eliminated to the extent of the
      sesuai dengan kepentingan Grup dalam entitas asosiasi                  Group's interest in the associate.
      tersebut.

      Setelah menerapkan metode ekuitas, Grup menentukan                     After application of the equity method, the Group
      apakah perlu untuk mengakui kerugian penurunan nilai                   determines whether it is necessary to recognize an
      atas investasi Grup pada entitas asosiasi. Grup                        additional impairment loss on the Group’s investment in
      menentukan pada setiap tanggal pelaporan apakah                        its associate. The Group determines at each reporting
      terdapat bukti objektif bahwa investasi pada entitas                   date whether there is any objective evidence that the
      asosiasi mengalami penurunan nilai. Jika ini masalahnya,               investment in the associate is impaired. If this is the
      Grup menghitung jumlah penurunan nilai sebagai selisih                 case, the Group calculates the amount of impairment as
      antara jumlah terpulihkan atas investasi dalam entitas                 the difference between the recoverable amount of the
      asosiasi dan nilai tercatatnya, dan mengakui jumlah                    investment in associate and its carrying value, and
      tersebut dalam laporan laba rugi dan penghasilan                       recognizes the amount in the consolidated statement of
      komprehensif lain konsolidasian.                                       profit or loss and other comprehensive income.

   j. Aset tetap                                                          j. Fixed assets

      Grup menganalisa fakta dan keadaan untuk masing-                       The Group analyses the facts and circumstances for
      masing jenis hak atas tanah dalam menentukan                           each type of land rights in determining the accounting for
      akuntansi untuk masing-masing hak atas tanah tersebut                  each of these land rights so that it can accurately
      sehingga dapat merepresentasikan dengan tepat suatu                    represent an underlying economic event or transaction.
      kejadian atau transaksi ekonomik yang mendasarinya.                    If the land rights do not transfer control of the underlying
      Jika hak atas tanah tersebut tidak mengalihkan                         assets to the Group, but give the rights to use the
      pengendalian atas aset pendasar kepada Grup,                           underlying assets, the Group applies the accounting
      melainkan mengalihkan hak untuk menggunakan aset                       treatment of these transactions as leases under SFAS
      pendasar, Grup menerapkan perlakuan akuntansi atas                     116, "Leases". If land rights are substantially similar to
      transaksi tersebut sebagai sewa berdasarkan PSAK 116,                  land purchases, the Group applies SFAS 216. "Fixed
      “Sewa”. Jika hak atas tanah secara substansi menyerupai                assets".
      pembelian tanah, maka Grup menerapkan PSAK 216
      “Aset tetap”.




                                                                  23
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                       PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                         NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                      As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                        for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                (Expressed in full US Dollar amount, unless otherwise stated)


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

   j. Aset tetap (Lanjutan)                                               j. Fixed assets (Continued)

      Awalnya suatu aset tetap diukur sebesar biaya perolehan,               Initially, an item of fixed assets is measured at its cost,
      yang terdiri dari harga perolehannya dan biaya-biaya yang              which comprises its purchase price and any cost directly
      dapat diatribusikan secara langsung untuk membawa                      attributable to bringing the assets to the location and
      aset ke lokasi dan kondisi yang diinginkan agar aset siap              condition necessary for it to be capable of operating in
      digunakan sesuai dengan keinginan dan maksud                           the manner intended by management, and also include
      manajemen, serta estimasi awal biaya pembongkaran                      the initial estimate of the costs of dismantling and
      dan pemindahan aset tetap dan restorasi lokasi aset.                   removing the item and restoring the site on which it is
                                                                             located.

      Biaya-biaya setelah perolehan awal seperti penggantian                 Subsequent expenditures such as replacement and
      komponen dan inspeksi yang signifikan, diakui dalam                    major inspection are added to the carrying amount of the
      jumlah tercatat aset tetap jika besar kemungkinan                      asset when it is probable that future economic benefits
      manfaat ekonomis di masa depan akan mengalir ke Grup                   will flow to the Group and the cost of the item can be
      dan biaya tersebut dapat diukur secara andal. Sisa                     measured reliably. The carrying amount of those parts
      jumlah tercatat biaya komponen yang diganti atau biaya                 that are replaced or any remaining carrying amounts of
      inspeksi terdahulu dihentikan pengakuannya. Biaya                      the cost of the previous inspection is derecognized. The
      perawatan sehari-hari aset tetap diakui sebagai beban                  costs of day-to-day servicing of an asset are recognized
      pada saat terjadinya.                                                  as an expense in the period in which they are incurred.

      Grup telah memilih metode biaya untuk pengukuran aset                  The Group have chosen the cost mothed for the
      tetapnya. Penyusutan diakui dengan menggunakan                         measurement of its fixed assets. Depreciation is
      metode garis lurus untuk menyusutkan nilai aset tetap,                 recognized on a straight-line basis to write down the
      kecuali tanah yang tidak disusutkan. Estimasi masa                     cost, except land which is not depreciated. The
      manfaat aset tetap adalah sebagai berikut:                             estimated useful lives are as follows:


                                                       Masa manfaat/Useful lives

        Bangunan dan prasarana                               20 tahun/years                             Buildings and infrastructures
        Jaringan pipa kerja sama operasi                     20 tahun/years                                  Pipeline joint operations
        Jaringan pipa dan tabung gas                         16 tahun/years                                Pipeline and gas cylinder
        Kompresor gas                                        16 tahun/years                                          Gas compressor
        Fasilitas LPG                                       4-16 tahun/years                                             LPG facilities
        Mesin dan peralatan                                 4-16 tahun/years                            Machineries and equipments
        Peralatan kantor                                     4-8 tahun/years                                       Office equipments
        Kendaraan                                            4-8 tahun/years                                                  Vehicles

      Nilai residu, umur manfaat dan metode penyusutan di-                   The residual values, useful lives and depreciation
      reviu setiap akhir tahun buku untuk memastikan nilai                   method are reviewed at each reporting date to ensure
      residu, umur manfaat dan metode depresiasi diterapkan                  that such residual values, useful lives and depreciation
      secara konsisten sesuai dengan ekspektasi pola manfaat                 method are consistent with the expected pattern of
      ekonomis dari aset tersebut.                                           economic benefits from those assets.

      Ketika suatu aset dilepaskan atau tidak ada manfaat                    When an asset is disposed of, or is permanently
      ekonomis masa depan yang diharapkan dari penggunaan                    withdrawn from use and no future economic benefits are
      atau pelepasannya, biaya perolehan dan akumulasi                       expected from its disposal, the cost and accumulated
      penyusutan dan akumulasi rugi penurunan nilai, jika ada,               depreciation and accumulated impairment losses, if any,
      dikeluarkan dari akun tersebut dan laba atau rugi yang                 are removed from the accounts and any resulting gain or
      timbul dari penghentian pengakuan aset tetap akan                      loss from the retirement or disposal is recognized in the
      dimasukkan dalam laporan laba rugi dan penghasilan                     consolidated statement of profit or loss and other
      komprehensif lain konsolidasian.                                       comprehensive income.




                                                                  24
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                       PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                         NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                      As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                        for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                (Expressed in full US Dollar amount, unless otherwise stated)


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

   j. Aset tetap (Lanjutan)                                               j. Fixed assets (Continued)

      Aset dalam penyelesaian                                                Asset under completion

      Aset dalam penyelesaian disajikan dalam perolehan.                     Asset under completion is presented under accumulated
      Akumulasi biaya perolehan untuk aset dalam                             cost of the asset constructed is transferred to the
      penyelesaian akan dipindahkan ke masing-masing aset                    appropriate fixed assets account when the construction
      tetap yang bersangkutan pada saat aset tersebut selesai                is completed and the asset is ready for its intended use.
      dikerjakan dan siap digunakan sesuai dengan tujuannya.

      Aset kerja sama operasi                                                Joint operation assets

      Aset kerja sama operasi adalah jalur pipa gas yang                     Joint operation assets are gas pipelines used to carry
      digunakan untuk menyelenggarakan kegiatan kerja sama                   out the joint operation activities. Gas pipelines obtained
      operasi. Jalur pipa gas yang diperoleh sebagai                         as compensation in the joint operation and the
      kompensasi dalam kerja sama operasi dan pendapatan                     respective unearned income are recognised when the
      diterima di muka terkait diakui pada saat aset tersebut                construction is completed and the asset is ready for its
      selesai dikerjakan dan siap digunakan sesuai dengan                    intended use.
      tujuannya.

      Aset kerja sama operasi dinyatakan sebesar harga                       Joint operating assets are stated at cost at the time of
      perolehan pada saat pembangunan, lalu disusutkan                       construction, then depreciated using the straight-line
      dengan metode garis lurus selama masa kerja sama                       method over the joint operation period of 10 - 20 years.
      operasi yaitu 10 - 20 tahun. Penurunan nilai aset, jika                Impairment in asset values, if any, is recognized as a
      ada, diakui sebagai rugi pada laba rugi konsolidasian.                 loss in the consolidated profit or loss.

      Biaya pinjaman                                                         Borrowing costs

      Biaya pinjaman yang dapat diatribusikan langsung                       Borrowing costs that are directly attributable to the
      dengan perolehan, pembangunan atau pembuatan aset                      acquisition, construction or production of a qualifying
      kualifikasian dikapitalisasi sebagai bagian biaya                      asset are capitalised as part of the cost of the related
      perolehan aset tersebut. Biaya pinjaman lainnya diakui                 assets. Otherwise, borrowing costs are recognised as
      sebagai beban pada saat terjadi. Biaya pinjaman terdiri                expenses when incurred. Borrowing costs consist of
      dari biaya bunga dan biaya lain yang ditanggung oleh                   interest and other financing charges that the Group
      Grup sehubungan dengan peminjaman dana.                                incurs in connection with the borrowing of funds.

      Kapitalisasi biaya pinjaman dimulai pada saat aktivitas                Capitalisation of borrowing costs commences when the
      yang diperlukan untuk mempersiapkan aset agar dapat                    activities to prepare the qualifying asset for its intended
      digunakan sesuai dengan maksudnya, dan pengeluaran                     use are in progress and the expenditures for the
      untuk aset kualifikasian dan biaya pinjamannya telah                   qualifying asset and the borrowing costs have been
      terjadi. Kapitalisasi biaya pinjaman dihentikan pada saat              incurred. Capitalisation of borrowing costs ceases when
      seluruh aktivitas yang diperlukan untuk mempersiapkan                  all the activities necessary to prepare the qualifying
      aset kualifikasian agar dapat digunakan sesuai dengan                  assets for their intended use are substantially
      maksudnya telah selesai secara substansial.                            completed.

   k. Aset takberwujud                                                    k. Intangible assets

      Aset takberwujud Grup terdiri dari peranti lunak komputer              The Group's intangible assets consist of computer
      dan hak konsesi. Aset takberwujud diakui jika Grup                     software and concession rights. Intangible assets are
      kemungkinan besar akan memperoleh manfaat ekonomis                     recognized if the Group is likely to obtain future
      masa depan dari aset takberwujud tersebut dan biaya                    economic benefits of the intangible asset and the cost of
      aset tersebut dapat diukur dengan andal.                               the asset can be measured reliably.




                                                                  25
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                      PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                        NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                               STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                     As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                       for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)               (Expressed in full US Dollar amount, unless otherwise stated)


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

   k. Aset takberwujud (Lanjutan)                                        k. Intangible assets (Continued)

      Peranti lunak                                                         Software

      Perangkat lunak merupakan aset takberwujud berupa                     Software is an intangible asset in the form of an
      program akuntansi dan keuangan yang diukur                            accounting and financial program which is measured at
      berdasarkan biaya perolehan dan diamortisasi dengan                   cost and amortized using the straight-line method based
      menggunakan metode garis lurus berdasarkan estimasi                   on an estimated useful life of 4 years.
      masa manfaat yaitu selama 4 tahun.

      Hak konsesi                                                           Conssesion right

      Grup menerapkan ISAK 112 "Perjanjian Konsesi Jasa"                    The Group has adopted IFAS 112, “Service Concession
      dan ISAK 229, "Perjanjian Konsesi Jasa: Pengungkapan".                Arrangement” and IFAS 229, “Service Concession
                                                                            Arrangement: Disclosure”.

      ISAK 112 mengatur prinsip umum dalam pengakuan dan                    IFAS 112 determines the general principles in the
      pengukuran hak dan kewajiban terkait dengan perjanjian                recognition and measurement of rights and liabilities
      konsesi jasa. ISAK 112 mengatur bahwa infrastruktur                   related to service concession arrangement. IFAS 112
      tidak diakui sebagai aset tetap operator (pihak penerima              regulates that an operator (concession right beneficiary)
      konsesi jasa) karena perjanjian jasa kontraktual tidak                does not recognize any infrastructure assets because
      memberikan hak kepada operator untuk mengendalikan                    the contractual service arrangement does not convey the
      penggunaan infrastruktur jasa publik. Operator memiliki               right to control the use of the public service infrastructure
      akses untuk mengoperasikan infrastruktur dalam                        to the operator. The operator has access to operate the
      menyediakan jasa publik untuk kepentingan pemberi                     infrastructure to provide the public service on behalf of
      konsesi sesuai dengan persyaratan yang ditentukan                     the grantor in accordance with the terms specified in the
      dalam kontrak.                                                        contract.

      ISAK 229 memberikan panduan spesifik mengenai                         IFAS 229 provides specific guidance for the required
      pengungkapan yang diperlukan atas perjanjian konsesi                  disclosures  regarding   the   service    concession
      jasa.                                                                 arrangement.

      Grup membukukan perjanjian konsesi jasa sebagai model                 The Group accounts for the service concession
      aset takberwujud karena memiliki hak (lisensi) untuk                  agreement as an intangible asset model because it has
      membebankan pengguna jasa publik. Pada saat                           the right (license) to charge users for public services. At
      pengakuan awal, aset konsesi dicatat pada nilai wajar                 initial recognition, concession assets are recorded at the
      dari imbalan yang diterima atau akan diterima. Aset                   fair value of the consideration received or to be received.
      konsesi ini adalah aset hak pengelolaan air. Amortisasi               The concession assets is water management rights.
      mulai dibebankan pada saat aset konsesi tersebut siap                 Amortization begins to be charged when the concession
      digunakan.                                                            assets are ready for use.

      Aset konsesi akan dihentikan pengakuannya pada saat                   The concession assets are derecognized at the end of
      berakhirnya masa konsesi. Tidak akan ada keuntungan                   the concession period. There will be no gain or loss
      atau kerugian saat penghentian pengakuan karena aset                  upon derecognition as the concession assets which are
      konsesi diharapkan telah diamortisasi secara penuh,                   expected to be fully amortized by then, will be handed
      akan diserahkan kepada Perumda Air Minum Tirta                        over to the Perumda Air Minum Tirta Wibawa Mukti
      Wibawa Mukti (sebelumnya PT Perdana Multiguna                         (previously PT Perdana Multiguna Sarana Bandung
      Sarana Bandung Barat ("PMgS")) tanpa syarat.                          Barat ("PMgS")) for no consideration.




                                                                 26
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                       PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                         NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                      As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                        for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                (Expressed in full US Dollar amount, unless otherwise stated)


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

   k. Aset takberwujud (Lanjutan)                                         k. Intangible assets (Continued)

      Hak konsesi (Lanjutan)                                                 Conssesion right (Continued)

      Kontrak konstruksi meliputi seluruh biaya konstruksi                   The construction contract covers all construction costs
      pembangunan atau peningkatan kapasitas saluran air                     for the construction water distribution which include land
      yang meliputi pengadaan tanah, studi kelayakan dan                     acquisition, feasibility studies and other costs directly
      biaya-biaya lain yang berhubungan langsung dengan                      related to water distribution, including the costs of
      pembangunan saluran air, termasuk biaya pembangunan                    constructing water distribution plus other borrowing
      saluran air yang disyaratkan, ditambah biaya pinjaman                  costs that are directly or indirectly used to finance the
      lain yang secara langsung maupun tidak langsung                        process of building these assets. Borrowing costs are
      digunakan untuk mendanai proses pembangunan aset                       capitalized until the construction process is complete
      tersebut. Biaya pinjaman dikapitalisasi sampai dengan                  and the concession assets are ready for operation.
      saat proses pembangunan tersebut telah selesai dan aset
      konsesi telah siap untuk dioperasikan.

      Biaya bunga dan biaya pinjaman lainnya, seperti diskonto               Interest and other borrowing costs, such as discount
      baik yang secara langsung ataupun tidak langsung                       fees on loans either directly or indirectly used in
      digunakan untuk mendanai proses pembangunan aset                       financing the construction of a qualifying asset, are
      kualifikasian (qualifying assets) , dikapitalisasi sampai              capitalized up to the date when the construction is
      saat proses pembangunannya selesai. Untuk pinjaman                     completed. For borrowings directly attributable to a
      yang dapat dihubungkan secara langsung dengan suatu                    qualifying asset, the amount allowed to be capitalized is
      aset tertentu, jumlah yang dapat dikapitalisasi adalah                 determined as the actual borrowing costs incurred during
      sebesar biaya pinjaman yang terjadi dalam periode                      the period, less any investment income earned from the
      berjalan, dikurangi dengan penghasilan investasi                       temporary investment of such borrowings.
      sementara dari pinjaman tersebut.

      Amortisasi diakui dengan menggunakan metode garis                      Amortization is recognized on a straight-line basis to
      lurus untuk menyusutkan nilai aset takberwujud. Estimasi               write down the amounts. The estimated useful lives of
      masa manfaat aset takberwujud adalah 25 tahun.                         intangible assets is 25 years.

   l. Sewa                                                                l. Leases

      Grup menerapkan PSAK 116 yang mensyaratkan                             The Group has adopted SFAS 116, which sets the
      pengakuan liabilitas sewa sehubungan dengan sewa                       requirement for recognition of lease liabilities in relation
      yang sebelumnya diklasifikasikan sebagai "sewa                         to leases which had previously been classified as
      operasi".                                                              "operating leases".

      Pada tanggal permulaan kontrak, Grup menilai apakah                    At the inception of a contract, the Group assesses
      kontrak merupakan, atau mengandung sewa. Suatu                         whether the contract is, or contains, a lease. A contract
      kontrak merupakan atau mengandung sewa jika kontrak                    is or contains a lease if the contract conveys the right to
      tersebut memberikan hak untuk mengendalikan                            control the use of an identified asset for a period of time
      penggunaan aset identifikasian selama suatu jangka                     in exchange for consideration. To assess whether a
      waktu untuk dipertukarkan dengan imbalan. Untuk menilai                contract conveys the right to control the use of an
      apakah kontrak memberikan hak untuk mengendalikan                      identified asset, the Group considers whether:
      penggunaan aset identifikasian, Grup mempertimbangkan
      apakah:
      - Kontrak      melibatkan  penggunaan     aset   yang                  - The contract involves the use of an identified asset;
        teridentifikasi;
      - Grup memiliki hak untuk memperoleh secara                            - The Group has the right to obtain substantially all of
        substansial seluruh manfaat ekonomi dari penggunaan                    the economic benefits from use of the asset
        aset selama periode penggunaan; dan                                    throughout the period of use; and
      - Grup memiliki hak untuk mengendalikan penggunaan                     - The Group has the right to direct the use of the asset.
        aset.




                                                                  27
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                        PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                          NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                 STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                       As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                         for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                 (Expressed in full US Dollar amount, unless otherwise stated)


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

   l. Sewa (Lanjutan)                                                      l. Leases (Continued)

      Pada tanggal dimulainya kontrak atau pada saat penilaian                At the inception or on reassessment of a contract that
      kembali kontrak yang mengandung sewa, Grup                              contains a lease component, the Group allocates the
      mengalokasikan imbalan dalam kontrak untuk setiap                       consideration in the contract to each lease component
      unsur sewa berdasarkan harga relatif dari unsur sewa.                   on the basis of their relative stand-alone prices.

      Pada tanggal permulaan sewa, Grup mengakui aset hak                     The Group recognises a right of use asset and a lease
      guna dan liabilitas sewa. Aset hak guna diukur pada biaya               liability at the lease commencement date. The right of
      perolehan, dimana meliputi jumlah pengukuran awal                       use asset is initially measured at cost, which comprises
      liabilitas sewa yang disesuaikan dengan pembayaran                      the initial amount of the lease liability adjusted for any
      sewa yang dilakukan pada atau sebelum tanggal                           lease payment made at or before the commencement
      permulaan, ditambah dengan biaya langsung awal yang                     date, plus any initial direct cost incurred and an estimate
      dikeluarkan dan estimasi biaya yang akan dikeluarkan                    of costs to dismantle and remove the underlying asset or
      untuk membongkar dan memindahkan aset pendasar                          to restore the underlying asset to the condition required
      atau untuk merestorasi aset pendasar ke kondisi yang                    by the terms and conditions of the lease, less any lease
      disyaratkan dan ketentuan sewa, dikurangi dengan                        incentives received.
      insentif sewa yang diterima.

      Aset hak guna kemudian disusutkan menggunakan                           The right of use asset is subsequently depreciated using
      metode garis lurus dari tanggal permulaan hingga tanggal                the straight-line method from the commencement date to
      yang lebih awal antara akhir umur manfaat aset hak guna                 the earlier of the end of the useful life of the right of use
      atau akhir masa sewa. Selain itu, aset hak guna secara                  asset or the end of the lease term. In addition, the right
      berkala dinilai untuk penurunan nilai dan disesuaikan atas              of use asset is periodically reduced by impairment
      pengukuran kembali dari liabilitas sewa.                                losses, if any, and adjusted for certain remeasurements
                                                                              of the lease liability.

      Liabilitas sewa diukur pada nilai kini pembayaran sewa                  The lease liability is initially measured at the present
      yang belum dibayar pada tanggal permulaan,                              value of the lease payments that are not paid at the
      didiskontokan dengan menggunakan suku bunga implisit                    commencement date, discounted using the interest rate
      dalam sewa atau jika suku bunga tersebut tidak dapat                    implicit in the lease or, if that rate cannot be readily
      ditentukan, maka menggunakan suku bunga pinjaman                        determined, using the incremental borrowing rate.
      inkremental. Pada umumnya, Grup menggunakan suku                        Generally, the Group uses its incremental borrowing rate
      bunga pinjaman inkremental sebagai tingkat bunga                        as the discount rate.
      diskonto.

      Liabilitas sewa diukur pada biaya perolehan diamortisasi                The lease liability is measured at amortised cost using
      menggunakan metode bunga efektif. Liabilitas sewa                       the effective interest method. It is remeasured when
      diukur kembali ketika ada perubahan pembayaran sewa                     there is a change in future lease payments arising from a
      di masa depan yang timbul dari perubahan suatu indeks                   change in an index or rate, if there is a change in the
      atau tingkat, jika ada perubahan dalam estimasi Grup dari               Group's estimate of the amount expected to be payable
      jumlah yang diharapkan akan dibayarkan berdasarkan                      under a residual value guarantee or if the Group
      jaminan nilai residu atau jika Grup mengubah                            changes its assessment of whether it will exercise a
      penilaiannya apakah akan melakukan opsi pembelian,                      purchase, extension or termination option. When the
      perpanjangan atau pemutusan kontrak. Ketika liabilitas                  lease liability is remeasured in this way, a corresponding
      sewa diukur kembali dengan cara tersebut, penyesuaian                   adjustment is made to the carrying amount of the right of
      dilakukan terhadap jumlah tercatat dari aset hak guna,                  use asset or is recorded in consolidated profit or loss if
      atau diakui dalam laba rugi konsolidasian jika jumlah                   the carrying amount of the right of use asset has been
      tercatat dari aset hak guna telah dikurangi menjadi nol.                reduced to zero.

      Grup menyajikan aset hak guna yang tidak memenuhi                       The Group presents right of use assets that do not meet
      definisi properti investasi sebagai aset hak guna dan                   the definition of investment property as right of use
      liabilitas sewa dalam laporan posisi keuangan                           assets and lease liabilities in the consolidated
      konsolidasian.                                                          statements of financial position.




                                                                   28
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                      PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                        NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                               STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                     As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                       for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)               (Expressed in full US Dollar amount, unless otherwise stated)


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

   l. Sewa (Lanjutan)                                                    l. Leases (Continued)

      Grup memutuskan untuk tidak mengakui aset hak guna                    The Group has elected not to recognise right-of use
      dan liabilitas sewa untuk sewa jangka-pendek yang                     assets and lease liabilities for short-term leases that
      memiliki masa sewa 12 bulan atau kurang. Grup                         have a lease term of 12 months or less. The Group
      mengakui pembayaran sewa atas sewa tersebut sebagai                   recognises the lease payments associated with these
      beban dengan dasar garis lurus selama masa sewa.                      leases as an expense on a straight-line basis over the
                                                                            lease term.

      Modifikasi sewa                                                       Lease modification

      Grup mencatat modifikasi sewa sebagai sewa terpisah                   The Group accounts for a lease modification as a
      jika: (a) modifikasi meningkatkan ruang lingkup sewa                  separate lease if both: (a) the modification increases the
      dengan menambahkan hak untuk menggunakan satu                         scope of the lease by adding the right to use one or
      aset pendasar atau lebih; dan (b) imbalan sewa                        more underlying assets; and (b) the consideration for the
      meningkat sebesar jumlah yang setara dengan harga                     lease increases by an amount commensurate with the
      tersendiri untuk peningkatan dalam ruang lingkup dan                  stand-alone price for the increase in scope and any
      penyesuaian yang tepat pada harga tersendiri tersebut                 appropriate adjustments to that stand-alone price to
      untuk merefleksikan kondisi kontrak tertentu.                         reflect the circumstances of the particular contract.

      Untuk modifikasi sewa yang tidak dicatat sebagai sewa                 For a lease modification that is not accounted for as a
      terpisah, pada tanggal efektif modifikasi sewa, Grup:                 separate lease, at the effective date of the lease
                                                                            modification, the Group:
      a. mengukur kembali dan mengalokasikan imbalan                        a. remeasures and allocates the consideration in the
         kontrak modifikasian;                                                 modified contract;
      b. menentukan masa sewa dari sewa modifikasian;                       b. determines the lease term of the modified lease;
      c. mengukur      kembali     liabilitas   sewa dengan                 c. remeasures the lease liability by discounting the
         mendiskontokan       pembayaran      sewa   revisian                  revised lease payments using a revised discount rate
         menggunakan tingkat diskonto revisian berdasarkan                     on the basis of the remaining lease term and the
         sisa umur sewa dan sisa pembayaran sewa dengan                        remaining lease payment with a corresponding
         melakukan penyesuaian terhadap aset hak guna.                         adjustment to the right of use assets. The revised
         Tingkat diskonto revisian ditentukan sebagai suku                     discount rate is determined as the Group’s
         bunga pinjaman inkremental Grup pada tanggal efektif                  incremental borrowing rate at the effective date of the
         modifikasi;                                                           modification;
      d. menurunkan jumlah tercatat aset hak guna untuk                     d. decreases the carrying amount of the right of use
         merefleksikan penghentian sebagian atau sepenuhnya                    asset to reflect the partial or full termination of the
         sewa untuk modifikasi sewa yang menurunkan ruang                      lease for lease modifications that decrease the scope
         lingkup sewa. Grup mengakui dalam laba rugi                           of the lease. The Group recognises in consolidated
         konsolidasian setiap laba rugi yang terkait dengan                    profit or loss any gain or loss relating to the partial or
         penghentian sebagian atau sepenuhnya sewa tersebut;                   full termination of the lease; and
         dan
      e. membuat penyesuaian terkait dengan aset hak guna                   e. makes a corresponding adjustment to the right of use
         untuk seluruh modifikasi sewa lainnya.                                asset for all other lease modifications.

   m. Pajak penghasilan                                                  m. Income tax

      Pajak kini                                                            Current tax

      Pajak kini ditentukan berdasarkan laba kena pajak dalam               Current tax expense is determined based on the taxable
      tahun yang bersangkutan yang dihitung berdasarkan tarif               income for the year computed using prevailing tax rates.
      pajak yang berlaku.

      Pajak tangguhan                                                       Deferred tax

      Pajak tangguhan diakui sebagai aset atau liabilitas jika              Deferred tax is recognized as an asset or liability if there
      terdapat perbedaan temporer kena pajak yang timbul dari               are taxable temporary differences arising from
      perbedaan antara dasar pengenaan pajak aset dan                       differences between the tax bases of assets and
      liabilitas dengan jumlah tercatatnya pada tanggal                     liabilities and their carrying amount on the reporting date.
      pelaporan.




                                                                 29
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                        PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                          NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                 STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                       As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                         for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                 (Expressed in full US Dollar amount, unless otherwise stated)


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

   m. Pajak penghasilan (Lanjutan)                                         m. Income tax (Continued)

      Pajak tangguhan (Lanjutan)                                              Deferred tax (Continued)

      Aset pajak tangguhan diakui untuk seluruh perbedaan                     Deferred tax assets are recognized for all deductible
      temporer yang dapat dikurangkan dan rugi fiskal yang                    temporary differences and tax losses carry forward can
      dapat dikompensasikan. Aset pajak tangguhan diakui dan                  be compensated. Deferred tax assets are recognized
      direviu pada setiap tanggal pelaporan atau diturunkan                   and direviewed at each reporting date or reduced its
      jumlah tercatatnya, sepanjang kemungkinan besar laba                    carrying amount, along likely taxable income available to
      kena pajak tersedia untuk pemanfaatan perbedaan                         use deductible temporary differences and tax losses
      temporer yang dapat dikurangkan dan rugi fiskal yang                    carry forward can be compensated.
      dapat dikompensasikan.

      Aset dan liabilitas pajak tangguhan diukur dengan                       Deferred tax assets and liabilities are measured using
      menggunakan tarif pajak yang diharapkan berlaku ketika                  the tax rates that are expected to apply when the asset
      aset dipulihkan atau liabilitas diselesaikan, berdasarkan               is recovered or the liability is settled, based on tax rates
      tarif pajak (atau peraturan pajak) yang telah berlaku atau              (or tax laws) that have been enacted or substantively
      secara substantif telah berlaku pada tanggal pelaporan.                 enacted at the reporting date.

      Aset pajak tangguhan dan liabilitas pajak tangguhan                     Deferred tax assets and deferred tax liabilities are offset
      saling hapus jika dan hanya jika, terdapat hak yang                     if and only if, a legally enforceable right exists to set off
      dipaksakan secara hukum untuk melakukan saling hapus                    current tax assets against current tax liabilities and the
      aset pajak kini terhadap liabilitas pajak kini dan pajak                deferred taxes relate to the same taxable entity and the
      tangguhan tersebut terkait dengan entitas kena pajak                    same taxation authority.
      yang sama dan dikenakan oleh otoritas perpajakan yang
      sama.

   n. Pengakuan pendapatan dan beban                                       n. Revenue and expenses recognition

      Pendapatan Grup berasal dari kegiatan niaga gas alam,                   Revenues of the Group are earned from gas trading, oil
      lifting minyak dan gas, jasa transmisi minyak dan gas,                  and gas lifting, crude oil and gas transmission services,
      penjualan gas alam, LNG, fasilitas LPG, dan jasa lainnya.               sale of natural gas, LNG, LPG facilities, and other
                                                                              services.

      Pendapatan dari niaga gas alam dan jasa transportasi                    Revenues from gas trading and oil and gas
      gas alam diakui pada saat gas atau minyak bumi telah                    transportation services are recognised when natural gas
      didistribusikan   kepada     pelanggan       berdasarkan                or crude oil is distributed to the customer based on the
      pencatatan pada angka meteran. Kontrak Grup dapat                       meter readings. The Group’s contracts may be
      dinegosiasikan dari waktu ke waktu, bergantung pada                     negotiated from time to time, subject to the nature of
      sifat perubahannya, Grup akan melakukan modifikasi                      these changes, the Group accounts for modification of
      kontrak yang ada berdasarkan komitmen volume yang                       the existing contract based on agreed volume
      disetujui sebelum dan sesudah modifikasi kontrak dan                    commitments before and after the contract modification
      perubahan harga yang timbul dari modifikasi tersebut.                   and the price changes arising from the modification.

      Pendapatan sehubungan dengan pengoperasian aset dan                     Revenue arising from the operation of the asset and
      jaringan pipa transmisi diakui setelah jasa diberikan, dan              pipeline transmission is recognised after the service is
      diukur sebesar satuan gas yang telah diangkut selama                    rendered and is measured based on the units of gas
      suatu periode.                                                          which have been transported during such period.




                                                                   30
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                       PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                         NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                      As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                        for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                (Expressed in full US Dollar amount, unless otherwise stated)


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

   n. Pengakuan pendapatan dan beban (Lanjutan)                           n. Revenue and expenses recognition (Continued)

      Pengakuan pendapatan Grup dilakukan berdasarkan lima                   The Group’s revenue recognition fulfils the following five
      langkah analisa sebagai berikut:                                       steps of assessment:
      1. Identifikasi kontrak dengan pelanggan, dengan kriteria              1. Identify contract(s) with a customer, with certain
         sebagai berikut:                                                       criteria as follows:
         - Kontrak telah disetujui oleh pihak-pihak terkait                     - The contract has been agreed by the parties
            dalam kontrak;                                                          involved in the contract;
         - Grup bisa mengidentifikasi hak dari pihak-pihak                      - The Group can identify the rights of relevant
            terkait dan jangka waktu pembayaran dari barang                         parties and the term of payment for the goods or
            atau jasa yang akan dialihkan;                                          services to be transferred;
         - Kontrak memiliki substansi komersial; dan                            - The contract has commercial substance; and
         - Besar kemungkinan Grup akan menerima imbalan                         - It is probable that the Group will receive benefits
            atas barang atau jasa yang dialihkan.                                   for the goods or services transferred.
      2. Identifikasi kewajiban pelaksanaan dalam kontrak.                   2. Identify the performance obligations in the contract.
         Kewajiban pelaksanaan merupakan janji-janji dalam                      Performance obligations are promises in a contract to
         kontrak untuk menyerahkan barang atau jasa yang                        transfer to a customer goods or services that are
         memiliki karakteristik berbeda ke pelanggan;                           distinct;
      3. Penetapan      harga     transaksi.  Harga   transaksi              3. Determine the transaction price. Transaction price is
         merupakan jumlah imbalan yang berhak diperoleh                         the amount of consideration to which an entity
         suatu entitas sebagai kompensasi atas diserahkannya                    expects to be entitled in exchange for transferring
         barang atau jasa yang dijanjikan ke pelanggan. Jika                    promised goods or services to a customer. If the
         imbalan yang dijanjikan di kontrak mengandung suatu                    consideration promised in a contract includes a
         jumlah yang bersifat variabel, maka Grup membuat                       variable amount, the Group estimates the amount of
         estimasi jumlah imbalan tersebut sebesar jumlah yang                   consideration to which it expects to be entitled in
         diharapkan berhak diterima atas diserahkannya barang                   exchange for transferring the promised goods or
         atau jasa yang dijanjikan ke pelanggan dikurangi                       services to a customer less the estimated amount of
         dengan estimasi jumlah jaminan kinerja jasa yang akan                  service level guarantee which will be paid during the
         dibayarkan selama periode kontrak;                                     contract period;
      4. Alokasi harga transaksi ke setiap kewajiban                         4. Allocate the transaction price to each performance
         pelaksanaan dengan menggunakan dasar harga jual                        obligation on the basis of the relative stand-alone
         berdiri sendiri relatif dari setiap barang atau jasa                   selling prices of each distinct goods or service
         berbeda yang dijanjikan di kontrak. Ketika tidak dapat                 promised in the contract. Where these are not directly
         diamati secara langsung, harga jual berdiri sendiri                    observable, the relative stand-alone selling prices are
         relatif diperkirakan berdasarkan biaya yang diharapkan                 estimated based on expected cost plus margin;
         ditambah marjin;
      5. Pengakuan pendapatan ketika kewajiban pelaksanaan                   5. Recognise revenue when the performance obligation
         telah dipenuhi dengan menyerahkan barang atau jasa                     is satisfied by transferring a promised goods or
         yang dijanjikan ke pelanggan (ketika pelanggan telah                   service to a customer (which is when the customer
         memiliki kendali atas barang atau jasa tersebut).                      obtains control of that goods or service).

      Kewajiban pelaksanaan dapat dipenuhi: (a) Pada suatu                   A performance obligation may be satisfied: (a) At a point
      titik waktu (umumnya janji untuk menyerahkan barang ke                 in time (typically for promises to transfer goods to a
      pelanggan); atau (b) Suatu periode waktu (umumnya janji                customer); or (b) Over time (typically for promises to
      untuk menyerahkan jasa ke (pelanggan).                                 transfer services to a customer).

      Pembayaran harga transaksi berbeda untuk setiap                        Payment of the transaction price differs for each
      kontrak. Aset kontrak diakui apabila kewajiban                         contracts. Contract asset is recognised when
      pelaksanaan yang telah dipenuhi melebihi pembayaran                    performance obligation satisfied is more than the
      yang dilakukan oleh pelanggan. Liabilitas kontrak diakui               payments by customer. Contract liability is recognised
      ketika pembayaran yang dilakukan oleh pelanggan                        when the payments by customer is more than the
      melebihi kewajiban pelaksanaan yang telah dipenuhi.                    performance obligation satisfied. Contract liability will be
      Liabilitas kontrak akan direalisasi menjadi pendapatan                 recognised as revenue when the performance obligation
      ketika kewajiban pelaksanaan telah dipenuhi. Aset                      has been satisfied. Contract assets are presented under
      kontrak disajikan dalam "Piutang usaha" dan liabilitas                 "Trade receivables" and contract liabilities are presented
      kontrak disajikan dalam "Utang usaha", "Utang lain-lain"               under "Trade payables", "Other liabilities" and "Advance
      dan "Uang muka pelanggan".                                             from customer" .




                                                                  31
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                         PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                           NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                  STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                        As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                          for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                  (Expressed in full US Dollar amount, unless otherwise stated)


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

   n. Pengakuan pendapatan dan beban (Lanjutan)                             n. Revenue and expenses recognition (Continued)

      Pendapatan bunga dan beban bunga dari instrumen                          Interest income and interest expense for all financial
      keuangan diakui dalam laba rugi secara akrual                            instruments are recognized in profit or loss on accrual
      menggunakan metode suku bunga efektif.                                   basis using the effective interest rate method.

      Beban diakui pada saat terjadinya, dengan menggunakan                    Expenses are recognised as incurred on an accruals
      dasar akrual.                                                            basis.

   o. Imbalan kerja karyawan                                                o. Employee benefits

      Liabilitas imbalan kerja jangka pendek                                   Short-term employee benefit liabilities

      Imbalan kerja jangka pendek merupakan upah, gaji, dan                    Short-term employee benefits are wages, salaries, and
      tunjangan lainnya. Imbalan kerja jangka pendek diakui                    other benefits. Short-term employee benefits are
      sebesar jumlah yang tak-terdiskonto sebagai liabilitas                   recognized at its undiscounted amount as a liability after
      pada laporan posisi keuangan konsolidasian setelah                       deducting any amount already paid in the consolidated
      dikurangi dengan jumlah yang telah dibayar dan sebagai                   statement of financial position and as an expense in
      beban pada laba rugi konsolidasian periode berjalan.                     consolidated profit or loss during the period.

      Liabilitas imbalan kerja jangka panjang                                  Long-term employee benefit liabilities

      Liabilitas imbalan kerja jangka panjang merupakan                        Long-term employee benefit liabilities represents post-
      imbalan pasca-kerja manfaat pasti yang dibentuk tanpa                    employment benefits, unfunded defined-benefit plans
      pendanaan khusus dan didasarkan pada masa kerja dan                      which amounts are determined based on years of
      jumlah penghasilan karyawan pada saat pensiun yang                       service and salaries of the employees at the time of
      dihitung menggunakan metode Projected Unit Credit .                      pension and calculated using the Projected Unit Credit.

      Nilai kini liabilitas imbalan pasca-kerja ditentukan dengan              The present value of the post-employment benefits
      mendiskontokan estimasi arus kas keluar masa depan                       obligation is determined by discounting the estimated
      dengan menggunakan tingkat bunga Obligasi Pemerintah                     future cash outflows using the interest rates of
      (dengan pertimbangan saat ini tidak ada pasar aktif untuk                Government Bonds (considering currently there is no
      Obligasi korporasi berkualitas tinggi) dalam mata uang                   deep market for high-quality corporate Bonds) that are
      Rupiah, sama dengan mata uang dimana imbalan                             denominated in Rupiah, in which the benefits will be
      tersebut akan dibayarkan, dan yang memiliki jangka                       paid, and that have terms to maturity approximating to
      waktu yang mendekati jangka waktu liabilitas imbalan                     the terms of the related pension liability.
      pensiun yang bersangkutan.

      Pengukuran kembali liabilitas imbalan pasti langsung                     Remeasurement of post-employment is recognised
      diakui dalam laporan posisi keuangan konsolidasian dan                   immediately to the consolidated statement of financial
      penghasilan komprehensif lain konsolidasian pada                         position and consolidated other comprehensive income
      periode terjadinya dan tidak akan direklasifikasi ke laba                in the period in which they occur and not to be
      rugi, namun menjadi bagian dari saldo laba. Biaya                        reclassified to profit or loss but reflected immediately in
      liabilitas imbalan pasti lainnya terkait dengan program                  retained earnings. All other costs related to the defined-
      imbalan pasti diakui dalam laba rugi konsolidasian.                      benefit plan are recognized in consolidated profit or loss.

   p. Transaksi dengan pihak-pihak berelasi                                 p. Related party transactions

      Grup menerapkan PSAK No. 224, "Pengungkapan pihak-                       The Group applied SFAS No. 224, "Related party
      pihak berelasi". PSAK ini mensyaratkan pengungkapan                      disclosures". This SFAS requires disclosures of
      hubungan, transaksi dan saldo pihak-pihak berelasi,                      relationships, transactions and balances related parties,
      termasuk     komitmen    dalam   laporan   keuangan                      including commitments in the consolidated financial
      konsolidasian.                                                           statements.

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




                                                                    32
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                        PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                          NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                 STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                       As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                         for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                 (Expressed in full US Dollar amount, unless otherwise stated)


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

   q. Laba per saham                                                       q. Earnings per share

      Laba per saham dasar dihitung dengan membagi laba                       Earnings per share basic is computed by dividing the
      yang diatribusikan kepada pemilik entitas induk dengan                  profits attributable to the equity holders of the parent
      jumlah rata-rata tertimbang saham beredar pada periode                  entity by the weighted average number of shares
      yang bersangkutan.                                                      outstanding during the period.

   r. Segmen operasi                                                       r. Segment operation

      Segmen operasi menyajikan informasi produk atau jasa                    Segment operation provide information of products or
      yang memiliki risiko dan imbalan yang berbeda dengan                    services which are subject to different risks and returns
      risiko dan imbalan segmen operasi lain. Segmen                          from other segments operation. Geographical segments
      geografis menyajikan informasi produk atau jasa pada                    provide information of products or services within a
      wilayah ekonomi tertentu yang memiliki risiko dan                       particular economic environment that are subject to risks
      imbalan yang berbeda dengan risiko dan imbalan pada                     and returns different from components operating in other
      komponen yang beroperasi pada wilayah ekonomi lain.                     economic environments.

      Pendapatan segmen, laba (rugi) usaha segmen, laba                       Segmental revenue, profit (loss) business segment, net
      (rugi) neto segmen dan aset segmen ditentukan sebelum                   profit (loss) segment and segmental assets are
      saldo dan transaksi dalam entitas Grup dieliminasi dalam                determined before elimination of balances and
      proses konsolidasian.                                                   transactions within the Group entities in the
                                                                              consolidation process.

   s. Properti minyak dan gas                                              s. Oil and gas properties

      Properti minyak dan gas merupakan agregasi aset                         Oil and gas properties are an aggregate of exploration
      eksplorasi dan evaluasi dan pengeluaran pengembangan                    and evaluation assets and development expenditures
      yang berhubungan dengan sumur berproduksi yang                          related to producing wells as reflected in the value of the
      tercermin dari nilai participating interest Grup. Nilai                 Group's participating interests. Depletion of oil and gas
      akuisisi participating interest dianggap sebagai biaya                  properties is recognized using the double declining
      perolehan. Deplesi properti minyak dan gas diakui                       method, except for acquisition of participating interests,
      dengan menggunakan metode saldo menurun, kecuali                        which are depleted using the units of production method
      untuk perolehan participating interest , yang dideplesikan              based on proved and probable reserves from the
      menggunakan metode unit produksi berdas+D447arkan                       commencement of commercial production from each
      cadangan terbukti (proved ) dan probable sejak                          field. The estimated useful lives are as follows:
      dimulainya produksi komersialnya dari masing-masing
      lapangan. Estimasi masa manfaat adalah sebagai
      berikut:

                                                        Masa manfaat/Useful lives

       Peralatan konstruksi                                   3 tahun/years                                  Construction equipments
       Fasilitas produksi                                     5 tahun/years                                         Production facilities
       Peralatan pengeboran dan produksi                      5 tahun/years                               Drilling and production tools

      Properti minyak dan gas dalam penyelesaian akan                         Asset under completion of oil and gas properties will be
      dipindahkan ke masing-masing properti minyak dan gas                    transferred to the respective oil and gas properties when
      yang bersangkutan pada saat aset tersebut selesai dan                   the assets are completed and ready for use.
      siap digunakan.

      Properti minyak dan gas dinilai penurunan nilainya sesuai               Oil and gas properties are assessed for impairment in
      dengan kebijakan yang ditetapkan pada catatan 2v                        line with the policy set out in note 2v under significant
      mengunakan asumsi dan estimasi penting yang telah                       assumption and estimates as described in note 3g.
      dijabarkan pada catatan 3g.




                                                                   33
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                          PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                            NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                   STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                         As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                           for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                   (Expressed in full US Dollar amount, unless otherwise stated)


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

   t. Liabilitas pembongkaran aset                                           t. Asset dismantling obligation

      Grup    melakukan    pencadangan     atas   kewajiban                     The Group has made provision for its obligations for
      pembongkaran aset sesuai dengan persyaratan dalam                         future dismantlement of assets in accordance with the
      masing-masing perjanjian atau sesuai dengan peraturan                     provisions in the respective agreements or in line with
      yang berlaku. Estimasi awal biaya pembongkaran diakui                     applicable regulations. The initial estimated costs for
      sebagai komponen biaya perolehan aset terkait, yang                       dismantlement are recognised as part of the acquisition
      disusutkan dengan menggunakan metode garis lurus.                         costs of the related assets and are subsequently
                                                                                depreciated using the straight-line method.

      Pada umumnya, aktivitas pembongkaran aset terjadi                         In most instances, the dismantlement of assets activities
      pada beberapa tahun di masa yang akan datang. Provisi                     will occur many years in the future. The provision for
      atas liabilitas pembongkaran di masa yang akan datang                     future dismantlement of assets obligations is the best
      adalah berupa estimasi terbaik pada tanggal pelaporan                     estimate of the present value of the future expenditures
      keuangan atas nilai kini dari pengeluaran di masa yang                    required to undertake the dismantlement of assets at the
      akan       datang    untuk     melaksanakan    liabilitas                 reporting date, based on current legal requirements. The
      pembongkaran aset tersebut, sesuai dengan ketentuan                       estimate of the obligation for future dismantlement of
      hukum yang berlaku pada tanggal pelaporan. Perkiraan                      assets and site restoration, therefore, requires
      liabilitas pembongkaran aset di masa yang akan datang                     management to make judgements regarding the timing
      tersebut melibatkan estimasi manajemen mengenai saat                      of those activities, the extent of those activities required
      aktivitas tersebut akan dilakukan, sejauh mana aktivitas                  and future technologies.
      tersebut harus dilakukan, dan juga teknologi yang akan
      digunakan di masa depan.

      Estimasi tersebut diperiksa setiap periode/tahun dan                      Such estimates are reviewed on a periodic/annual basis
      disesuaikan bila diperlukan. Penyesuaian dicerminkan                      and adjusted each period/year as required. Adjustments
      dalam nilai kini atas provisi liabilitas pembongkaran aset                are reflected in the present value of the provision for the
      dan dilakukan penyesuaian dengan jumlah yang sama                         obligation for dismantlement of assets with a
      atas nilai buku aset yang bersangkutan. Pembalikan dari                   corresponding change in the book value of the
      efek diskonto dalam penghitungan provisi diakui sebagai                   associated assets. The unwinding of the effect of
      beban keuangan pada laba rugi.                                            discounting the provision is recognised as a finance cost
                                                                                in profit or loss.

   u. Instrumen keuangan                                                     u. Financial instruments

      Aset keuangan                                                             Financial assets

      Grup mengklasifikasikan aset keuangannya dalam                            The Group classifies its financial assets in the following
      kategori: (i) aset keuangan yang diukur pada nilai wajar                  categories: (i) financial assets at fair value through
      melalui laporan laba rugi atau melalui penghasilan                        statements of profit or loss or other comprehensive
      komprehensif lain, (ii) aset keuangan yang diukur dengan                  income, (ii) financial assets at amortised cost.
      biaya diamortisasi. Klasifikasi dan pengukuran aset                       Classification and measurement of financial assets are
      keuangan harus didasarkan pada model bisnis dan arus                      based on the business model and contractual cash flows
      kas kontraktual – apakah semata dari pembayaran pokok                     – whether from solely payment of principal and interest.
      dan bunga. Manajemen menentukan klasifikasi aset                          Management determines the classification of its financial
      keuangan tersebut pada pengakuan awal.                                    assets at initial recognition.

      Grup memiliki aset keuangan yang diklasifikasikan                         The Group has financial assets classified as financial
      sebagai aset keuangan yang diukur dengan biaya                            assets at amortised cost. Financial assets at amortised
      diamortisasi. Aset keuangan yang diukur dengan biaya                      cost consist of cash and cash equivalents, trade
      diamortisasi meliputi kas dan setara kas, piutang usaha,                  receivables, other receivables, short-term investment
      piutang lain-lain dan aset lancar dan tidak lancar lain-lain              and other current and non-current assets and short-term
      dan investasi jangka pendek dan investasi jangka                          investment and long-term investment are classified as
      panjang yang diklasifikasikan sebagai aset keuangan                       financial assets held at fair value through profit or loss.
      diukur pada nilai wajar melalui laba rugi. Aset keuangan                  Financial assets in this category are classified as current
      diklasifikasikan sebagai aset lancar, jika jatuh tempo                    assets if expected to be settled within 12 months,
      dalam waktu 12 bulan, jika tidak maka aset keuangan ini                   otherwise they are classified as non-current.
      diklasifikasikan sebagai aset tidak lancar.




                                                                     34
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                      PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                        NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                               STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                     As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                       for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)               (Expressed in full US Dollar amount, unless otherwise stated)


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

   u. Instrumen keuangan (Lanjutan)                                      u. Financial instruments (Continued)

      Aset keuangan (Lanjutan)                                              Financial assets (Continued)

      Aset keuangan yang diukur dengan biaya diamortisasi                   Financial assets at amortised cost are recognised
      pada awalnya diakui sebesar nilai wajarnya ditambah                   initially at fair value plus transaction costs and
      dengan biaya-biaya transaksi dan selanjutnya diukur                   subsequently measured at amortised cost using the
      pada biaya perolehan diamortisasi dengan menggunakan                  effective interest rate method.
      metode suku bunga efektif.

      Penghentian pengakuan aset keuangan                                   Derecognition of financial assets

      Aset keuangan dihentikan pengakuannya ketika hak                      Financial assets are derecognised when the rights to
      untuk menerima arus kas dari investasi tersebut telah                 receive cash flows from the investments have expired or
      jatuh tempo atau telah ditransfer dan Grup telah                      have been transferred and the Group has transferred
      mentransfer secara substansial seluruh risiko dan                     substantially all of the risks and rewards of ownership.
      manfaat atas kepemilikan aset.

      Penurunan nilai aset keuangan                                         Impairment of financial assets

      Pada setiap periode pelaporan, Grup menilai apakah                    At each reporting date, the Group assesses whether the
      risiko kredit dari instrumen keuangan telah meningkat                 credit risk on a financial instrument has increased
      secara signifikan sejak pengakuan awal. Ketika                        significantly since initial recognition. When making the
      melakukan penilaian, Grup menggunakan perubahan atas                  assessment, the Group uses the change in the risk of a
      risiko gagal bayar yang terjadi sepanjang perkiraan usia              default occurring over the expected life of the financial
      instrumen keuangan daripada perubahan atas jumlah                     instrument instead of the change in the amount of
      kerugian kredit ekspektasian.                                         expected credit losses.

      Pada setiap periode pelaporan, Grup menilai apakah                    At each reporting date, the Group assesses whether the
      risiko kredit dari instrumen keuangan telah meningkat                 credit risk on a financial instrument has increased
      secara signifikan sejak pengakuan awal. Ketika                        significantly since initial recognition. When making the
      melakukan penilaian, Grup menggunakan perubahan atas                  assessment, the Group uses the change in the risk of a
      risiko gagal bayar yang terjadi sepanjang perkiraan usia              default occurring over the expected life of the financial
      instrumen keuangan daripada perubahan atas jumlah                     instrument instead of the change in the amount of
      kerugian kredit ekspektasian.                                         expected credit losses.

      Dalam melakukan penilaian, Grup membandingkan                         To make that assessment, the Group compares the risk
      antara risiko gagal bayar yang terjadi atas instrumen                 of a default occurring on the financial instrument as at
      keuangan pada saat periode pelaporan dengan risiko                    the reporting date with the risk of a default occurring on
      gagal bayar yang terjadi atas instrumen keuangan pada                 the financial instrument as at the date of initial
      saat pengakuan awal dan mempertimbangkan kewajaran                    recognition and consider reasonable and supportable
      serta ketersediaan informasi yang tersedia pada saat                  information, that is available without undue cost or effort
      tanggal pelaporan terkait dengan kejadian masa lalu,                  at the reporting date about past events, current
      kondisi terkini dan perkiraan atas kondisi ekonomi di                 conditions and forecasts of future economic conditions,
      masa depan, yang mengindikasikan kenaikan risiko kredit               that is indicative of significant increases in credit risk
      sejak pengakuan awal.                                                 since initial recognition.




                                                                 35
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                          PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                            NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                   STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                         As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                           for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                   (Expressed in full US Dollar amount, unless otherwise stated)


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

   u. Instrumen keuangan (Lanjutan)                                          u. Financial instruments (Continued)

      Penurunan nilai aset keuangan                                             Impairment of financial assets

      Grup menerapkan pendekatan yang disederhanakan                            The Group applies the simplified approach to measuring
      untuk mengukur kerugian kredit ekspektasian yang                          expected credit losses which uses a lifetime expected
      menggunakan penyisihan kerugian kredit ekspektasian                       loss allowance for all account receivables without
      sepanjang umurnya untuk seluruh saldo piutang tanpa                       significant financing components and the general
      komponen pendanaan yang signifikan dan pendekatan                         approach for all other financial assets. The general
      umum untuk aset keuangan lainnya. Pendekatan umum                         approach incorporates a review for any significant
      termasuk penelahaan perubahan signifikan risiko kredit                    increase in counterparty credit risk since inception. The
      sejak     terjadinya.     Penelaahan      kerugian    kredit              expected credit loss reviews include assumptions about
      ekspektasian termasuk asumsi mengenai risiko gagal                        the risk of default and expected loss rates. For trade
      bayar dan tingkat kerugian ekspektasian. Untuk piutang                    receivables, the assessment considers the use of credit
      usaha, dalam pengkajian juga mempertimbangkan                             enhancements, for example, letters of credit and bank
      penggunaan peningkatan kredit, misalnya, letter of credit                 guarantee. To measure the expected credit losses,
      dan garansi bank. Untuk mengukur kerugian kredit                          account receivables have been grouped based on
      ekspektasian, piutang telah dikelompokkan berdasarkan                     similar credit risk characteristics and the days past due.
      karakteristik risiko kredit dan jatuh tempo yang serupa.

      Liabilitas keuangan                                                       Financial liabilities

      Grup mengklasifikasikan liabilitas keuangannya sebagai                    The Group classifies its financial liabilities as category:
      kategori: (i) liabilitas keuangan pada nilai wajar melalui                (i) financial liabilities at fair value through profit or loss,
      laba rugi, dan (ii) liabilitas keuangan yang diukur pada                  and (ii) financial liabilities measured at amortized cost.
      biaya perolehan diamortisasi.

      Biaya perolehan diamortisasi dengan mendiskontokan                        Cost is amortized by discounting the value of the liability
      nilai liabilitas menggunakan suku bunga efektif, kecuali                  using the effective interest rate, unless the impact of the
      dampak dari pendiskontoan tidak signifikan. Suku bunga                    discount is insignificant. The effective interest rate is the
      efektif adalah tingkat diskonto yang menghasilkan arus                    discount rate that generates future cash flows from the
      kas di masa datang dari nilai tercatat, saat pengakuan                    carrying amount, upon initial recognition. The interest
      awal. Dampak bunga dari penerapan metode suku bunga                       effect of applying the effective interest method is
      efektif diakui dalam laba rugi konsolidasian.                             recognized in consolidated profit or loss.

      Liabilitas keuangan yang dimiliki Grup meliputi pinjaman                  The Groups financial liabilities include short-term and
      bank jangka pendek dan jangka panjang, utang usaha,                       long term bank loans, trade payables, other payables,
      utang lain-lain, liabilitas kontrak, beban akrual, utang                  contract liabilities, accrued expenses, fixed assets
      pembelian aset tetap dan pinjaman pembiayaan                              purchase payables and consumer financing loans which
      konsumen yang diklasifikasikan sebagai liabilitas                         are classified as financial liabilities at amortised cost.
      keuangan yang diukur dengan biaya diamortisasi.

      Pada saat pengakuan awal, utang usaha, akrual, liabilitas                 At initial recognition, trade payables, accruals, other
      keuangan jangka pendek lainnya dan pinjaman diukur                        short-term financial liabilities and loans are measured at
      sebesar nilai wajar dikurangi biaya transaksi yang dapat                  fair value less direct attributable transaction costs. After
      diatribusikan langsung. Setelah pengakuan awal, liabilitas                initial recognition, financial liabilities are measured at
      keuangan diukur pada biaya perolehan diamortisasi                         amortized cost using the effective interest method.
      dengan menggunakan metode bunga efektif.




                                                                     36
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                          PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                            NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                   STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                         As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                           for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                   (Expressed in full US Dollar amount, unless otherwise stated)


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

   u. Instrumen keuangan (Lanjutan)                                          u. Financial instruments (Continued)

      Penghentian pengakuan liabilitas keuangan                                 Derecognition of financial liabilities

      Liabilitas keuangan dihentikan pengakuannya pada saat                     A financial liability is derecognized when the obligation
      liabilitas tersebut dihentikan atau dibatalkan atau                       under the contract is discharged or cancelled or expired.
      kadaluwarsa. Ketika suatu liabilitas keuangan yang ada                    When an existing financial liability is replaced by another
      digantikan oleh liabilitas keuangan lain dari pemberi                     from the same lender on substantially different terms, or
      pinjaman yang sama dengan persyaratan yang berbeda                        the terms of an existing liability are substantially
      secara substansial, atau modifikasi secara substansial                    modified, such an exchange or modification is treated as
      persyaratan dari suatu liabilitas yang saat ini ada,                      derecognition of the original liability and recognition of a
      pertukaran atau modifikasi tersebut diperlakukan sebagai                  new liability, and the difference in the respective carrying
      penghentian pengakuan liabilitas awal dan pengakuan                       amounts is recognized in the consolidated statement of
      liabilitas baru, dan selisih antara nilai tercatat masing-                profit or loss and other comprehensive income.
      masing liabilitas diakui dalam laporan laba rugi dan
      penghasilan komprehensif lain konsolidasian.

      Saling hapus dari instrumen keuangan                                      Offsetting of financial instruments

      Aset keuangan dan liabilitas keuangan saling hapus dan                    Financial assets and liabilities are offset and the net
      jumlah netonya dilaporkan pada laporan posisi keuangan                    amount is reported in the consolidated statements of
      konsolidasian ketika terdapat hak yang berkekuatan                        financial position when there is a legally enforceable
      hukum untuk melakukan saling hapus atas jumlah yang                       right to offset the recognised amounts and there is an
      telah diakui tersebut dan adanya niat untuk                               intention to settle on a net basis, or realise the asset and
      menyelesaikan secara neto, atau untuk merealisasikan                      settle the liability simultaneously. The legally enforceable
      aset dan menyelesaikan liabilitas secara bersamaan. Hak                   right must not be contingent on future events and must
      saling hapus tidak kontinjen atas peristiwa di masa depan                 be enforceable in the normal course of business and in
      dan dapat dipaksakan secara hukum dalam situasi bisnis                    the event of default in solvency or bankcrupty of the
      yang normal dan dalam peristiwa gagal bayar, atau                         Group or the counterparty.
      peristiwa kepailitan atau kebangkrutan Grup atau pihak
      lawan.

   v. Penurunan nilai dari aset non-keuangan                                 v. Impairment of non-financial assets

      Aset yang memiliki umur manfaat tidak terbatas, misalnya                  Assets that have an indefinite useful life, for example,
      goodwill , tidak diamortisasi namun diuji penurunan                       goodwill, are not subject to amortisation but tested
      nilainya setiap tahun, atau lebih sering jika terdapat                    annually for impairment, or more frequently if events or
      kejadian atau perubahan keadaan yang mengindikasikan                      changes in circumstances indicate that the carrying
      bahwa nilai tercatatnya mungkin tidak dapat dipulihkan.                   amount may not be recoverable.

      Aset yang memiliki umur manfaat terbatas, diamortisasi                    Assets that have a definite useful life are subject to
      atau disusutkan, dan diuji untuk penurunan nilai jika                     amortisation or depreciation, and are reviewed for
      terdapat kejadian atau perubahaan keadaan yang                            impairment     whenever      events     or   changes     in
      mengindikasikan bahwa nilai tercatatnya mungkin tidak                     circumstances indicate that the carrying amount may not
      dapat dipulihkan. Penurunan nilai diakui jika nilai tercatat              be recoverable. An impairment loss is recognised at the
      aset melebihi jumlah terpulihkannya. Jumlah terpulihkan                   amount by which the asset’s carrying amount exceeds
      merupakan jumlah yang lebih tinggi antara nilai wajar aset                its recoverable amount. The recoverable amount is the
      dikurangi biaya untuk menjual dan nilai pakai aset. Dalam                 higher of an asset’s fair value less costs of disposal and
      menentukan penurunan nilai, aset dikelompokkan pada                       its value in use. For the purposes of assessing
      tingkat yang paling rendah dimana terdapat arus kas yang                  impairment, assets are grouped at the lowest level for
      dapat diidentifikasi.                                                     which there is separately identifiable cash flows.

      Penentuan nilai wajar dan nilai pakai untuk properti                      The determination of fair value and value in use for oil
      minyak dan gas mensyaratkan manajemen untuk                               and gas properties requires management to make
      membuat estimasi dan asumsi signifikan yang telah                         significants estimates and assumptions as described in
      dijelaskan pada catatan 3g.                                               note 3g.




                                                                     37
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                        PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                          NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                 STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                       As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                         for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                 (Expressed in full US Dollar amount, unless otherwise stated)


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

   v. Penurunan nilai dari aset non-keuangan (Lanjutan)                    v. Impairment of non-financial assets (Continued)

      Aset non-keuangan selain goodwill yang mengalami                        Non financial assets other than goodwill that suffer
      penurunan nilai diuji untuk menentukan apakah terdapat                  impairment are reviewed for possible reversal of the
      kemungkinan pemulihan penurunan nilai, pada setiap                      impairment at each reporting date.
      tanggal pelaporan.

      Pembalikan rugi penurunan nilai, untuk aset selain                      Reversal of impairment losses for assets other than
      goodwill , diakui jika, dan hanya jika, terdapat perubahan              goodwill is recognised if, and only if, there has been a
      estimasi yang digunakan dalam menentukan jumlah                         change in the estimates used to determine the asset’s
      terpulihkan aset sejak pengujian penurunan nilai terakhir               recoverable amount since the last impairment testing
      kali. Pembalikan rugi penurunan nilai tersebut diakui                   was carried out. The reversal of impairment losses will
      segera dalam laba rugi. Pembalikan tersebut tidak boleh                 be recognised immediately in profit or loss. The reversal
      mengakibatkan nilai tercatat aset melebihi biaya                        should not result in the carrying amount of an asset
      perolehan disusutkan sebelum adanya pengakuan                           exceeding what the depreciated cost would have been
      penurunan nilai pada tanggal pembalikan dilakukan. Rugi                 had the impairment not been recognised at the date on
      penurunan nilai atas goodwill tidak akan dilakukan                      which the impairment was reversed. Impairment losses
      pembalikan kembali.                                                     relating to goodwill will not be reversed.

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

   Penyusunan laporan keuangan konsolidasian Grup                          The preparation of the consolidated financial statements
   mensyaratkan manajemen untuk membuat pertimbangan,                      requires management to make judgments, estimates and
   estimasi dan asumsi yang mempengaruhi jumlah yang                       assumptions that affect the reported amounts of revenues,
   dilaporkan atas pendapatan, beban, aset dan liabilitas, serta           expenses, assets and liabilities, and the disclosure of
   pengungkapan liabilitas kontinjensi, pada akhir periode                 contingent liabilities, at the end of the reporting period.
   pelaporan. Pertimbangan, estimasi dan asumsi akan                       Judgements, estimates and assumptions are continually
   dievaluasi secara berkelanjutan dan didasarkan pada                     evaluated and are based on historical experience and other
   pengalaman masa lalu dan faktor-faktor lainnya, termasuk                factors, including expectations of future events that are
   ekspektasi terhadap kejadian masa depan yang diyakini                   believed to be reasonable under the circumstances.
   cukup beralasan dalam situasi tertentu.

   Grup telah mengidentifikasi kebijakan-kebijakan akuntansi               The Group has identified the following critical accounting
   penting berikut yang melibatkan pertimbangan, estimasi,                 policies under which significant judgements, estimates and
   dan asumsi yang signifikan dimana hasil yang sebenarnya                 assumptions are made and where actual results may differ
   dapat berbeda dari estimasi-estimasi yang dibuat                        from these estimates under different assumptions and
   berdasarkan asumsi dan kondisi yang berbeda pada saat itu               conditions and may materially affect the financial results or
   dan kemungkinan dapat mempengaruhi hasil atau posisi                    the financial position reported in future periods.
   keuangan secara material yang dilaporkan dalam periode
   mendatang.

   Rincian lebih lanjut mengenai karakteristik atas asumsi-                Further details of the nature of these assumptions and
   asumsi dan kondisi-kondisi tersebut dapat ditemukan dalam               conditions may be found in the relevant notes to the
   catatan laporan keuangan konsolidasian yang relevan.                    consolidated financial statements.




                                                                   38
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CATATAN ATAS LAPORAN KEUANGAN                                                          NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                 STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                       As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                         for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                 (Expressed in full US Dollar amount, unless otherwise stated)


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

   a. Provisi untuk kerugian kredit ekspektasian ("ECL") aset              a. Provision for expected credit losses ("ECL") of financial
      keuangan                                                                assets

      Grup menggunakan matriks provisi untuk menghitung                       The Group uses a provision matrix to calculate ECL for
      kerugian kredit ekspektasian piutang usaha. Tingkat                     trade receivables. The provision rates are based on days
      provisi adalah berdasarkan hari jatuh tempo atas                        past due for groupings of various customer segments
      kelompok segmen pelanggan yang mempunyai                                that have similar credit risk characteristics (e.g., by
      karakteristik risiko kredit yang serupa (misalnya                       geography, product type, customer type and/or rating,
      berdasarkan geografi, tipe produk, tipe dan/atau peringkat              and coverage by letters of credit and other forms).
      pelanggan, dan nilai pertanggungan dari letter of credit
      dan bentuk lain).

      Matriks provisi pada mulanya didasarkan pada tingkat                    The provision matrix is initially based on the Group’s
      gagal bayar historis Grup yang diobservasi. Grup akan                   historical observed default rates. The Group will
      memperbaharui       matriks    untuk     menyesuaikan                   calibrate the matrix to adjust the historical credit loss
      pengalaman kerugian kredit historis dengan informasi                    experience with forward looking information. For
      forward-looking . Sebagai contoh, jika perkiraan atas                   instance, if forecast economic conditions are expected to
      kondisi ekonomi diperkirakan memburuk selama periode                    deteriorate over the next period, which can lead to an
      depan, yang dapat menyebabkan meningkatnya jumlah                       increased number of defaults, the historical default rates
      gagal bayar, tingkat gagal bayar historis disesuaikan.                  are adjusted. At every reporting date, the historically
      Pada setiap tanggal pelaporan, tingkat gagal bayar                      observed default rates are updated and changes in the
      historis diperbaharui dan perubahan estimasi forward-                   forward-looking estimates are analysed.
      looking dianalisis.

      Penilaian atas korelasi antara tingkat gagal bayar historis             The assessment of the correlation between historically
      yang diobservasi, perkiraan atas kondisi ekonomi dan                    observed default rates, forecast economic conditions
      kerugian kredit ekspektasian merupakan estimasi yang                    and ECL is a significant estimate. The amount of ECL is
      signifikan. Jumlah kerugian kredit ekspektasian paling                  sensitive to changes in circumstances and forecast
      dipengaruhi oleh perubahan keadaan dan perkiraan                        economic conditions. The Group’s historical credit loss
      kondisi ekonomi. Pengalaman kerugian kredit historis                    experience and forecast of economic conditions may
      Grup dan perkiraan kondisi ekonomi juga mungkin tidak                   also not be representative of a customer’s actual default
      menggambarkan gagal bayar aktual pelanggan di masa                      in the future.
      yang akan datang.

      Selain provisi penurunan nilai kolektif, Grup juga                      In addition to a collective impairment provision, the
      menerapkan provisi khusus untuk aset keuangan selain                    Group also implements specific provisions for financial
      piutang. Tingkat provisi tertentu dievaluasi oleh                       assets other than receivables. The level of a specific
      manajemen       berdasarkan      faktor-faktor  yang                    provision is evaluated by management based on factors
      mempengaruhi kolektibilitas piutang. Dalam kasus ini,                   that affect the collectability of the accounts. In these
      Grup menggunakan penilaian berdasarkan fakta dan                        cases, the Group uses judgement based on the best
      keadaan terbaik yang tersedia, termasuk namun tidak                     available facts and circumstances, including but not
      terbatas pada, lamanya hubungan Grup dengan                             limited to, the length of the Group’s relationship with the
      pelanggan dan status kredit pelanggan berdasarkan                       customers and customers’ credit status based on third-
      laporan kredit pihak ketiga dan faktor pasar yang                       party credit reports and known market factors, to record
      diketahui, untuk mencatat cadangan khusus untuk                         specific reserves for customers against amounts due in
      pelanggan terhadap jumlah yang jatuh tempo dalam                        amounts that it expects to collect.
      jumlah yang diharapkan untuk dikumpulkan.

      Cadangan spesifik ini dievaluasi kembali dan disesuaikan                These specific reserves are re-evaluated and adjusted
      karena informasi tambahan yang diterima mempengaruhi                    as additional information received affects the amounts
      jumlah yang diestimasi.                                                 estimated.




                                                                    39
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                      PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                        NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                               STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                     As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                       for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)               (Expressed in full US Dollar amount, unless otherwise stated)


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

   b. Estimasi masa manfaat aset tetap dan aset takberwujud              b. Estimated useful lives of fixed assets and intangible
                                                                            assets

      Grup mengestimasi masa manfaat dari aset tetap dan                    The Group estimates the useful life of fixed assets and
      aset takberwujudnya berdasarkan utilisasi dari aset yang              intangible assets based on the utilization of assets that
      diharapkan dapat didukung dengan rencana dan strategi                 are expected to be supported by business plans and
      usaha yang juga mempertimbangkan perkembangan                         strategies are also considering the development of future
      teknologi di masa depan dan perilaku pasar. Estimasi dari             technologies and market behavior. Estimates of the
      masa manfaat aset tetap adalah berdasarkan penelaahan                 useful life of fixed assets is based on a review of the
      Grup secara kolektif terhadap praktek industri, evaluasi              Group are collectively in accordance with industry
      teknis internal dan pengalaman untuk aset yang setara.                practice, internal technical evaluation and experience
      Estimasi masa manfaat ditelaah paling sedikit setiap                  equivalent to that asset. Estimated useful lives are
      akhir tahun pelaporan dan diperbarui jika ekspektasi                  reviewed at least every year-end reporting and updated
      berbeda dari estimasi sebelumnya dikarenakan                          if expectations differ from previous estimates due to
      pemakaian dan kerusakan fisik, keusangan secara teknis                physical wear and tear, technical or commercial
      atau komersial dan hukum atau pembatasan lain atas                    obsolescence and legal or other restrictions on the use
      penggunaan dari aset. Tetapi, adalah mungkin, hasil di                of assets. However, it is possible, future results of
      masa depan dari operasi dapat dipengaruhi secara                      operations could be materially affected by changes in
      material oleh perubahan dalam estimasi yang diakibatkan               estimates resulting from changes in the factors
      oleh perubahan faktor-faktor yang disebutkan diatas.                  mentioned above.

      Jumlah dan waktu dari beban yang dicatat untuk setiap                 The amount and timing of recorded expenses for any
      periode akan terpengaruh oleh perubahan atas faktor-                  period will be affected by changes in the factors and
      faktor dan situasi tersebut. Pengurangan dalam estimasi               circumstances. Reduction in the estimated useful lives of
      masa manfaat dari aset tetap Grup akan meningkatkan                   fixed assets of the Group will increase operating
      beban operasi dan menurunkan aset tidak lancar yang                   expenses and decrease non-current assets are
      dicatat.                                                              recorded.

   c. Sewa                                                               c. Leases

      Penentuan apakah suatu perjanjian mengandung unsur                    Determining whether an arrangement is or contains a
      sewa membutuhkan pertimbangan yang cermat untuk                       lease requires careful judgement to assess whether the
      menilai apakah perjanjian tersebut memberikan hak untuk               arrangement conveys a right to obtain substantially all
      mendapatkan secara subtansial seluruh manfaat ekonomi                 the economic benefits from use of the asset throughout
      dari penggunaan aset identifikasian dan hak untuk                     the period of use and right to direct the use of the asset,
      mengarahkan penggunaan aset identifikasian, bahkan                    even if the right is not explicitly specified in the
      jika hak tersebut tidak dijabarkan secara eksplisit di                arrangement.
      perjanjian.

      Grup mempunyai beberapa perjanjian sewa di mana Grup                  The Group has various lease agreements where the
      bertindak sebagai penyewa untuk beberapa asset                        Group acts as a lessee in respect of certain assets. The
      tertentu. Grup mengevaluasi apakah terdapat risiko dan                Group evaluates whether significant risks and rewards of
      manfaat kepemilikan yang signifikan dari aset sewaan                  ownership of the leased asset are transferred to the
      yang dialihkan kepada berdasarkan PSAK 116, yang                      lessee based on SFAS 116, which requires the Group to
      mensyaratkan Grup untuk membuat pertimbangan dan                      make judgements and estimates of transfer of risks and
      estimasi dari pengalihan risiko dan manfaat terkait atas              rewards of ownership of a leased asset.
      kepemilikan aset sewaan.




                                                                  40
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                         PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                           NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                  STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                        As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                          for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                  (Expressed in full US Dollar amount, unless otherwise stated)


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

   c. Sewa (Lanjutan)                                                       c. Leases (Continued)

      Karena Grup tidak dapat dengan mudah menentukan                          Since the Group could not readily determine the implicit
      suku bunga implisit, manajemen menggunakan suku                          rate, management used the Group's incremental
      bunga pinjaman inkremental Grup sebagai tingkat                          borrowing rate as a discount rate. There are a number of
      diskonto.    Ada     beberapa faktor yang    perlu                       factors to consider in determining an incremental
      dipertimbangkan dalam menentukan suku bunga                              borrowing rate, many of which need judgement in order
      pinjaman inkremental, yang banyak di antaranya                           to be able to reliably quantify any necessary adjustments
      memerlukan pertimbangan untuk dapat secara andal                         to arrive at the final discount rates.
      mengukur penyesuaian yang diperlukan untuk sampai
      pada tingkat diskonto akhir.

      Dalam menentukan suku bunga pinjaman inkremental,                        In determining an incremental borrowing rate, the Group
      Grup mempertimbangkan faktor-faktor utama berikut:                       considers the following main factors: the Group’s
      risiko kredit korporat Grup, jangka waktu sewa, jangka                   corporate credit risk, the lease term, the lease payment
      waktu pembayaran sewa, lingkungan ekonomi, waktu di                      term, the economic environment, the time at which the
      mana sewa dimasukkan, dan mata uang di mana                              lease is entered into, and the currency in which the
      pembayaran sewa ditentukan.                                              lease payments are denominated.

      Dalam menentukan jangka waktu sewa, Grup                                 In determining the lease term, the Group considers all
      mempertimbangkan semua fakta dan keadaan yang                            facts and circumstances that create an economic
      menimbulkan insentif ekonomi untuk menggunakan opsi                      incentive to exercise an extension option, or not exercise
      perpanjangan,        atau     tidak   menggunakan       opsi             a termination option. Extension options (or periods after
      penghentian. Opsi perpanjangan (atau periode setelah                     termination options) are only included in the lease term if
      opsi penghentian kontrak kerja) hanya termasuk dalam                     the lease is reasonably certain to be extended (or not
      jangka waktu sewa jika cukup pasti akan diperpanjang                     terminated). The lease term is reviewed if a significant
      (atau tidak dihentikan). Penilaian tersebut ditinjau kembali             event or a significant change in circumstances occurs
      jika terjadi peristiwa signifikan atau perubahan signifikan              which affects this assessment and that is within the
      dalam situasi yang memengaruhi penilaian ini dan berada                  control of the Group. For the year ended December 31,
      dalam kendali Grup. Untuk tahun yang berakhir pada                       2025, there is no revision of lease terms to reflect the
      tanggal 31 Desember 2025, tidak ada revisi persyaratan                   effect of exercising extension and termination options.
      sewa untuk mencerminkan efek dari melaksanakan opsi
      perpanjangan dan penghentian hubungan kerja.

   d. Realisasi dari aset pajak tangguhan                                   d. Realization of deferred tax assets

      Grup melakukan penelaahan atas nilai tercatat aset pajak                 The Group conducted a review of the carrying amount of
      tangguhan pada setiap akhir periode pelaporan dan                        deferred tax assets at the end of each reporting period
      mengurangi nilai tersebut sebesar jumlah kemungkinan                     and reduce the value by as much as possible those
      aset tersebut tidak dapat direalisasikan, dimana                         assets that could not be realized, where the taxable
      penghasilan kena pajak yang tersedia memungkinkan                        income that is available allows for the use of all or part of
      untuk penggunaan seluruh atau sebagian dari aset pajak                   the deferred tax assets. Review of the Group for the
      tangguhan tersebut. Penelaahan Grup atas pengakuan                       recognition of deferred tax assets for deductible
      aset pajak tangguhan untuk perbedaan permanen yang                       permanent differences based on the level and timing of
      dapat dikurangkan didasarkan atas tingkat dan waktu dari                 taxable income that estimated for the next reporting
      penghasilan kena pajak yang ditaksirkan untuk periode                    period.
      pelaporan berikutnya.

      Taksiran ini berdasarkan hasil pencapaian di masa lalu                   This estimates are based on past achievements and
      dan ekspektasi di masa depan terhadap pendapatan dan                     future expectations of income and expenses, as well as
      beban, sebagaimana juga dengan strategi perencanaan                      tax planning strategies in the future. But there is no
      perpajakan di masa depan. Tetapi tidak terdapat                          assurance that the Group can generate sufficient taxable
      kepastian bahwa Grup dapat menghasilkan penghasilan                      income to allow the use of part or all of these deferred
      kena pajak yang cukup untuk memungkinkan                                 tax assets.
      penggunaan sebagian atau seluruh bagian dari aset pajak
      tangguhan tersebut.




                                                                     41
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                       PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                         NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                      As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                        for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                (Expressed in full US Dollar amount, unless otherwise stated)


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

   e. Ketidakpastian liabilitas perpajakan                                e. Uncertainty of the tax liability

      Dalam situasi tertentu, Grup tidak dapat menentukan                    In certain circumstances, the Group cannot determine
      secara pasti jumlah liabilitas pajak mereka pada saat ini              the exact amount of their tax liability on current or future
      atau masa depan karena proses pemeriksaan oleh                         due to the examination process by the tax authorities.
      otoritas perpajakan. Ketidakpastian timbul terkait dengan              Uncertainty arises relating to interpretation of complex
      interpretasi dari peraturan perpajakan yang kompleks dan               tax regulations and the amount and timing of taxable
      jumlah dan waktu dari penghasilan kena pajak di masa                   income in the future.
      depan.

      Dalam menentukan jumlah yang harus diakui terkait                      In determining the amount to be recognized related to
      dengan liabilitas pajak yang tidak pasti, Grup menerapkan              uncertain tax liabilities, the Group applied the same
      pertimbangan yang sama yang akan mereka gunakan                        consideration that they will use in determining the
      dalam menentukan jumlah cadangan yang harus diakui                     amount of reserves that must be recognized in
      sesuai dengan PSAK 237, “Provisi, Liabilitas Kontinjensi,              accordance with SFAS 237, "Provisions, Contingent
      dan Aset Kontinjensi”. Grup membuat analisa untuk                      Liabilities and Contingent Assets". The Group makes the
      semua posisi pajak terkait dengan pajak penghasilan                    analysis to all tax positions related to income taxes to
      untuk menentukan jika liabilitas pajak untuk manfaat                   determine if the tax liability for unrecognized tax benefits
      pajak yang belum diakui harus diakui.                                  should be recognized.

   f. Penurunan nilai aset non-keuangan                                   f. Impairment of non-financial assets

      Penurunan nilai muncul saat nilai tercatat aset atau unit              An impairment exists when the carrying value of an
      penghasil kas ("UPK") melebihi nilai terpulihkannya, yang              asset or cash generating unit ("CGU") exceeds its
      lebih besar antara nilai wajar dikurangi biaya untuk                   recoverable amount, which is the higher of its fair value
      menjual dan nilai pakainya. Nilai wajar dikurangi biaya                less costs to sell and its value in use. The fair value less
      untuk menjual didasarkan pada ketersediaan data dari                   costs to sell calculation is based on available data from
      perjanjian penjualan yang mengikat yang dibuat dalam                   binding sales transactions in an arm’s length transaction
      transaksi normal atas aset serupa atau harga pasar yang                of similar assets or observable market prices less
      dapat diamati dikurangi dengan biaya tambahan yang                     incremental costs for disposing the asset.
      dapat diatribusikan dengan pelepasan aset.

      Perhitungan nilai pakai didasarkan pada model arus kas                 The value in use calculation is based on a discounted
      yang didiskontokan. Arus kas diproyeksikan untuk                       cash flow model. The future cash flow projection is for a
      sepuluh tahun ke depan dan tidak termasuk aktivitas                    period of ten years and does not include restructuring
      restrukturisasi yang belum ada perikatannya atau                       activities that the Group is not yet committed to or
      investasi signifikan di masa depan yang akan                           significant future investments that will enhance the
      meningkatkan kinerja dari UPK yang diuji. Nilai                        asset’s performance of the CGU being tested. The
      terpulihkan paling sensitif terhadap tingkat diskonto yang             recoverable amount is most sensitive to the discount
      digunakan untuk model arus kas yang didiskontokan                      rate used for the discounted cash flow model as well as
      seperti halnya dengan arus kas masuk masa depan yang                   the expected future cash inflows and the growth rate
      diharapkan dan tingkat pertumbuhan yang digunakan                      used for extrapolation purposes.
      untuk tujuan ekstrapolasi.

   g. Estimasi cadangan minyak dan gas                                    g. Oil and gas reserve estimates

      Properti minyak dan gas yang telah menemukan                           Proven oil and gas properties are reviewed for
      cadangan terbukti ditelaah untuk penurunan nilai ketika                impairment losses whenever events or changes in
      kejadian dan perubahan keadaan mengindikasikan                         circumstances indicate that the carrying amount may not
      bahwa nilai tercatat aset tidak dapat dipulihkan. Jika                 be recoverable. If any such indication exists, the asset's
      terdapat indikasi tersebut, nilai terpulihkan aset akan                recoverable amount is estimated.
      diestimasi.




                                                                   42
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                        PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                          NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                 STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                       As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                         for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                 (Expressed in full US Dollar amount, unless otherwise stated)


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

   g. Estimasi cadangan minyak dan gas (Lanjutan)                          g. Oil and gas reserve estimates (Continued)

      Penentuan nilai wajar dan nilai pakai untuk properti                    The determination of fair value and value in use for
      minyak dan gas yang telah menemukan cadangan                            proven oil and gas properties and fixed assets requires
      terbukti dan aset tetap mensyaratkan manajemen untuk                    management to make estimates and assumptions about
      membuat estimasi dan asumsi atas produksi yang                          expected production and sales volumes, discount rate
      diharapkan dan volume penjualan, tingkat diskonto                       using weighted average cost of capital ("WACC"),
      menggunakan weighted average cost of capital                            commodity prices (considering current and historical
      ("WACC"), harga komoditas (mempertimbangkan harga                       prices, price trends and related factors), tolling fees,
      saat ini dan masa lalu, tren harga dan faktor-faktor                    reserves for oil and gas properties, pipelines useful lives,
      terkait), biaya tolling , cadangan atas properti minyak dan             operating costs, decommissioning and site restoration
      gas, umur manfaat pipa, biaya operasi, biaya                            cost and future capital expenditure.
      pembongkaran dan restorasi serta belanja modal di masa
      depan.

      Nilai tercatat untuk penyusutan dan amortisasi beserta                  The amounts recorded for depreciation and amortisation,
      pemulihan nilai tercatat properti minyak dan gas                        as well as the recovery of the carrying value of oil and
      tergantung pada estimasi cadangan minyak dan gas.                       gas properties involving production of oil and gas
      Faktor utama yang mempengaruhi estimasi tersebut                        reserves, depend on the estimated reserves of oil and
      adalah penilaian teknis atas kuantitas produksi cadangan                gas. The primary factors affecting these estimates are
      minyak dan gas yang ada dan kendala ekonomis, seperti                   technical engineering assessments of producible
      ketersediaan pasar komersial atas produksi minyak dan                   quantities of oil and gas reserves in place and economic
      gas maupun asumsi yang terkait dengan antisipasi harga                  constraints, such as the availability of commercial
      komoditas dan biaya pengembangan dan produksi                           markets for oil and gas production, as well as
      cadangan tersebut.                                                      assumptions related to anticipated commodity prices and
                                                                              the costs of development and production of the
                                                                              reserves.

      Asumsi ekonomi yang digunakan untuk memperkirakan                       The economic assumptions used to estimate reserves
      cadangan berubah dari waktu ke waktu dan data geologi                   change from period to period, and additional geological
      bertambah selama masa operasi, oleh karena itu                          data are generated during the course of operations,
      perkiraan cadangan dapat berubah dari waktu ke waktu.                   therefore estimates of reserves may change from period
      Perubahan      cadangan     yang  dilaporkan    dapat                   to period. Changes in reported reserves may affect the
      mempengaruhi kinerja dan posisi keuangan Grup dalam                     Group’s financial performance and financial position in a
      berbagai cara, diantaranya:                                             number of ways, including the following:

      - Nilai tercatat aset dapat terpengaruh akibat perubahan                - Asset carrying values may be affected due to changes
        estimasi arus kas masa depan.                                           in estimated future cash flows.

      - Penyusutan dan amortisasi yang dibebankan ke dalam                    - Depreciation and amortisation charged in the profit or
        laba rugi dan penghasilan komprehensif lain                             loss and other comprehensive income may change
        konsolidasian dapat berubah apabila beban-beban                         where such charges are determined on a units of
        tersebut ditentukan berdasarkan unit produksi, atau                     production basis, or where the useful economic lives of
        jika masa manfaat ekonomi umur aset berubah.                            assets change.

      - Penyisihan untuk aktivitas purna-operasi, restorasi                   - Decommissioning, site restoration and environmental
        lokasi aset, dan hal-hal yang berkaitan dengan                          provisions may change where changes in estimated
        lingkungan dapat berubah apabila terjadi perubahan                      reserves affect expectations about the timing or cost of
        dalam perkiraan cadangan yang mempengaruhi                              these activities.
        ekspektasi tentang waktu atau biaya kegiatan ini.




                                                                    43
Page 298
PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                   PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                     NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                            STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                  As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                    for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)            (Expressed in full US Dollar amount, unless otherwise stated)


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

                                                     2025                2024

   Kas                                                1.057.644            412.489                                           Cash

   Kas di bank                                                                                                   Cash in banks
    Dolar AS                                                                                                        US Dollar
     PT Bank Mandiri (Persero) Tbk                   28.933.664         26.816.045             PT Bank Mandiri (Persero) Tbk
     PT Bank Rakyat Indonesia (Persero) Tbk           5.399.318              1.413    PT Bank Rakyat Indonesia (Persero) Tbk
     PT Bank HSBC Indonesia                              55.553          2.129.871                 PT Bank HSBC Indonesia
     PT Bank Negara Indonesia (Persero) Tbk              43.190             80.209    PT Bank Negara Indonesia (Persero) Tbk
     PT Bank Syariah Indonesia Tbk                        6.280              6.400            PT Bank Syariah Indonesia Tbk
     PT Bank Central Asia Tbk                               990                -                   PT Bank Central Asia Tbk

         Jumlah kas di bank - Dolar AS               34.438.995         29.033.938             Total cash in banks - US Dollar

    Rupiah                                                                                                         Rupiah
     PT Bank Mandiri (Persero) Tbk                   47.027.115         13.917.448          PT Bank Mandiri (Persero) Tbk
     PT Bank Negara Indonesia (Persero) Tbk             223.075            168.044 PT Bank Negara Indonesia (Persero) Tbk
     PT Bank Rakyat Indonesia (Persero) Tbk              49.259             31.961 PT Bank Rakyat Indonesia (Persero) Tbk
     PT Bank Central Asia Tbk                            23.498             28.047              PT Bank Central Asia Tbk
     PT Bank HSBC Indonesia                              21.847            734.383              PT Bank HSBC Indonesia
     PT Bank Tabungan Negara (Persero) Tbk               11.490                147 PT Bank Tabungan Negara (Persero) Tbk
     Lain-lain (masing-masing di bawah                                                                Others (each below
      AS$3.000)                                             2.768            2.288                            US$3,000)

         Jumlah kas di bank - Rupiah                 47.359.052         14.882.318               Total cash in banks - Rupiah

       Jumlah kas di bank                            81.798.047         43.916.256                         Total cash in banks

   Deposito berjangka                                                                                            Time deposits
    Dolar AS                                                                                                        US Dollar
     PT Bank Rakyat Indonesia (Persero) Tbk           5.000.000                 -     PT Bank Rakyat Indonesia (Persero) Tbk
    Yen Jepang                                                                                                     Japan Yen
     PT Bank Mandiri (Persero) Tbk                    2.991.517                 -             PT Bank Mandiri (Persero) Tbk
    Rupiah                                                                                                            Rupiah
     PT Bank Mandiri (Persero) Tbk                       21.228              22.042           PT Bank Mandiri (Persero) Tbk

       Jumlah deposito berjangka                      8.012.745              22.042                        Total time deposits

       Jumlah kas dan setara kas                     90.868.436         44.350.787            Total cash and cash equivalents

   Selama periode 2025, deposito berjangka memperoleh                 During the period 2025, time deposits earned interest
   bunga berkisar 1,00% - 6,15% (2024: 2,25% - 2,50%) per             ranging 1.00% - 6.15% (2024: 2.25% - 2.50%) per annum.
   tahun.

   Pada tanggal 31 Desember 2025, kas di bank tertentu milik          As at December 31, 2025, certain cash in bank of the
   Perusahaan, EHK, APE, MUI, TIP, HEMA, RATU dan RETJ                Company, EHK, APE, MUI, TIP, HEMA, RATU and RETJ
   digunakan sebagai jaminan untuk pinjaman dari PT Bank              were pledged as collateral for loan obtained from PT Bank
   Mandiri (Persero) Tbk (lihat catatan 23).                          Mandiri (Persero) (see note 23).

   Semua rekening bank dan deposito berjangka ditempatkan             All cash in banks and time deposits are placed in third party
   pada bank pihak ketiga dan tidak dibatasi penggunaannya.           banks and not restricted.




                                                               44
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                 PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                   NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                          STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                  for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)          (Expressed in full US Dollar amount, unless otherwise stated)


5. PIUTANG USAHA                                                  5. TRADE RECEIVABLES

                                                     2025             2024

   Dolar AS                                         19.777.155        24.880.204                                       US Dollar
   Rupiah                                           13.923.354         9.519.816                                         Rupiah

       Jumlah                                       33.700.509        34.400.020                                        Total

    Dikurangi penyisihan atas penurunan nilai         (664.434)         (658.592)                Less provision for impairment
       Jumlah - bersih                              33.036.075        33.741.428                                  Total - net

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

                                                     2025             2024
   Pihak ketiga                                                                                                   Third parties
    PT Pertamina Gas                                 6.303.441        7.282.845                            PT Pertamina Gas
    PT Indah Kiat Pulp & Paper Tbk                   4.313.894        4.166.673               PT Indah Kiat Pulp & Paper Tbk
    PT Lontar Papyrus Pulp & Paper Industry          1.656.066        1.674.139      PT Lontar Papyrus Pulp & Paper Industry
    PT PLN (Persero)                                 1.488.619          764.704                             PT PLN (Persero)
    Gas Supply Pte. Ltd.                             1.269.396              -                            Gas Supply Pte. Ltd.
    Sahara Energy International Pte. Ltd.            1.236.780              -            Sahara Energy International Pte. Ltd.
    PT Pertamina Patra Niaga                         1.211.700          594.639                    PT Pertamina Patra Niaga
    Energy Equity Epic Sengkang Pty. Ltd               790.159              -          Energy Equity Epic Sengkang Pty. Ltd
    PT Pertamina Hulu Rokan                            651.781              -                      PT Pertamina Hulu Rokan
    PT Gajah Tunggal Tbk                               564.440          794.290                        PT Gajah Tunggal Tbk
    Star Energy Geothermal Salak Ltd.                  556.704          385.505            Star Energy Geothermal Salak Ltd.
    PT GPI Jabung Indonesia                            513.966       11.400.095                     PT GPI Jabung Indonesia
    PT Schlumberger Geophysics Nusantara               479.718          370.819      PT Schlumberger Geophysics Nusantara
    PT Internusa Keramik Alamasri Industri             479.097          488.453       PT Internusa Keramik Alamasri Industri
    PT Pertamina EP                                    467.259          480.493                             PT Pertamina EP
    PT Industri Keramik Angsa Daya                     390.278          238.727              PT Industri Keramik Angsa Daya
    PT Knauf Boral Plasterboard                        324.434          269.791                  PT Knauf Boral Plasterboard
    PT Petrogas Jatim Utama                            321.905          238.651                     PT Petrogas Jatim Utama
    PT Medco E&P Grissik                               160.410          417.646                       PT Medco E&P Grissik
    Konsorsium PETRO-BPI-CPM                               -            342.786                 Konsorsium PETRO-BPI-CPM
    Lain-lain (masing-masing di bawah                                                                     Others (each below
      AS$300.000)                                    5.571.504        4.489.764                                US$300,000)

      Jumlah                                        28.751.551       34.400.020                                          Total

   Dikurangi: kerugian kredit ekspektasian            (664.434)        (658.592)           Deducted by: expected credit losses

      Jumlah pihak ketiga - bersih                  28.087.117       33.741.428                       Total third parties - net

   Pihak berelasi (lihat catatan 40b)                4.948.958               -                   Related parties (see note 40b)

      Jumlah piutang usaha                          33.036.075       33.741.428                       Total trade receivables

   Dikurangi:                                                                                                      Deducted by:
   Pihak ketiga - tidak lancar                                                               Third parties - non-current portion
    PT Internusa Keramik Alamasri Industri             479.097          488.453        PT Internusa Keramik Alamasri Industri
    PT Kedaung Oriental Porcelain Industry              99.544          223.953        PT Kedaung Oriental Porcelain Industry
    Dikurangi: kerugian kredit ekspektasian           (518.353)        (518.353)          Deducted by: expected credit losses

      Jumlah bagian tidak lancar - bersih               60.288          194.053                Total non-current portion - net

      Jumlah bagian lancar - bersih                 28.026.829       33.547.375                     Total current portion - net




                                                            45
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                     PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                       NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                              STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                    As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                      for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)              (Expressed in full US Dollar amount, unless otherwise stated)


5. PIUTANG USAHA (Lanjutan)                                           5. TRADE RECEIVABLES (Continued)

   Rincian piutang berdasarkan jenis pendapatan adalah                   Details of trade receivables based on type of revenues are
   sebagai berikut:                                                      as follows:

                                                         2025             2024

   Penjualan gas                                        12.656.640       10.504.956                                    Sales of gas
   Operasi dan pemeliharaan                              5.003.918        5.741.462                     Operating and maintenance
   Engineering, Procurement and Construction             4.948.958              -        Engineering, Procurement and Construction
   Jasa penyaluran gas                                   4.587.394        3.914.303                               Gas toll services
   Lifting minyak dan gas                                4.476.687       11.400.095                               Oil and gas lifting
   Jasa kompresi gas                                       944.868        1.315.848                      Gas compression services
   Lain - lain                                           1.082.044        1.523.356                                         Others

      Jumlah                                            33.700.509       34.400.020                                          Total

   Analisa umur piutang usaha adalah sebagai berikut:                    The aging of trade receivables are as follows:

                                                         2025             2024

   Lancar                                               31.924.488       32.032.806                                          Current
   Telah jatuh tempo                                                                                                        Overdue
    1 - 30 hari                                            623.982           719.501                                    1 - 30 days
    31 - 60 hari                                            99.871           532.905                                   31 - 60 days
    61 - 90 hari                                           219.638            56.968                                   61 - 90 days
    Lebih dari 90 hari                                     832.530         1.057.840                             More than 90 days

      Jumlah                                            33.700.509       34.400.020                                          Total

   Mutasi kerugian kredit ekspektasian adalah sebagai berikut:           The movement of expected credit losses are as follows:

                                                         2025             2024

   Saldo awal                                              658.592          272.324                              Beginning balance
   Tambahan penyisihan                                       9.432          389.247                             Addition of provision
   Pemulihan                                                  (149)             -                                          Recovery
   Selisih kurs                                             (3.441)          (2.979)                              Foreign exchange

   Saldo akhir                                             664.434          658.592                                  Ending balance

   Pada tanggal 31 Desember 2025 dan 2024, piutang usaha                 As at December 31, 2025 and 2024, trade receivables of
   dari beberapa pelanggan milik Grup digunakan sebagai                  the Group from several customers were pledged as
   jaminan untuk pinjaman dari PT Bank Mandiri (Persero) Tbk             collateral for loan obtained from PT Bank Mandiri (Persero)
   (lihat catatan 23).                                                   Tbk (see note 23).

   Grup menerapkan penyisihan kerugian kredit ekspektasian               The Group applies the lifetime expected credit loss ("ECL")
   ("ECL") sepanjang umurnya untuk seluruh piutang usaha.                provision for all trade receivables. To measure the expected
   Untuk mengukur kerugian kredit ekspektasian, piutang                  credit loss, trade receivables have been grouped based on
   usaha telah dikelompokkan berdasarkan karakteristik risiko            similar credit risk characteristics and the days past due.
   kredit dan waktu jatuh tempo yang serupa.

   Manajemen berpendapat bahwa penyisihan ECL bernilai                   Management believes that the ECL allowance is adequate
   cukup untuk menutup kemungkinan kerugian kredit dari                  to cover possible credit losses from uncollectible trade
   tidak tertagihnya piutang usaha.                                      receivables.




                                                                 46
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                     PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                       NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                              STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                    As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                      for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)              (Expressed in full US Dollar amount, unless otherwise stated)


6. PIUTANG LAIN-LAIN                                                  6. OTHER RECEIVABLES

                                                         2025             2024

   Pihak ketiga                                                                                                      Third parties
    PT Banten Inti Gasindo                               7.004.773              -                         PT Banten Inti Gasindo
    PT Kreasi Griya Nusantara                            3.461.290        3.461.290                   PT Kreasi Griya Nusantara
    Konsorsium PETRO-BPI-CPM                             1.414.942              -                 Konsorsium PETRO-BPI-CPM
    PT Sumsel Energi Gemilang (Perseroda)                  622.691          646.579       PT Sumsel Energi Gemilang (Perseroda)
    PT Etika Dharma Bangun Sarana                          595.877          618.735             PT Etika Dharma Bangun Sarana
    PT Truba Jaya Engineering                              446.907          464.051                   PT Truba Jaya Engineering
    Rizki Ahmad Hasan                                      297.938              -                            Rizki Ahmad Hasan
    PT Duanusa Sumberdaya                                  283.576          294.455                    PT Duanusa Sumberdaya
    Henky                                                  268.144          278.431                                       Henky
    PT Griya Energi Sejahtera                              159.695          178.196                    PT Griya Energi Sejahtera
    Lain-lain (masing-masing di bawah                                                                        Others (each below
      AS$150.000)                                          325.079          421.786                                US$150,000)

       Jumlah                                           14.880.912        6.363.523                                         Total

    Dikurangi penyisihan atas penurunan nilai           (9.211.486)      (3.717.048)                 Less provision for impairment

      Jumlah pihak ketiga - bersih                       5.669.426        2.646.475                       Total third parties - net

   Pihak berelasi (lihat catatan 40c)                      158.374        4.232.132                  Related parties (see note 40c)

      Jumlah piutang lain-lain - bersih                  5.827.800        6.878.607                  Total other receivables - net

   Mutasi kerugian kredit ekspektasian adalah sebagai berikut:          The movement of expected credit losses are as follows:

                                                         2025             2024

   Saldo awal                                            3.717.048        3.230.920                             Beginning balance
   Tambahan penyisihan                                   5.508.602          501.438                            Addition of provision
   Selisih kurs                                            (14.164)         (15.310)                             Foreign exchange

   Saldo akhir                                           9.211.486        3.717.048                                 Ending balance

   Grup menerapkan pendekatan individual untuk mengukur                 The Group applies the individual approach to measuring
   kerugian kredit ekspektasian ("ECL") piutang lain-lain yang          expected credit losses ("ECL") of its other receivables
   menggunakan pertimbangan berdasarkan fakta dan kondisi               which uses judgement based on relevant facts and
   yang relevan, yang meliputi namun tidak terbatas pada,               circumstances, including, but not limited to, the length of
   jangka waktu hubungan Grup dengan lawan transaksi, dan               the Group’s relationship with the counterparty and the
   estimasi periode pelunasan.                                          estimated repayment period.

   Manajemen berpendapat bahwa penyisihan ECL bernilai                  Management believes that the ECL allowance is adequate
   cukup untuk menutup kemungkinan kerugian kredit dari                 to cover possible credit losses from uncollectible other
   tidak tertagihnya piutang lain-lain tersebut.                        receivables.

7. PERSEDIAAN                                                         7. INVENTORIES

                                                         2025             2024

   Suku cadang                                             499.839          568.253                                      Sparepart
   Gas line pack                                           136.047              -                                     Gas line pack

      Jumlah                                               635.886          568.253                                         Total

   Berdasarkan penelaahan terhadap persediaan pada akhir                Based on review of the inventory at the end of the year, the
   tahun, manajemen Grup berpendapat bahwa seluruh                      Group's management believes that the entire inventory is in
   persediaan dalam kondisi baik sehingga tidak diperlukan              good condition so no provision for impairment of
   penyisihan penurunan nilai persediaan.                               inventories.



                                                                 47
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                             PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                               NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                      STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                            As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                              for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                      (Expressed in full US Dollar amount, unless otherwise stated)


8. UANG MUKA DAN BEBAN DIBAYAR DI MUKA                                        8. ADVANCES AND PREPAID EXPENSES

                                                            2025                  2024

   Proyek dalam penyelesaian                                1.880.851             1.640.143                               Project in progress
   Proyek - cash call                                         750.927                   -                                  Project - cash call
   Pembelian persediaan                                       523.049                44.325                          Purchase of inventories
   Asuransi                                                   196.228               256.877                                         Insurance
   Operasional                                                127.930                18.555                                      Operational
   Biaya emisi yang ditangguhkan                               91.973               679.221                          Deferred issuance costs
   Sewa                                                        90.021                61.682                                              Rent
   Lain-lain                                                   46.543                37.996                                            Others

      Jumlah                                                3.707.522             2.738.799                                           Total

   Proyek dalam penyelesaian merupakan biaya-biaya yang                         Project in progress are expenses that have been incurred
   telah dikeluarkan oleh TIP sehubungan dengan kontrak                         by TIP in relation to the EPC engineering contract in
   EPC engineering yang berlokasi di Ubadari, Papua Barat,                      Ubadari, West Papua, which is still in the implementation
   yang masih dalam proses pelaksanaan.                                         process.

   Biaya emisi yang ditangguhkan merupakan biaya atas                           Deferred issuance costs represent costs related to RATU's
   Penawaran Umum Obligasi dan Sukuk Wakalah (2024:                             Public Offering of Bonds and Sukuk Wakalah (2024: Initial
   Penawaran Umum Perdana Saham) RATU mencakup                                  Public Offering), which include all cost incurred in
   seluruh biaya yang dikeluarkan sehubungan dengan proses                      connection with the public offering process.
   penawaran umum.

9. INVESTASI JANGKA PENDEK                                                    9. SHORT-TERM INVESTMENTS

                                                            2025                  2024

   Investasi reksa dana                                                                                               Mutual fund investment
     Harga perolehan                                           615.217                         -                           Acquisition cost
     Selisih kurs                                              (19.341)                        -                         Foreign exchange
     Laba yang belum direalisasi                                12.825                         -                           Unrealized profit

      Jumlah                                                   608.701                         -                                       Total

   Rincian investasi jangka pendek pada reksa dana milik Grup                   The details of the Group's short-term investments in mutual
   adalah sebagai berikut:                                                      funds are as follows:

                                        Nilai perolehan/   Nilai perolehan/     Nilai wajar/       Nilai wajar/
                                        Acquisition cost   Acquisition cost     Fair value         Fair value
                                            (Rupiah/          (Dolar AS/         (Rupiah/          (Dolar AS/
                                            Rupiah)          US Dollar)          Rupiah)           US Dollar)

   2025                                                                                                                                    2025
    PT Sucor Sekuritas                                                                                                        PT Sucor Sekuritas
     Reksa Dana Sucorinvest Money                                                                                 Reksa Dana Sucorinvest Money
       Market Fund                       5.000.000.000           308.242        5.118.824.133          305.018                   Market Fund
    PT Grow Investments Indonesia                                                                                  PT Grow Investments Indonesia
     Reksa Dana Grow Dana Optima                                                                                  Reksa Dana Grow Dana Optima
       Kas Utama                         5.000.000.000           306.975        5.096.402.143          303.683                     Kas Utama

       Jumlah                           10.000.000.000           615.217       10.215.226.276          608.701                         Total




                                                                      48
Page 303
PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                           PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                             NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                    STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                          As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                            for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                    (Expressed in full US Dollar amount, unless otherwise stated)


10. INVESTASI JANGKA PANJANG                                                10. LONG-TERM INVESTMENTS

   - RATU, entitas anak, melakukan penempatan dana pada                       -   RATU, subsidiary, placed funds in Patriot Bonds issued
     Patriot Bond yang diterbitkan oleh Badan Pengelola                           by Badan Pengelola Investasi Daya Anagata Nusantara
     Investasi Daya Anagata Nusantara (BPI Danantara) yang                        (BPI Danantara), consisting of Series A Bonds
     terdiri dari Obligasi Seri A sebesar Rp50.000.000.000 dan                    amounting to Rp50,000,000,000 and Series B Bonds
     Obligasi Seri B sebesar Rp50.000.000.000. Obligasi Seri                      amounting to Rp50,000,000,000. Series A Bonds will
     A akan jatuh tempo pada tanggal 22 Oktober 2030,                             mature on October 22, 2030, while the Series B Bonds
     sedangkan Obligasi Seri B akan jatuh tempo pada                              will mature on October 22, 2032. Each bond carries an
     tanggal 22 Oktober 2032. Masing-masing obligasi                              annual coupon (yield) of 2% per annum. The balance
     memberikan kupon (imbal hasil) sebesar 2% per tahun.                         (fair value) as at December 31, 2025 amounting to
     Saldo (nilai wajar) per 31 Desember 2025 adalah sebesar                      Rp100,348,360,656 or equivalent to US$5,979,523.
     Rp100.348.360.656 atau ekuivalen AS$5.979.523.

   - Perusahaan melakukan penempatan dana pada Patriot                        -   The Company placed funds in Patriot Bonds issued by
     Bond yang diterbitkan oleh Badan Pengelola Investasi                         Badan Pengelola Investasi Daya Anagata Nusantara
     Daya Anagata Nusantara (BPI Danantara) yang terdiri                          (BPI Danantara), consisting of Series A Bonds
     dari Obligasi Seri A sebesar Rp50.000.000.000 dan                            amounting to Rp50,000,000,000 and Series B Bonds
     Obligasi Seri B sebesar Rp50.000.000.000. Obligasi Seri                      amounting to Rp50,000,000,000. Series A Bonds will
     A akan jatuh tempo pada tanggal 22 Oktober 2030,                             mature on October 22, 2030, while the Series B Bonds
     sedangkan Obligasi Seri B akan jatuh tempo pada                              will mature on October 21, 2032. Each bond carries an
     tanggal 21 Oktober 2032. Masing-masing obligasi                              annual coupon (yield) of 2% per annum. The balance
     memberikan kupon (imbal hasil) sebesar 2% per tahun.                         (fair value) as at December 31, 2025 amounting to
     Saldo (nilai wajar) per 31 Desember 2025 adalah sebesar                      Rp100,400,000,000 or equivalent to US$5,982,600.
     Rp100.400.000.000 atau ekuivalen AS$5.982.600.

11. INVESTASI PADA ENTITAS ASOSIASI                                         11. INVESTMENT IN ASSOCIATES

                                                              2025                2024

   PT Hafar Daya Konstruksi ("HDK")                           23.085.039                -               PT Hafar Daya Konstruksi ("HDK")
   PT Hafar Daya Samudera ("HDS")                             15.656.030                -                PT Hafar Daya Samudera ("HDS")
   PT Petrogas Jatim Utama Cendana ("PJUC")                    7.537.150          8.559.832    PT Petrogas Jatim Utama Cendana ("PJUC")
   PT Banggai Ammonia Indonesia ("BAI")                           64.033             64.033        PT Banggai Ammonia Indonesia ("BAI")

      Jumlah                                                  46.342.252          8.623.865                                          Total

   Dikurangi:                                                                                                                  Deducted by:
    Penyesuaian bagian laba HDK dan HDS                         (529.169)                -     Adjustment on share of profit HDK and HDS

      Jumlah - bersih                                         45.813.083          8.623.865                                     Total - net

   Pada tanggal 15 Agustus 2025, Perusahaan mengakuisisi                      On August 15, 2025, the Company acquired a 49%
   49% kepemilikan atas HDK dan HDS (“Grup Hafar”). Proses                    ownership interest in HDK and HDS (“Hafar Group”). This
   ini mengharuskan Perusahaan untuk menentukan nilai wajar                   process required the Group to determine the fair value of
   atas aset teridentifikasi yang diperoleh dan liabilitas yang               the identifiable assets acquired and liabilities as of the
   diambil alih pada tanggal akuisisi, yang disajikan sebagai                 acquisition date, which is presented as follows.
   berikut:

                                                                    31 Agustus/
                                                                     August 31
                                                                      2025

   Jumlah aset                                                        82.156.000                                               Total assets
   Jumlah liabilitas                                                   3.106.000                                              Total liabilities

   Nilai wajar aset bersih yang diperoleh                             79.050.000                           Fair value of net assets acquired

   Nilai aset yang diperoleh - setelah dikurangi liabilitas                                   Net assets value acquired - net of deferred tax
    pajak tangguhan sebesar AS$9.954.000                              69.096.000                     liabilities amounting to US$9,954,000




                                                                     49
Page 304
PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                                PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                                  NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                         STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                               As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                                 for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                         (Expressed in full US Dollar amount, unless otherwise stated)


11. INVESTASI PADA ENTITAS ASOSIASI (Lanjutan)                                   11. INVESTMENT IN ASSOCIATES (Continued)

   Alokasi harga perolehan dilakukan oleh penilai independen,                       The purchase price allocation was carried out by an
   KJPP Kusnanto & Rekan, pihak ketiga, yang ditunjuk oleh                          independent valuer, KJPP Kusnanto & Rekan, third party,
   Grup untuk menentukan nilai wajar atas aset dan liabilitas                       appointed by the Group to determine the fair value of the
   teridentifikasi yang diakuisisi dari Warna Tiono dan Emier                       identifiable assets and liabilities acquired from Warna Tiono
   Koesomawiria. Penyesuaian nilai wajar atas aset tetap                            and Emier Koesomawiria. The fair value adjustments for
   ditentukan oleh penilai independen, KJPP Suwendho                                property, plant, and equipment were determined by another
   Rinaldy & Rekan, pihak ketiga, dengan menggunakan                                independent valuer, KJPP Suwendho Rinaldy & Rekan, a
   pendekatan biaya reproduksi baru untuk aset tetap (selain                        third party, using the new production cost approach for
   tanah) dan pendekatan pasar untuk tanah.                                         property, plant, and equipment (other than land) and the
                                                                                    market approach for land.

   Keuntungan dari pembelian dengan diskon yang timbul dari                         The gain on bargain purchase a from the acquisition is
   akuisisi tersebut disajikan sebagai berikut:                                     presented as follows:

                                                                         31 Agustus/
                                                                          August 31
                                                                           2025

   Nilai wajar aset bersih yang diperoleh setelah                                                        Fair value of the assets acquired net of
    dikurangi aset pajak tangguhan                                         69.096.000                                     deferred tax liabilities

   Porsi Perusahaan - 49%                                                  33.857.040                              The Company's portion - 49%
   Imbalan yang dialihkan                                                  23.851.390                                  Consideration transferred

   Keuntungan dari pembelian dengan diskon                                 10.005.650                                Gain from bargain purchase

   PT Hafar Daya Konstruksi ("HDK")                                                 PT Hafar Daya Konstruksi ("HDK")

   Investasi saham pada PT Hafar Daya Konstruksi ("HDK")                            Investment in share in PT Hafar Daya Konstruksi ("HDK")
   dengan kepemilikan sebesar 49,00% atau sebanyak                                  with ownership of 49.00% or 149,450 shares. HDK is a
   149.450 saham. HDK merupakan perusahaan yang berdiri                             company that was established on June 17, 2009, domiciled
   pada tanggal 17 Juni 2009, berdomisili di Jakarta dan                            at Jakarta and engaged in construction, which has been
   bergerak di bidang konstruksi, yang dimiliki oleh Perusahaan                     owned by the Company since August 15, 2025.
   sejak tanggal 15 Agustus 2025.

   Per 31 Desember 2025, investasi saham pada HDK                                   As at December 31, 2025, investment in share in HDK have
   digunakan sebagai jaminan atas fasilitas pinjaman yang                           been used as collateral for the loan facility received from PT
   diterima dari PT Bank Mandiri (Persero) Tbk (lihat catatan                       Bank Mandiri (Persero) (see note 23).
   23).

   Rekonsiliasi dari ringkasan informasi keuangan yang                              Reconciliation of the summarised financial information
   disajikan terhadap nilai buku dari kepentingan Grup dalam                        presented to the carrying amount of the Group’s interest in
   investasi pada HDK adalah sebagai berikut:                                       the investment in HDK is as follows:

                                                                  2025               2024

   Harga perolehan                                               14.310.792                  -                                    Acquisition cost
   Selisih nilai wajar dengan                                                                             The difference between fair value and
    harga perolehan                                               5.137.337                  -                                  acquisition cost
   Bagian laba di periode berjalan *)                             3.604.778                  -                    Share of profit for the period *)
   Bagian penghasilan komprehensif                                                                                Share of other comprehensive
    lainnya di periode berjalan *)                                    32.132                 -                         income for the period *)

      Jumlah                                                     23.085.039                  -                                           Total

   *) Merupakan periode sejak akuisisi sampai dengan 31 Desember 2025/
      Represents the period from the acquisition date up to December 31, 2025.




                                                                           50
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                                PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                                  NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                         STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                               As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                                 for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                         (Expressed in full US Dollar amount, unless otherwise stated)


11. INVESTASI PADA ENTITAS ASOSIASI (Lanjutan)                                   11. INVESTMENT IN ASSOCIATES (Continued)

   PT Hafar Daya Konstruksi ("HDK") (Lanjutan)                                      PT Hafar Daya Konstruksi ("HDK") (Continued))

   Ringkasan informasi keuangan entitas asosiasi HDK adalah                         The details of financial information of HDK, associate, is as
   sebagai berikut:                                                                 follows:

                                                                  2025               2024

   Laporan posisi keuangan                                                                                        Statement of financial position
    Jumlah aset                                                  36.434.093                  -                                     Total assets
    Jumlah liabilitas                                            10.248.668                  -                                   Total liabilities
    Jumlah aset bersih/ekuitas                                   26.185.425                  -                         Total net assets/equity

   Laporan laba rugi                                                                                                Statement of profit or loss
    Jumlah pendapatan                                            34.099.289                  -                                Total revenue
    Laba tahun berjalan                                           5.934.838                  -                             Profit for the year
    Laba komprehensif lain                                           80.143                  -                 Other comprehensive income
    Laba komprehensif tahun berjalan                              6.014.981                  -             Comprehensive income for the year

   HDK merupakan perusahaan yang tidak terdaftar di bursa                           HDK is an non-listed company and there is no quoted
   dan tidak terdapat harga pasar yang dikutip yang tersedia                        market price available for the HDK shares.
   untuk saham HDK.

   Berdasarkan penelaahan manajemen pada akhir periode,                             Based on the management review at the end of the period,
   tidak terdapat bukti obyektif bahwa investasi pada entitas                       there is no objective evidence indicating an impairment of
   asosiasi HDK mengalami penurunan nilai sehingga                                  the investment in associate of HDK, hence management
   manajemen tidak melakukan penyisihan penurunan nilai.                            did not make any allowance for the impairment.

   PT Hafar Daya Samudera ("HDS")                                                   PT Hafar Daya Samudera ("HDS")

   Investasi saham pada PT Hafar Daya Samudera ("HDS")                              Investment in share in PT Hafar Daya Samudera ("HDS")
   dengan kepemilikan sebesar 49,00% atau sebanyak                                  with ownership of 49.00% or 315.070 shares. HDS is a
   315.070 saham. HDS merupakan perusahaan yang berdiri                             company that was established on April 19, 2007, domiciled
   pada tanggal 19 April 2007, berdomisili di Jakarta dan                           at Jakarta and engaged in ship chartering, which has been
   bergerak di bidang persewaan kapal, yang dimiliki oleh                           owned by the Company since August 15, 2025.
   Perusahaan sejak tanggal 15 Agustus 2025.

   Per 31 Desember 2025, investasi saham pada HDS                                   As at December 31, 2025, investment in share in HDS have
   digunakan sebagai jaminan atas fasilitas pinjaman yang                           been used as collateral for the loan facility received from PT
   diterima dari PT Bank Mandiri (Persero) Tbk (lihat catatan                       Bank Mandiri (Persero) (see note 23).
   23).

   Rekonsiliasi dari ringkasan informasi keuangan yang                              Reconciliation of the summarised financial information
   disajikan terhadap nilai buku dari kepentingan Grup dalam                        presented to the carrying amount of the Group’s interest in
   investasi pada HDS adalah sebagai berikut:                                       the investment in HDS is as follows:

                                                                  2025               2024

   Harga perolehan                                                9.540.528                  -                                    Acquisition cost
   Selisih nilai wajar dengan                                                                             The difference between fair value and
    harga perolehan                                               4.868.313                                                     acquisition cost
   Bagian laba di periode berjalan *)                             1.328.784                  -                    Share of profit for the period *)
   Bagian rugi komprehensif                                                                                       Share of other comprehensive
    lainnya di periode berjalan *)                                   (81.595)                -                            loss for the period *)

      Jumlah                                                     15.656.030                  -                                           Total

   *) Merupakan periode sejak akuisisi sampai dengan 31 Desember 2025/
      Represents the period from the acquisition date up to December 31, 2025.




                                                                           51
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                     PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                       NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                              STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                    As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                      for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)              (Expressed in full US Dollar amount, unless otherwise stated)


11. INVESTASI PADA ENTITAS ASOSIASI (Lanjutan)                        11. INVESTMENT IN ASSOCIATES (Continued)

   PT Hafar Daya Samudera ("HDS") (Lanjutan)                             PT Hafar Daya Samudera ("HDS") (Continued)

   Ringkasan informasi keuangan entitas asosiasi HDS adalah              The details of financial information of HDS, associate, is as
   sebagai berikut:                                                      follows:

                                                        2025              2024

   Laporan posisi keuangan                                                                             Statement of financial position
    Jumlah aset                                        19.863.639                -                                      Total assets
    Jumlah liabilitas                                     853.232                -                                    Total liabilities
    Jumlah aset bersih/ekuitas                         19.010.407                -                          Total net assets/equity

   Laporan laba rugi                                                                                     Statement of profit or loss
    Jumlah pendapatan                                   6.670.846                -                                  Total revenue
    Rugi tahun berjalan                                  (842.035)               -                              Loss for the year
    Rugi komprehensif lain                               (226.708)               -                     Other comprehensive loss
    Rugi komprehensif tahun berjalan                   (1.068.743)               -                 Comprehensive loss for the year

   HDS merupakan perusahaan yang tidak terdaftar di bursa                HDS is an non-listed company and there is no quoted
   dan tidak terdapat harga pasar yang dikutip yang tersedia             market price available for the HDS shares.
   untuk saham HDS.

   Berdasarkan penelaahan manajemen pada akhir periode,                  Based on the management review at the end of the period,
   tidak terdapat bukti obyektif bahwa investasi pada entitas            there is no objective evidence indicating an impairment of
   asosiasi HDS mengalami penurunan nilai sehingga                       the investment in associate of HDS, hence management
   manajemen tidak melakukan penyisihan penurunan nilai.                 did not make any allowance for the impairment.

   PT Petrogas Jatim Utama Cendana ("PJUC")                              PT Petrogas Jatim Utama Cendana ("PJUC")

   Investasi pada PJUC merupakan investasi melalui entitas               Investment in PJUC represents investment through
   anak RATU dengan kepemilikan sebesar 49,00% atau                      subsidiary of RATU with ownership of 49.00% or 245
   sebanyak 245 saham. PJUC merupakan perusahaan yang                    shares. PJUC is a company that was established on March
   berdiri pada tanggal 14 Maret 2007, berdomisili di Surabaya           14, 2007, domiciled at Surabaya and engaged in oil and
   dan bergerak di bidang pertambangan minyak dan gas, yang              gas mining, which has been owned by RATU since July 9,
   dimiliki oleh RATU sejak tanggal 9 Juli 2007.                         2007.

   Rekonsiliasi dari ringkasan informasi keuangan yang                   Reconciliation of the summarised financial information
   disajikan terhadap nilai buku dari kepentingan Grup dalam             presented to the carrying amount of the Group’s interest in
   investasi pada PJUC adalah sebagai berikut:                           the investment in PJUC is as follows:

                                                        2025              2024

   Harga perolehan                                         26.414             26.414                                  Acquisition cost

   Akumulasi bagian laba komprehensif yang dapat                                         Accumulated of attributable comprehensive
    diatribusikan pada awal tahun                       8.533.418          9.818.530            profit at the beginning of the year
   Penerimaan dividen                                  (6.362.564)        (7.437.798)                             Dividend received
   Bagian laba di tahun berjalan                        5.337.530          6.154.687                      Share of profit for the year
   Bagian penghasilan/(rugi) komprehensif                                                            Share of other comprehensive
    lainnya di tahun berjalan                               2.352             (2.001)                    income/(loss) for the year
   Akumulasi bagian laba komprehensif yang dapat                                         Accumulated of attributable comprehensive
    diatribusikan pada akhir tahun                      7.510.736          8.533.418                  profit at the end of the year

      Jumlah                                            7.537.150          8.559.832                                         Total




                                                                 52
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                    PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                      NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                             STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                   As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                     for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)             (Expressed in full US Dollar amount, unless otherwise stated)


11. INVESTASI PADA ENTITAS ASOSIASI (Lanjutan)                       11. INVESTMENT IN ASSOCIATES (Continued)

   PT Petrogas Jatim Utama Cendana ("PJUC") (Lanjutan)                  PT Petrogas Jatim Utama Cendana ("PJUC") (Continued)

   Ringkasan informasi keuangan entitas asosiasi PJUC                   The details of financial information of PJUC, associate, is
   adalah sebagai berikut:                                              as follows:

                                                       2025              2024

   Laporan posisi keuangan                                                                           Statement of financial position
    Jumlah aset                                       20.203.486        22.225.163                                    Total assets
    Jumlah liabilitas                                  4.821.549         4.756.120                                  Total liabilities
    Jumlah aset bersih/ekuitas                        15.381.937        17.469.043                        Total net assets/equity

   Laporan laba rugi                                                                                   Statement of profit or loss
    Jumlah pendapatan                                 23.245.795        26.710.258                                  Total revenue
    Laba perode/tahun berjalan                        10.892.919        12.560.585                      Profit for the period/year
    Laba/(rugi) komprehensif lain                          4.799            (4.084)           Other comprehensive income/(loss)
    Laba komprehensif tahun berjalan                  10.897.718        12.556.501            Comprehensive income for the year

   PJUC merupakan perusahaan yang tidak terdaftar di bursa              PJUC is an non-listed company and there is no quoted
   dan tidak terdapat harga pasar yang dikutip yang tersedia            market price available for the PJUC shares.
   untuk saham PJUC.

   Berdasarkan penelaahan manajemen pada akhir periode,                 Based on the management review at the end of the period,
   tidak terdapat bukti obyektif bahwa investasi pada entitas           there is no objective evidence indicating an impairment of
   asosiasi PJUC mengalami penurunan nilai sehingga                     the investment in associate of PJUC, hence management
   manajemen tidak melakukan penyisihan penurunan nilai.                did not make any allowance for the impairment.

   PT Banggai Ammonia Indonesia ("BAI")                                 PT Banggai Ammonia Indonesia ("BAI")

   Pada tanggal 11 Oktober 2022, Perusahaan dan PT Gavi                 On October 11, 2022, the Company and PT Gavi Sejahtera
   Sejahtera Nusantara, pihak ketiga, mendirikan satu entitas           Nusantara, a third party, established an entity named PT
   bernama PT Banggai Ammonia Indonesia dengan                          Banggai Ammonia Indonesia with the Company's
   kepemilikan Perusahaan di BAI sebesar 40,00%. BAI                    ownership in BAI of 40.00%. BAI was established with the
   didirikan dengan tujuan berusaha dibidang eksplorasi,                purpose of doing business in the fields of exploration,
   penambangan dan produksi, perindustrian dan perdagangan              mining and production, industry and general trading. As at
   umum. Per 31 Desember 2025, BAI belum memiliki aktivitas             December 31, 2025, BAI has not engaged in any activities.
   apapun.

   BAI merupakan perusahaan yang tidak terdaftar di bursa               BAI is an non-listed company and there is no quoted market
   dan tidak terdapat harga pasar yang dikutip yang tersedia            price available for the BAI shares.
   untuk saham BAI.




                                                                53
Page 308
PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                                   PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                                     NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                            STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                                  As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                                    for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                            (Expressed in full US Dollar amount, unless otherwise stated)


12. ASET TETAP                                                                    12. FIXED ASSETS

   Rincian mutasi aset tetap Grup adalah sebagai berikut:                              The details of movement of the Group's fixed assets are as
                                                                                       follows:

                                                                            2025
                                                                                                    Selisih kurs
                                                                                                     translasi/
                                Saldo awal/                                                           Foreign      Saldo akhir/
                                Beginning       Penambahan/ Pengurangan/          Reklasifikasi/     exchange        Ending
                                 balance          Additions  Deductions          Reclassification   translation     balance

   Biaya perolehan                                                                                                                                Acquisition cost
     Tanah                       10.823.881        2.684.321            -                   -              -         13.508.202                           Lands
     Bangunan dan prasarana      11.503.431          387.724            -             2.245.053       (100.974)      14.035.234    Buildings and infrastructures
     Jaringan pipa dan tabung                                                                                                                  Pipeline and gas
      gas                       116.079.305        1.313.716            -               611.950             -      118.004.971                        cylinder
     Jaringan pipa kerja sama                                                                                                                      Pipeline joint
      operasi                    84.229.362       11.477.487            -             7.909.403            -       103.616.252                      operations
     Kompresor gas               16.327.838              -              -            23.639.738            -        39.967.576                 Gas compressor
     Fasilitas LPG                3.101.855            5.813            -                   -              -         3.107.668                     LPG facilities
     Mesin dan peralatan         12.017.081        1.006.548       (101.895)            398.928       (122.002)     13.198.660     Machineries and equipments
     Peralatan kantor             2.283.510          278.709        (16.525)                -            1.592       2.547.286               Office equipments
     Kendaraan                    5.756.495        1.245.627       (321.390)                -           (5.310)      6.675.422                          Vehicles
     Aset dalam penyelesaian     10.330.648       29.060.841       (261.065)        (34.805.072)           -         4.325.352          Asset under completion

                                272.453.406       47.460.786       (700.875)                 -        (226.694)    318.986.623

   Akumulasi penyusutan                                                                                                                Accumulated depreciation
    Bangunan dan prasarana        (3.011.827)       (694.072)           -                    -          64.174       (3.641.725)   Buildings and infrastructures
    Jaringan pipa dan tabung                                                                                                                   Pipeline and gas
      gas                        (69.309.797)     (4.956.259)           -                    -              -       (74.266.056)                      cylinder
    Jaringan pipa kerja sama                                                                                                                       Pipeline joint
      operasi                     (9.350.962)     (5.679.400)          -                     -             -        (15.030.362)                    operations
    Kompresor gas                (13.179.946)     (1.154.535)          -                     -             -        (14.334.481)               Gas compressor
    Fasilitas LPG                 (2.275.311)       (744.565)          -                     -             -         (3.019.876)                   LPG facilities
    Mesin dan peralatan           (3.382.350)     (1.017.419)      101.895                 5.935        66.612       (4.225.327)   Machineries and equipments
    Peralatan kantor              (1.794.875)       (208.906)       16.325                (5.935)        1.240       (1.992.151)             Office equipments
    Kendaraan                     (2.113.879)     (1.024.088)      187.032                   -           4.385       (2.946.550)                        Vehicles

                                (104.418.947)    (15.479.244)      305.252                   -         136.411     (119.456.528)

   Penurunan nilai                                                                                                                                 Impairment
    Mesin dan peralatan             (129.512)            -          36.452                   -              -           (93.060) Machineries and equipments

                                (104.548.459)    (15.479.244)      341.704                   -         136.411     (119.549.588)

        Nilai Buku              167.904.947                                                                        199.437.035                   Book value

                                                                            2024
                                                                                                    Selisih kurs
                                                                                                     translasi/
                                Saldo awal/                                                           Foreign      Saldo akhir/
                                Beginning       Penambahan/     Pengurangan/  Reklasifikasi/         exchange        Ending
                                 balance          Additions      Deductions  Reclassification       translation     balance
   Biaya perolehan                                                                                                                                Acquisition cost
     Tanah                       10.997.795             -               -               (173.914)           -        10.823.881                           Lands
     Bangunan dan prasarana      10.460.208         869.309             -                173.914            -        11.503.431    Buildings and infrastructures
     Jaringan pipa dan tabung                                                                                                                  Pipeline and gas
      gas                       113.683.144        1.492.066            -               904.095             -      116.079.305                        cylinder
     Jaringan pipa kerja sama                                                                                                                      Pipeline joint
      operasi                    84.229.362              -              -                    -             -         84.229.362                     operations
     Kompresor gas               16.327.838              -              -                    -             -         16.327.838                Gas compressor
     Fasilitas LPG                2.998.305          103.550            -                    -             -          3.101.855                    LPG facilities
     Mesin dan peralatan         11.228.996          790.434         (2.508)              96.149       (95.990)      12.017.081    Machineries and equipments
     Peralatan kantor             2.143.880          154.867        (13.893)                 -          (1.344)       2.283.510              Office equipments
     Kendaraan                    4.607.687        1.255.332       (100.160)                 -          (6.364)       5.756.495                         Vehicles
     Aset dalam penyelesaian      4.166.676        7.164.216            -             (1.000.244)          -         10.330.648         Asset under completion

                                260.843.891       11.829.774       (116.561)                 -        (103.698)    272.453.406




                                                                            54
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                                     PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                                       NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                              STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                                    As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                                      for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                              (Expressed in full US Dollar amount, unless otherwise stated)


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

   Rincian mutasi aset tetap Grup adalah sebagai berikut                                    The details of movement of the Group's fixed assets are as
   (Lanjutan):                                                                              follows (Continued):

                                                                                2024
                                                                                                       Selisih kurs
                                                                                                        translasi/
                                  Saldo awal/                                                            Foreign      Saldo akhir/
                                  Beginning         Penambahan/     Pengurangan/  Reklasifikasi/        exchange        Ending
                                   balance            Additions      Deductions  Reclassification      translation     balance
   Akumulasi penyusutan                                                                                                                      Accumulated depreciation
    Bangunan dan prasarana          (2.358.421)        (653.406)            -                   -              -          (3.011.827)    Buildings and infrastructures
    Jaringan pipa dan tabung                                                                                                                         Pipeline and gas
      gas                          (63.396.624)       (5.913.173)           -                   -              -         (69.309.797)                       cylinder
    Jaringan pipa kerja sama                                                                                                                             Pipeline joint
      operasi                       (4.838.040)       (4.512.922)          -                    -             -           (9.350.962)                     operations
    Kompresor gas                  (12.148.535)       (1.031.411)          -                    -             -          (13.179.946)                Gas compressor
    Fasilitas LPG                   (1.523.796)         (751.515)          -                    -             -           (2.275.311)                    LPG facilities
    Mesin dan peralatan             (2.478.983)         (961.182)          479                  -          57.336         (3.382.350)    Machineries and equipments
    Peralatan kantor                (1.627.612)         (179.389)       11.077                  -           1.049         (1.794.875)              Office equipments
    Kendaraan                       (1.408.155)         (746.340)       35.588                  -           5.028         (2.113.879)                         Vehicles

                                   (89.780.166)      (14.749.338)       47.144                  -          63.413     (104.418.947)
   Penurunan nilai                                                                                                                                      Impairment
    Mesin dan peralatan               (129.005)               -             -                   -             (507)         (129.512) Machineries and equipments

                                   (89.909.171)      (14.749.338)       47.144                  -          62.906     (104.548.459)

       Nilai Buku                 170.934.720                                                                            167.904.947                   Book value


   Beban penyusutan aset tetap dialokasikan pada:                                           Depreciation expenses of fixed assets are allocated to:

                                                                     2025                    2024
    Beban pokok pendapatan                                                                                                                Cost of revenue
     (lihat catatan 33)                                             14.252.427               13.678.954                                    (lsee note 33)
    Beban umum dan administrasi                                                                                                 General and administrative
     (lihat catatan 34)                                                 838.604                 799.383                           expenses (see note 34)
    Beban lain-lain (lihat catatan 36)                                  388.213                 271.001                       Other expenses (see note 36)

      Jumlah                                                        15.479.244               14.749.338                                                  Total

   Rincian aset dalam penyelesaian adalah sebagai berikut:                                  The details of construction in progress are as follows:

                                                 Persentase               Akumulasi                  Estimasi waktu
                                                penyelesaian/               biaya/                    penyelesaian/
                                                Percentage of            Accumulated                 Estimated date
   Jenis aset                                    completion                 costs                     of completion                                   Type of assets

   2025                                                                                                                                                        2025
    Tanah dan bangunan                            70% - 80%                       865.210           Akhir/End of 2026                            Land and buildings
    Jaringan dan instalasi pipa                   85% - 95%                       567.524           Awal/Early of 2026                    Pipeline and installation
    Fasilitas dan infrastruktur                   25% - 35%                     2.672.477           Akhir/End of 2026                   Facility and infrastructures
    Mesin dan peralatan                           80% - 90%                       220.141           Awal/Early of 2026                 Machineries and equipment

       Jumlah                                                                   4.325.352                                                                   Total

   2024                                                                                                                                                        2024
    Bangunan                                      45% - 55%                       559.031           Akhir/End of 2025                                      Buildings
    Jaringan dan instalasi pipa                   15% - 25%                     6.154.267           Akhir/End of 2026                     Pipeline and installation
    Fasilitas dan infrastruktur                   25% - 35%                       102.557           Awal/Early of 2025                  Facility and infrastructures
    Mesin dan peralatan                           15% - 25%                     3.514.793           Akhir/End of 2025                  Machineries and equipment

       Jumlah                                                               10.330.648                                                                      Total




                                                                                55
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                     PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                       NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                              STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                    As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                      for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)              (Expressed in full US Dollar amount, unless otherwise stated)


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

   Perusahaan dan PT Pertamina Gas ("Pertagas")                          The Company and PT Pertamina Gas ("Pertagas") entered
   mengadakan perjanjian Kerja Sama Operasi ("KSO") melalui              into a KSO agreement through a non-administrative KSO
   skema KSO non-administrasi dalam pembangunan,                         scheme in construction, operation and maintenance of
   pengoperasian dan pemeliharaan bersama pada Proyek                    Rokan Pipeline Project located in Rokan-Riau (see note
   Pipa Rokan yang berlokasi di Rokan-Riau (lihat catatan 1d).           1d).

   Kapitalisasi biaya pinjaman terkait Proyek Pipa Rokan                 Capitalization of borrowing costs related to Rokan Pipeline
   sebesar AS$7.879.050 dan biaya yang dapat diatribusikan               Project are amounting to US$7,879,050 and other
   lainnya sebesar AS$2.342.892.                                         attributable costs amounting to US$2,342,892.

   Kapitalisasi biaya yang berasal dari pencadangan liabilitas           Capitalization of provision for assets dismantling obligation
   pembongkaran aset terkait Proyek Pipa Rokan selama                    related to Rokan Pipeline Project during the year 2025 are
   tahun 2025 adalah sebesar AS$12.562.427.                              amounting to US$12,562,427.

   Pelepasan aset tetap untuk tahun-tahun yang berakhir pada             Disposals of fixed assets for the years ended December 31,
   tanggal 31 Desember 2025 dan 2024 adalah sebagai                      2025 and 2024 were as follows:
   berikut:

                                                        2025              2024

   Biaya perolehan                                        700.875           116.561                                Acquisition cost
   Akumulasi penyusutan                                  (305.252)          (47.144)                       Accumulated depreciation

   Nilai buku aset tetap yang dilepas                     395.623             69.417          Book value of disposed of fixed assets

   Kas yang diterima dari pelepasan aset tetap            416.727             69.802         Proceeds from disposals of fixed assets

   Laba atas pelepasan aset tetap                                                                   Gain on disposals of fixed assets
    (lihat catatan 35)                                     21.104                385                                  (see note 35)

   Per 31 Desember 2025 dan 2024, aset tetap tertentu telah              As at December 31, 2025 and 2024, certain fixed assets
   digunakan sebagai jaminan secara fidusia atas fasilitas               have been used as fiduciary collateral for the loan facility
   pinjaman yang diterima dari PT Bank Mandiri (Persero) Tbk             received from PT Bank Mandiri (Persero) (see note 23).
   (lihat catatan 23). Beberapa unit kendaraan dijadikan                 Certain unit vehicles are pledged as security for consumer
   jaminan atas fasilitas pinjaman pembiayaan konsumen (lihat            financing loans (see note 24).
   catatan 24).

   Per 31 Desember 2025 dan 2024, semua aset tetap kecuali               As at December 31, 2025 and 2024, all of fixed assets
   tanah telah diasuransikan semua jenis resiko dan gempa                except land were insured against losses from earthquake
   bumi dengan nilai seluruh pertanggungan sebesar masing-               and property all risks with total sum insured amounting to
   masing AS$103.618.637 dan AS$76.603.438. Manajemen                    US$103,618,637       and     US$76,603,438,    respetively.
   berpendapat bahwa nilai pertanggungan tersebut cukup                  Management believes that the insurance coverage is
   untuk menutup kemungkinan kerugian atas aset tetap yang               adequate to cover possible losses on the fixed assets
   dipertanggungkan.                                                     insured.

   Grup menilai dan melakukan pengujian penurunan nilai atas             The Group assessed and performed impairment testing for
   aset tetap sebagai bagian dari pengujian penurunan nilai              property and equipment as part of impairment testing for
   untuk aset non-keuangan. Manajemen berkeyakinan bahwa                 non-financial assets. Management believes that the
   cadangan kerugian penurunan nilai dinilai cukup untuk                 provision for impairment losses is adequate to cover any
   menutupi adanya kerugian penurunan nilai buku aset tetap              losses from the impairment of the carrying amounts of fixed
   pada tanggal 31 Desember 2025 dan 2024.                               assets as at December 31, 2025 and 2024.




                                                                 56
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                          PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                            NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                   STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                         As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                           for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                   (Expressed in full US Dollar amount, unless otherwise stated)


13. SEWA                                                                 13. LEASES

   a. Aset hak guna                                                          a. Right of use assets

      Rincian aset hak guna adalah sebagai berikut:                               The details of right of use assets are as follows:

                                                                                     Penyesuaian
                                                                                      dan selisih
                                                                                     kurs translasi/
                                                                                      Adjustment
                              Saldo awal/                                             and foreign      Saldo akhir/
                              Beginning       Penambahan/      Pengurangan/            exchange          Ending
                               balance          Additions       Deductions            translation       balance

      2025                                                                                                                                2025
       Biaya perolehan                                                                                                          Acquisition cost
        Tanah                   4.843.216        2.192.037          (183.077)                   -        6.852.176                      Lands
        Bangunan                  149.983           92.069               -                     (856)       241.196                  Buildings
        Peralatan               1.383.314          445.950               -                  (41.069)     1.788.195                Equipments

                                6.376.513        2.730.056          (183.077)               (41.925)     8.881.567

       Akumulasi penyusutan                                                                                            Accumulated depreciation
        Tanah                   (3.059.115)      (1.074.993)            183.077                  -       (3.951.031)                   Lands
        Bangunan                   (30.247)         (81.458)                -                    801       (110.904)                Buildings
        Peralatan                 (456.974)        (767.419)                -                 17.389     (1.207.004)              Equipments

                                (3.546.336)      (1.923.870)            183.077               18.190     (5.268.939)

        Nilai buku              2.830.177                                                                3.612.628                  Book value

      2024                                                                                                                                2024
       Biaya perolehan                                                                                                          Acquisition cost
        Tanah                   3.664.126        2.029.949          (762.667)               (88.192)     4.843.216                      Lands
        Bangunan                  127.194          142.406          (118.509)                (1.108)       149.983                  Buildings
        Peralatan                 271.706        1.111.608               -                      -        1.383.314                Equipments

                                4.063.026        3.283.963          (881.176)               (89.300)     6.376.513

       Akumulasi penyusutan                                                                                            Accumulated depreciation
        Tanah                   (2.848.476)       (973.306)             762.667                  -       (3.059.115)                   Lands
        Bangunan                   (97.468)        (51.904)             118.509                  616        (30.247)                Buildings
        Peralatan                 (270.116)       (189.839)                 -                  2.981       (456.974)              Equipments

                                (3.216.060)      (1.215.049)            881.176                3.597     (3.546.336)

        Nilai buku                846.966                                                                2.830.177                  Book value

      Beban penyusutan aset hak guna dialokasikan pada:                           Depreciation expenses of right of use assets are
                                                                                  allocated to:

                                                       2025                   2024

      Beban pokok pendapatan                                                                                               Cost of revenue
       (lihat catatan 33)                               1.923.870                 1.214.798                                 (see note 33)
      Beban umum dan administrasi                                                                                General and administrative
       (lihat catatan 34)                                      -                        251                       expenses (see note 34)

       Jumlah                                           1.923.870                 1.215.049                                             Total




                                                                   57
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                  PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                    NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                           STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                 As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                   for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)           (Expressed in full US Dollar amount, unless otherwise stated)


13. SEWA (Lanjutan)                                                13. LEASES (Continued)

   b. Liabilitas sewa                                                 b. Lease liabilities

                                                     2025              2024

      Pihak ketiga                                                                                                     Third parties
       PT Bekasi Fajar Industrial Estate Tbk           550.797             85.441            PT Bekasi Fajar Industrial Estate Tbk
       PT Schlumberger Geophysics                      406.918            674.660                  PT Schlumberger Geophysics
       PT Pilar Daya Sinergi                           118.995                -                             PT Pilar Daya Sinergi
       PT Kereta Api Indonesia (Persero)                45.499             92.560              PT Kereta Api Indonesia (Persero)
       Lain-lain                                        91.679             62.819                                           Others

          Jumlah                                     1.213.888            915.480                                            Total

      Rincian pembayaran sewa berdasarkan perjanjian sewa             The detail of lease liabilities based on the lease agreements
      adalah sebagai berikut:                                         are as follows:

                                                     2025              2024

      Jatuh tempo dalam:                                                                                              Mature within:
       1 (satu) tahun                                  564.261            604.971                                      1 (one) year
       2 (dua) tahun                                   115.575            360.173                                      2 (two) year
       Lebih dari 2 (dua) tahun                        763.574                -                              More than 2 (two) year

       Pembayaran sewa masa datang                   1.443.410            965.144                            Future lease payment

      Dikurangi beban keuangan masa datang            (229.522)           (49.664)                 Deducted by future finance costs

      Jumlah nilai kini liabilitas sewa              1.213.888            915.480              Total present value of lease liabilities

      Bagian jangka pendek                             611.455            562.471                                     Current portion

      Bagian jangka panjang                            602.433            353.009                                 Non-current portion

   Laporan laba rugi konsolidasian menyajikan saldo berikut           The consolidated statements of profit or loss show the
   berkaitan dengan sewa:                                             following amounts related to leases:

                                                     2025              2024

   Beban terkait sewa jangka pendek,                                                         Expenses relating to short-term leases,
    aset bernilai rendah dan sewa variable                                                    low-value assets and variable leases
    (lihat catatan 33 dan 34)                        2.496.674           2.412.911                           (see note 33 and 34)

   Jumlah yang terkait dengan sewa jangka pendek, sewa atas           Amounts related to short-term leases, leases of low-value
   aset bernilai rendah, dan sewa variabel tidak dimasukkan           assets and variable leases are not required to be included
   sebagai liabilitas sewa berdasarkan sifatnya sebagaimana           as lease liabilities based on their nature as discussed in
   dibahas pada catatan 2l.                                           note 2l.

   Grup menandatangani beberapa perjanjian sewa yang                  The Group entered into several lease agreements which
   sebagian besar berkaitan dengan sewa tanah, bangunan               are mainly related to rental of land, buildings dan
   dan peralatan. Perjanjian sewa biasanya memiliki periode           equipments. Rental agreements are typically made for fixed
   tetap dari 1 (satu) sampai dengan 5 (lima) tahun, tetapi           periods of 1 (one) to 5 (five) years but may have extension
   dapat memiliki opsi perpanjangan seperti yang dijelaskan           options as described in notes 2l and 3. Lease terms are
   pada catatan 2l dan 3. Ketentuan sewa dinegosiasikan               negotiated on an individual basis and contain a wide range
   secara individu dan mengandung syarat dan ketentuan yang           of different terms and conditions. The lease agreements do
   berbeda. Perjanjian sewa tidak memberikan persyaratan              not impose any covenants, but leased assets may not be
   apapun, tetapi aset yang disewakan tidak dapat digunakan           used as security for borrowing purposes.
   sebagai jaminan atas pinjaman.




                                                              58
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                      PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                        NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                               STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                     As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                       for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)               (Expressed in full US Dollar amount, unless otherwise stated)


14. ASET TAKBERWUJUD                                                 14. INTANGIBLE ASSETS

   Rincian mutasi aset tak berwujud milik Grup adalah sebagai              The details of movement of the Group's intangible assets
   berikut:                                                                are as follows:

                                                                 2025
                                                                                Penyesuaian
                                                                                 dan selisih
                                                                                kurs translasi/
                                                                                 Adjustment
                             Saldo awal/                                         and foreign      Saldo akhir/
                             Beginning      Penambahan/      Pengurangan/         exchange          Ending
                              balance         Additions       Deductions         translation       balance

   Biaya perolehan                                                                                                        Acquisition cost
    Perangkat lunak             809.740           61.076               -            (155.066)        715.750                   Software
    Hak konsesi               1.131.315              -                 -                 -         1.131.315           Concession rights

                              1.941.055           61.076               -            (155.066)      1.847.065

   Akumulasi amortisasi                                                                                                    Accumulated
    amortisasi                                                                                                             amortization
     Perangkat lunak            (683.513)        (141.958)             -               27.950        (797.521)              Software
     Hak konsesi                (186.950)          (3.458)             -                  794        (189.614)       Concession rights

                                (870.463)        (145.416)             -               28.744        (987.135)

      Nilai buku              1.070.592                                                              859.930                Book value

                                                                2024
                                  Saldo awal/                                             Saldo akhir/
                                  Beginning       Penambahan/        Pengurangan/           Ending
                                   balance          Additions         Deductions           balance

   Biaya perolehan                                                                                                        Acquisition cost
    Perangkat lunak                   753.779           55.961                  -             809.740                          Software
    Hak konsesi                     1.131.315              -                    -           1.131.315                  Concession rights

                                    1.885.094           55.961                  -           1.941.055

   Akumulasi amortisasi                                                                                          Accumulated amortization
    Perangkat lunak                  (573.062)        (110.451)                 -            (683.513)                        Software
    Hak konsesi                      (144.025)         (42.925)                 -            (186.950)                Concession rights

                                     (717.087)        (153.376)                 -            (870.463)

      Nilai buku                    1.168.007                                               1.070.592                       Book value

   BDP, entitas anak dan PT Perdana Multiguna Sarana                       BDP, a subsidiary, and PT Perdana Multiguna Sarana
   Bandung Barat ("PMgS"), pihak ketiga, mengadakan                        Bandung Barat ("PMgS"), a third party, entered into a water
   perjanjian kerja sama proyek penyaluran air guna memenuhi               distribution project cooperation agreement to meet the
   kebutuhan pengadaan air bersih (lihat catatan 41) dengan                needs of clean water supply (see note 41) with an
   nilai investasi dalam bentuk aset hak konsesi sebesar                   investment value in the form of concession rights
   Rp12.302.543.062 atau setara dengan AS$869.684 yang                     amounting to Rp12,302,543,062 or equivalent to
   diamortisasi selama 20 tahun.                                           US$869,684 and amortized over 20 years.

   Berdasarkan Perjanjian Pengalihan Hak dan Kewajiban                     Based on the Agreement on the Transfer of Rights and
   tanggal 24 Oktober 2022 PMgS mengalihkan seluruh hak                    Obligations dated October 24, 2022, PMgS transferred all
   dan kewajiban kepada Perumda Air Minum Tirta Wibawa                     rights and obligations to the Perumda Air Minum Tirta
   Mukti ("PDAM-TW") (lihat catatan 41).                                   Wibawa Mukti ("PDAM-TW") (see note 41).




                                                                59
Page 314
PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                              PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                                NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                       STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                             As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                               for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                       (Expressed in full US Dollar amount, unless otherwise stated)


14. ASET TAKBERWUJUD (Lanjutan)                                            14. INTANGIBLE ASSETS (Continued)

   Pada tanggal 28 Desember 2022, BDP dan PDAM-TW,                                 On December 28, 2022, BDP and PDAM-TW, third parties,
   pihak    ketiga,    mengadakan         kesepakatan   untuk                      entered into an agreement to restructure trade receivables
   merestrukturisasi piutang usaha senilai Rp4.096.887.910                         amounted of Rp4,096,887,910 equivalent to US$261,631
   setara dengan AS$261.631 yang di konversi menjadi aset                          which was converted into concession rights assets and
   hak konsesi dan merubah masa amortisasi aset hak konsesi                        changed the amortization period for concession rights
   yang sebelumnya jangka waktu 20 tahun menjadi selama 25                         assets from the previous term 20 years to 25 years which
   tahun yang akan jatuh tempo pada tanggal 20 Februari                            will due date on February 20, 2046, following the
   2046, mengikuti perjanjian restrukturisasi tersebut.                            restructuring agreement.

15. PROPERTI MINYAK DAN GAS - BERSIH                                       15. OIL AND GAS PROPERTIES - NET

   Rincian mutasi properti minyak dan gas milik Grup adalah                        The details of movement of the Group's oil and gas
   sebagai berikut:                                                                properties are as follows:

                                                                     2025
                                 Saldo awal/                                                           Saldo akhir/
                                 Beginning      Penambahan/      Reklasifikasi/       Penyesuaian/       Ending
                                  balance         Addition      Reclassification       Adjustment       balance

   2025                                                                                                                                        2025
    Blok Jabung                                                                                                                       Jabung block
     Biaya perolehan                                                                                                               Acquisition cost
       Participating interest     26.500.000             -                 -                   -        26.500.000         Participating interest
       Peralatan konstruksi            9.963             -             113.212              62.990         186.165      Construction equipment
       Fasilitas produksi             75.662             -             498.138             150.989         724.789          Production facilities
       Peralatan pengeboran                                                                                              Drilling and production
         dan produksi                667.344            -              116.443             (249.709)       534.078                         tools
       Aset dalam penyelesaian       486.219        330.065           (727.793)              35.730        124.221     Assets under completion

                                  27.739.188        330.065                 -                   -       28.069.253

      Akumulasi deplesi                                                                                                  Accumulated depletion
       Participating interest     (5.665.156)     (2.828.660)               -                   -        (8.493.816)      Participating interest
       Peralatan konstruksi           (1.331)         (9.407)               -                   -           (10.738)   Construction equipment
       Fasilitas produksi             (3.452)       (181.635)               -                   -          (185.087)       Production facilities
       Peralatan pengeboran                                                                                             Drilling and production
        dan produksi                (360.299)        (44.575)               -                   -          (404.874)                      tools

                                  (6.030.238)     (3.064.277)               -                   -        (9.094.515)

      Nilai buku                  21.708.950                                                            18.974.738                   Book value

   2024                                                                                                                                        2024
    Blok Jabung                                                                                                                       Jabung block
     Biaya perolehan                                                                                                               Acquisition cost
       Participating interest     26.500.000            -                   -                   -       26.500.000         Participating interest
       Peralatan konstruksi              -            9.963                 -                   -            9.963      Construction equipment
       Fasilitas produksi                -           75.662                 -                   -           75.662          Production facilities
       Peralatan pengeboran                                                                                              Drilling and production
         dan produksi                     -         667.344                 -                   -          667.344                         tools
       Aset dalam penyelesaian            -         486.219                 -                   -          486.219     Assets under completion

                                  26.500.000       1.239.188                -                   -       27.739.188

      Akumulasi deplesi                                                                                                  Accumulated depletion
       Participating interest     (2.665.181)     (2.999.975)               -                   -        (5.665.156)      Participating interest
       Peralatan konstruksi              -            (1.331)               -                   -            (1.331)   Construction equipment
       Fasilitas produksi                -            (3.452)               -                   -            (3.452)       Production facilities
       Peralatan pengeboran                                                                                             Drilling and production
        dan produksi                      -         (360.299)               -                   -          (360.299)                      tools

                                  (2.665.181)     (3.365.057)               -                   -        (6.030.238)

      Nilai buku                  23.834.819                                                            21.708.950                   Book value




                                                                     60
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                     PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                       NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                              STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                    As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                      for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)              (Expressed in full US Dollar amount, unless otherwise stated)


15. PROPERTI MINYAK DAN GAS (Lanjutan)                                15. OIL AND GAS PROPERTIES (Continued)

   Beban deplesi properti minyak dan gas dialokasikan pada               Depletion expenses of oil and gas properties are allocated
   beban pokok pendapatan (lihat catatan 33).                            to cost of revenue (see note 33).

   Properti minyak dan gas mencerminkan participating                    Oil and gas properties reflect the Group's participating
   interest Grup dalam properti minyak dan gas bumi.                     interest in oil and gas properties.

   Berdasarkan    penelaahan      manajemen      pada  akhir             Based on management's evaluation at the end of the
   periode/tahun, tidak terdapat peristiwa atau perubahan                period/year, no events or changes in circumstances
   keadaan yang mengindikasikan penurunan nilai properti                 indicate that impairment of oil and gas properties, hence the
   minyak dan gas sehingga manajemen tidak melakukan                     management did not make an allowance for impairment of
   penyisihan penurunan nilai properti minyak dan gas.                   oil and gas properties.

16. ASET LANCAR DAN TIDAK LANCAR LAIN-LAIN                            16. OTHER CURRENT AND NON-CURRENT ASSETS

   a. Aset lancar lain-lain                                              a. Other current assets

                                                        2025              2024

      Lain-lain                                           103.969                -                                          Others

   b. Aset tidak lancar lain-lain                                        b. Other non-current assets

                                                        2025              2024

      Aset program                                                                                                  Plan assets
       Direksi dan komisaris (lihat catatan 27)             1.281              1.269 Directors and commissioners (see note 27)
       Karyawan (lihat catatan 26)                            -               83.109                  Employees (see note 26)

        Jumlah aset program                                 1.281             84.378                            Total plan assets

      Deposito dan kas di bank                                                                              Restricted deposits and
       yang dibatasi penggunaannya                     13.928.763          6.017.963                                 cash in banks
      Refundable deposit                               12.500.000                -                             Refundable deposit
      Uang muka pembelian aset tetap                    2.675.450             76.165               Advance payment for fixed assets
      Deposit jaminan                                     129.418            236.464                              Security deposits
      Aset pengampunan pajak - bersih                       4.216              5.107                      Tax amnesty assets - net

        Jumlah                                         29.239.128          6.420.077                                        Total

   Refundable deposit                                                    Refundable deposit

   Berdasarkan Perjanjian Jual Beli Saham antara REM dan                 Based on Share Sale and Purchase Agreement between
   SMS Offshore Overseas Limited pada tanggal 25 Desember                REM and SMS Offshore Overseas Limited dated December
   2025, Grup melalui REM menandatangani perjanjian jual beli            25, 2025, the Group through REM, entered into a share
   saham untuk mengakuisisi 100% saham SMS Development                   purchase agreement to acquire 100% of the shares of SMS
   Limited, yang memiliki 20% kepemilikan saham pada Husky               Development Limited, which holds a 20% equity interest in
   CNOOC Madura Limited (HCML). HCML memiliki 100%                       Husky CNOOC Madura Limited (HCML). HCML holds a
   participating interest dalam Madura Strait Production                 100% participating interest in the Madura Strait Production
   Sharing Contract . Harga perolehan yang disepakati sebesar            Sharing Contract. The agreed purchase consideration
   AS$62.510.594, termasuk pajak pengalihan. Sehubungan                  amounts to US$62,510,594, inclusive of transfer tax. In
   dengan transaksi tersebut, Grup telah membayarkan                     connection with the transaction, the Group has paid a
   refundable deposit sebesar AS$12.500.000 pada tanggal 29              refundable deposit of US$12,500,000 on December 29,
   Desember 2025, yang akan diperhitungkan sebagai                       2025, which will be applied against the purchase
   pengurang harga perolehan pada saat penyelesaian                      consideration upon completion. The agreement also
   transaksi. Perjanjian tersebut juga mengatur adanya imbalan           provides for contingent payment from REM to SMS
   bersyarat (contingent payment) yang akan dibayarkan REM               Offshore Overseas Limited upon the successful extension
   kepada SMS Offshore Overseas Limited apabila diperoleh                of the Madura Strait Production Sharing Contract, with a
   perpanjangan Madura Strait Production Sharing Contract ,              maximum amount of US$19,500,000
   dengan jumlah maksimum sebesar AS$19.500.000.




                                                                 61
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                   PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                     NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                            STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                  As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                    for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)            (Expressed in full US Dollar amount, unless otherwise stated)


16. ASET LANCAR        DAN      TIDAK   LANCAR   LAIN-LAIN          16. OTHER CURRENT         AND    NON-CURRENT         ASSETS
    (Lanjutan)                                                          (Continued)

   Deposito dan kas di bank yang dibatasi penggunaannya                Restricted deposits and cash in banks

   Pada tanggal 31 Desember 2025, kas di bank yang dibatasi            As at December 31, 2025, restricted cash in bank represent
   penggunaannya merupakan rekening bank Perusahaan                    the Company's bank account at PT Bank Mandiri (Persero)
   pada PT Bank Mandiri (Persero) Tbk sebesar                          Tbk amounting to US$13,928,763 (2024: US$6,017,963)
   AS$13.928.763 (2024: AS$6.017.963) yang digunakan                   which is used as collateral for loans received by the
   sebagai jaminan atas pinjaman yang diterima Perusahaan              Company and ATP from PT Bank Mandiri (Persero) Tbk
   dan ATP dari PT Bank Mandiri (Persero) Tbk (lihat catatan           (see note 23).
   23).

17. PERPAJAKAN                                                      17. TAXATION

   a. Pajak dibayar di muka                                            a. Prepaid taxes

                                                      2025              2024

      Bagian lancar                                                                                               Current portion
       Perusahaan                                                                                                 The Company
        Pajak pertambahan nilai - bersih                      -           158.913                         Value added tax - net
        Pajak penghasilan pasal 21                         15.059          30.789                         Income tax article 21
       Entitas anak                                                                                                Subsidiaries
        Pajak pertambahan nilai - bersih              2.798.493         2.469.559                         Value added tax - net
        Pajak penghasilan pasal 21                       68.403            65.590                         Income tax article 21

         Jumlah bagian lancar                         2.881.955         2.724.851                         Total current portion

      Bagian tidak lancar                                                                                     Non-current portion
       Taksiran klaim pengembalian pajak                                                           Estimated claim for tax refund
        Perusahaan                                                                                                Subsidiaries
         Tahun fiskal 2025                                258.614              -                             Fiscal year 2025
        Entitas anak                                                                                              Subsidiaries
         Tahun fiskal 2025                                651.489             -                              Fiscal year 2025
         Tahun fiskal 2024                                 40.866          66.815                            Fiscal year 2024
         Tahun fiskal 2023                                    -            47.800                            Fiscal year 2023

         Jumlah bagian tidak lancar                       950.969         114.615                    Total non current portion

         Jumlah pajak dibayar di muka                 3.832.924         2.839.466                          Total prepaid taxes

   b. Utang pajak                                                      b. Taxes payable

                                                      2025              2024

      Perusahaan                                                                                                    The Company
       Pajak pertambahan nilai - bersih                   131.332             -                            Value added tax - net
       Pajak penghasilan pasal 4(2)/23/25/26               71.380          62.414                Income tax article 4(2)/23/25/26
       Pajak penghasilan pasal 29                             -           750.817                          Income tax article 29
      Entitas anak                                                                                                    Subsidiaries
       Pajak pertambahan nilai - bersih                 126.072           142.337                          Value added tax - net
       Pajak penghasilan pasal 21                        13.001             6.995                          Income tax article 21
       Pajak penghasilan pasal 4(2)/23/25/26            193.761           202.106                Income tax article 4(2)/23/25/26
       Pajak penghasilan pasal 29                     4.136.912         3.693.853                          Income tax article 29
       Surat ketetapan dan tagihan pajak                    -               5.687                  Tax assessment and collection

         Jumlah                                       4.672.458         4.864.209                                          Total




                                                               62
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                  PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                    NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                           STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                 As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                   for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)           (Expressed in full US Dollar amount, unless otherwise stated)


17. PERPAJAKAN (Lanjutan)                                          17. TAXATION (Continued)

   c. Pajak penghasilan badan                                         c. Corporate income tax

      Rekonsiliasi antara laba sebelum beban pajak, seperti              The reconciliation between profit before tax, as shown in
      yang tercantum dalam laba rugi dan estimasi laba kena              profit or loss and estimated taxable income is as follows:
      pajak adalah sebagai berikut:

                                                     2025              2024

      Laba sebelum pajak penghasilan                                                                    Consolidated profit before
       konsolidasian                                49.543.196        44.218.925                                     income tax

      Ditambah/(dikurangi):                                                                                 Added/(deducted) by:
       Laba sebelum pajak penghasilan                                                                   Profit before income tax
         entitas anak - bersih                     (40.635.220)       (39.063.459)                         of subsidiaries - net
       Eliminasi konsolidasian                      12.261.423         19.100.757                   Elimination for consolidation
      Laba sebelum pajak penghasilan -                                                                  Profit before income tax -
       Perusahaan                                   21.169.399        24.256.223                                   The Company

      Penyesuaian fiskal                                                                                       Fiscal adjustments
       Beda tetap                                                                                        Permanent differences
        Penyisihan estimasi kerugian                                                              Provision for expected credit
         kredit piutang                              5.491.559            449.228                       losses of receivables
        Sumbangan dan jamuan                           236.363            448.255                  Donation and entertainment
        Beban pajak                                     48.080             16.766                                 Tax expenses
        Pendapatan bunga                              (474.616)           (23.330)                              Interest income
        Pendapatan dividen dan biaya terkait        (8.577.838)       (16.916.797)      Dividends income and related expense
        Laba atas investasi jangka pendek           (1.706.532)               -                 Gain on short-term investment
        Bagian laba entitas asosiasi               (14.410.043)               -                    Share of profit of associates
        Lain-lain                                       61.568             21.636                                         Others
        Penyesuaian terkait perbedaan                                                          Adjustments related to reporting
         mata uang pelaporan pajak                     144.990         (2.616.572)            currency differences in taxation

         Jumlah beda tetap                         (19.186.469)       (18.620.814)                Total permanent differences

       Beda waktu                                                                                         Temporary differences
        Imbalan pasca-kerja karyawan                    19.271             14.860                    Post-employment benefits
        Penyisihan pensiun direksi                                                                   Provision for retirement of
         dan komisaris                                   9.714            155.890                directors and commissioners
        Penyusutan aset tetap                          (18.976)           (11.036)                  Depreciation of fixed assets
        Liabilitas pembongkaran aset                 1.577.341            571.911                  Asset dismantling obligation
        Akrual bonus                                   345.450          1.112.241                               Accrued bonus

         Jumlah beda waktu                           1.932.800          1.843.866                 Total temporary differences

      Estimasi laba kena pajak                                                                          Estimated taxable income
        tahun berjalan - Perusahaan                                                                 current year - the Company
          (dipindahkan)                              3.915.730          7.479.275                             (carried forward)




                                                              63
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                    PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                      NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                             STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                   As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                     for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)             (Expressed in full US Dollar amount, unless otherwise stated)


17. PERPAJAKAN (Lanjutan)                                            17. TAXATION (Continued)

   c. Pajak penghasilan badan (Lanjutan)                                c. Corporate income tax (Continued)

      Rekonsiliasi antara laba sebelum beban pajak, seperti               The reconciliation between profit before tax, as shown in
      yang tercantum dalam laba rugi dan estimasi laba kena               profit or loss and estimated taxable income is as follows:
      pajak adalah sebagai berikut: (Lanjutan)                            (Continued)

                                                       2025              2024

      Estimasi laba kena pajak                                                                           Estimated taxable income
        tahun berjalan - Perusahaan                    3.915.730          7.479.275                  current year - the Company

      Estimasi beban pajak penghasilan kini                                                           Estimated current income tax
       Perusahaan                                       (861.460)        (1.645.440)                               The Company
       Entitas anak                                  (13.381.902)       (13.963.984)                                 Subsidiaries

        Jumlah                                       (14.243.362)       (15.609.424)                                        Total

      Pajak penghasilan dibayar di muka                                                                         Prepaid income tax
       Perusahaan                                      1.120.075           894.623                                 The Company
       Entitas anak                                    9.896.479        10.336.946                                   Subsidiaries

        Jumlah                                        11.016.554        11.231.569                                          Total

      Lebih/(kurang) bayar pajak                                                                   Over/(under) payment corporate
       penghasilan badan                                                                                              income tax
        Perusahaan                                                                                                The Company
         Lebih bayar                                     258.614                -                                Overpayment
         Kurang bayar                                        -             (750.817)                            Underpayment
        Entitas anak                                                                                               Subsidiaries
         Lebih bayar                                     651.489             66.815                              Overpayment
         Kurang bayar                                 (4.136.912)        (3.693.853)                            Underpayment

         Jumlah                                       (3.226.809)        (4.377.855)                                      Total

      Pada tanggal 31 Desember 2025 dan 2024, Entitas anak                As at December 31, 2025 and 2024, Subsidiaries of the
      Grup memiliki rugi pajak yang dapat digunakan sebagai               Group had tax losses that can be used as deductions
      pengurang dari penghasilan kena pajak masa depan.                   from future taxable income. The Company has no tax
      Perusahaan tidak memiliki rugi pajak.                               losses.

      Rugi fiskal dapat dikompensasikan dengan laba fiskal                The tax losses can be utilised against the taxable
      pada masa lima tahun mendatang sejak kerugian fiskal                income for a period of five years subsequent to the year
      terjadi. Grup memperkirakan bahwa akumulasi kerugian                the tax loss was incurred. The Group believes that it is
      fiskal tersebut tidak dapat dikompensasikan dengan laba             not probable that future taxable profits will be available
      fiskal di masa mendatang.                                           to utilise accumulated tax losses before their expiry.

      Pelaporan pajak penghasilan badan Grup menggunakan                  The Group's corporate income taxes are reported using
      mata uang Rupiah, kecuali untuk entitas anak RATU dan               Rupiah, except for a subsidiary of RATU and its
      entitas anak yang menggunakan mata uang Dolar AS.                   subsidiaries which uses US Dollar currency.

      Menurut ketentuan perpajakan yang berlaku, liabilitas               According to tax regulations, corporate income tax
      pajak penghasilan dihitung oleh wajib pajak sendiri.                payable is computed by taxpayer. However, the tax
      Namun demikian, pihak fiskus dapat memeriksa liabilitas             authority may conduct tax audit on the Company within
      pajak dihitung sendiri tersebut dalam jangka waktu lima             five years.
      tahun.




                                                                64
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                             PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                               NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                      STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                            As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                              for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                      (Expressed in full US Dollar amount, unless otherwise stated)


17. PERPAJAKAN (Lanjutan)                                                 17. TAXATION (Continued)

   d. Taksiran pajak penghasilan tangguhan                                      d. Estimated deferred income tax

      Jumlah aset dan liabilitas pajak tangguhan adalah                            The calculation of deferred tax assets and liabilities are
      sebagai berikut:                                                             as follows:

                                                               Dikreditkan/(dibebankan) ke /
                                                                   credited/(charged) to:
                                                                                Penghasilan
                                                                               komprehensif
                                    Saldo awal/                                  lain/Other      Saldo akhir/
                                    Beginning     Penyesuaian/ Laba rugi / comprehensive           Ending
                                     balance       Adjustment Profit or loss       income         balance

      2025                                                                                                                                    2025
      Perusahaan                                                                                                                    The Company
       Aset/(liabilitas) pajak                                                                                              Deferred tax assets/
        tangguhan                                                                                                                     (liabilities)
        Imbalan pasca-kerja                                                                                                  Post-employment
          karyawan                     (18.284)            -          4.240            21.640          7.596                           benefits
        Penyisihan pensiun                                                                                          Provision for retirement of
          direksi dan komisaris         97.919             -          2.137               -         100.056     directors and commissioners
        Penyusutan aset tetap           39.359             -         (4.175)              -          35.184        Depreciation of fixed assets
        Liabilitas pembongkaran                                                                                              Asset dismantling
          aset                         336.975             -       347.015                -         683.990                         obligation
        Akrual bonus                   541.693             -        75.999                -         617.692                    Accrued bonus

          Jumlah - Perusahaan          997.662             -       425.216             21.640     1.444.518             Total - the Company

      Entitas anak                     687.480          (3.907)    262.794             49.767       996.134                           Subsidiaries

      Jumlah aset pajak tangguhan    1.685.142          (3.907)    688.010             71.407     2.440.652             Total deferred tax assets

      2024                                                                                                                                    2024
      Perusahaan                                                                                                                    The Company
       Aset/(liabilitas) pajak                                                                                              Deferred tax assets/
        tangguhan                                                                                                                     (liabilities)
        Imbalan pasca-kerja                                                                                                  Post-employment
          karyawan                     (25.849)            -          3.269             4.296        (18.284)                          benefits
        Penyisihan pensiun                                                                                          Provision for retirement of
          direksi dan komisaris         63.623             -         34.296               -           97.919    directors and commissioners
        Penyusutan aset tetap           41.787             -         (2.428)              -           39.359       Depreciation of fixed assets
        Liabilitas pembongkaran                                                                                              Asset dismantling
          aset                             -               -       336.975                -         336.975                         obligation
        Akrual bonus                   297.000             -       244.693                -         541.693                    Accrued bonus

          Jumlah - Perusahaan          376.561             -       616.805              4.296       997.662             Total - the Company

      Entitas anak                     528.871          (1.806)    161.479             (1.064)      687.480                           Subsidiaries

      Jumlah aset pajak tangguhan      905.432          (1.806)    778.284              3.232     1.685.142             Total deferred tax assets




                                                                     65
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                     PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                       NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                              STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                    As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                      for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)              (Expressed in full US Dollar amount, unless otherwise stated)


17. PERPAJAKAN (Lanjutan)                                             17. TAXATION (Continued)

   d. Taksiran pajak penghasilan tangguhan (Lanjutan)                    d. Estimated deferred income tax (Continued)

                                                        2025              2024

      Laba sebelum pajak penghasilan                                                                       Consolidated profit before
       konsolidasian                                    49.543.196       44.218.925                                     income tax

      Beban/(manfaat) pajak penghasilan                                                     Corporate income tax expense/(benefit)
       sesuai dengan tarif yang berlaku                                                                      using applied tax rate
        Perusahaan                                       4.657.268         5.336.369                                The Company
        Entitas anak                                     8.939.748         8.593.961                                 Subsidiaries
      Pengaruh pajak atas beban/(penghasilan)                                                      Tax influence on non deductible
       yang tidak diperkenankan                                                                    expense/(non taxable income)
        Perusahaan                                      (4.221.023)       (4.307.734)                               The Company
        Entitas anak                                     3.925.273         5.048.721                                 Subsidiaries
      Penyesuaian pajak tangguhan terkait                                                     Adjustment for deferred tax related to
       Akumulasi rugi fiskal                                                                            Tax losses carried forward
        Perusahaan                                            -                 -                                   The Company
        Entitas anak                                      254.086           159.823                                  Subsidiaries
      Penyesuaian tahun fiskal sebelumnya                                                             Prior fiscal years adjustment
        Perusahaan                                        221.612               -                                   The Company
        Entitas anak                                      746.487           305.275                                  Subsidiaries

         Jumlah beban pajak penghasilan                 14.523.451       15.136.415                   Total income tax expense

   e. Beban/(manfaat) pajak penghasilan                                  e. Income tax expense/(benefit)

                                                        2025              2024

      Pajak kini                                                                                                          Current tax
       Tahun fiskal berjalan                            14.243.362       15.609.424                              Current fiscal year
       Penyesuaian tahun fiskal sebelumnya                 968.099          305.275                  Prior fiscal years adjustment

        Jumlah pajak kini                               15.211.461       15.914.699                              Total current tax

      Pajak tangguhan                                                                                                   Deferred tax
       Tahun fiskal berjalan                              (688.010)         (778.284)                            Current fiscal year
       Penyesuaian tahun fiskal sebelumnya                     -                 -                   Prior fiscal years adjustment

        Jumlah pajak tangguhan                            (688.010)         (778.284)                           Total deferred tax

         Jumlah                                         14.523.451       15.136.415                                        Total




                                                               66
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                                          PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                                            NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                                   STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                                         As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                                           for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                                   (Expressed in full US Dollar amount, unless otherwise stated)


17. PERPAJAKAN (Lanjutan)                                                                  17. TAXATION (Continued)

   f. Surat Ketetapan Pajak dan Surat Permintaan Penjelasan                                     f. Tax Assesment Letter for Corporate Income Tax and
      atas Data dan/atau Keterangan                                                                Implementation Minutes on the Letter of Request for
                                                                                                   Explanation of Data and/or Information

                                                                                         2025
                                                                                                                                             Penyesuaian pajak
                                                                Tahun                             Laba/(rugi)         Lebih/(kurang)         tahun sebelumnya/
                                                                pajak/                               fiskal/             bayar/          Prior years tax adjustment
                           Wajib pajak/                         Fiscal          Tanggal/        Taxable income/       Over/(under)        Rupiah/           AS Dolar/
                            Tax payer                            year             Date            (fiscal loss)         payment           Rupiah            US Dollar


      PT Raharja Energi Cepu Tbk **                              2024             2025                            -               -                 -            718.393
      PT Rukun Raharja Tbk *                                     2023             2025                            -    (3.634.218.159)   3.634.218.159           221.612
      PT Majuko Utama Indonesia *                                2021             2025                            -               -                 -             13.570
      PT Trimitra Cipta Mandiri                                  2023             2025             1.466.661.660         537.373.941      235.172.868             14.524

     Jumlah/Total                                                                                                                        3.869.391.027           968.099


                                                                                         2024
                                                                                                                                             Penyesuaian pajak
                                                                Tahun                             Laba/(rugi)         Lebih/(kurang)         tahun sebelumnya/
                                                                pajak/                               fiskal/             bayar/          Prior years tax adjustment
                           Wajib pajak/                         Fiscal           Tahun/         Taxable income/       Over/(under)        Rupiah/           AS Dolar/
                            Tax payer                            year             Year            (fiscal loss)         payment           Rupiah            US Dollar


      PT Rukun Raharja Tbk                                       2022             2024            24.622.289.209       2.010.574.179                -                 -
      PT Energasindo Heksa Karya                                 2023             2024           114.700.186.384         (979.061.054)   2.645.799.628           163.705
      PT Energasindo Heksa Karya                                 2020             2024             5.014.568.000      (20.903.204.960)    315.320.720             19.412
      PT Energasindo Heksa Karya                                 2019             2024            59.810.155.000      (15.268.001.966)   1.024.431.216            64.419
      PT Majuko Utama Indonesia **                               2022             2024                            -               -                 -             12.796
      PT Majuko Utama Indonesia **                               2023             2024                            -               -                 -             23.880
      PT Artifisial Teknologi Persada **                         2023             2024                            -               -       335.026.879             21.063

     Jumlah/Total                                                                                                                        4.320.578.443           305.275


      *Berdasarkan Surat Permintaan Penjelasan atas Data dan/atau Keterangan ("SP2DK")/
      Based on Implementation Minutes on the Letter of Request for Explanation of Data and/or Information ("SP2DK")
      **Berdasarkan penyesuaian atas surat pemberitahuan tahunan pajak
      Based on adjustment of reporting of annual corporate income tax assessment letter


      Pada tanggal 16 Juli 2025, berdasarkan hasil Berita                                         On July 16, 2025, based on the results of the
      Acara Pelaksanaan atas Surat Permintaan Penjelasan                                          Implementation Minutes on the Letter of Request for
      atas Data dan/atau Keterangan ("SP2DK") dari kantor                                         Explanation of Data and/or Information ("SP2DK") from
      pajak,    Perusahaan menyetujui untuk melakukan                                             the tax office, the Company agrees to make payments
      pembayaran dan pembetulan atas Surat Pemberitahuan                                          and corrections to the Tax Return ("SPT") of Value
      ("SPT") SPT Pajak Pertambahan Nilai ("PPN") 2023 yang                                       Added Tax ("VAT") 23 for total underpayment amounting
      menetapkan kurang bayar sebesar Rp146.955.350                                               of Rp146,955,350 (equivalent to US$8,961) and has
      (setara dengan AS$8.961) dan telah dibayar tanggal 30                                       been paid by the Company on July 30, 2025 and
      Juli 2025 dan dicatat sebagai "beban pajak" pada laporan                                    recorded as "tax expense" in the statement of profit or
      laba rugi dan penghasilan komprehensif lain 2025.                                           loss and other comprehensive income of 2025.

      Selama tahun 2024, EHK menerima Surat Ketetapan                                             During the year 2024, EHK received Tax Assessment
      Pajak Lebih Bayar ("SKPLB") dari kantor pajak atas PPN                                      Letter from tax office confirming overpayment ("SKPLB")
      tahun buku 2023 yang menetapkan bahwa restitusi yang                                        of VVAT which stated that the EHK's approved
      disetujui adalah sebesar Rp29.905.474.711 (setara                                           restitution for the fiscal year 2023 amounting to
      dengan AS$1.835.837). Selisih lebih bayar PPN antara                                        Rp29,905,474,711 (equivalent to US$1,835,837). The
      nilai tercatat dengan jumlah yang tercantum di SKPLB                                        difference overpayment of VAT between the carrying
      PPN sebesar Rp19.577.951.834 (setara dengan                                                 amount of with the amount stated in SKPLB VAT
      AS$1.211.357) dicatat sebagai bagian dari "Pendapatan                                       amounting of Rp19,577,951,834 (equivalent to
      lainnya - bersih" pada laporan laba rugi dan penghasilan                                    US$1,211,357) was recorded as part of "Other income -
      komprehensif lain konsolidasian 2024. Lebih bayar PPN                                       net" in the consolidated statement of profit or loss or
      tersebut telah diterima pada tanggal 17 Januari 2025.                                       other comprehensive income in period 2024. The
                                                                                                  restitution has been received on January 17, 2025.



                                                                                    67
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                    PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                      NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                             STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                   As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                     for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)             (Expressed in full US Dollar amount, unless otherwise stated)


18. UTANG USAHA                                                      18. TRADE PAYABLES

                                                       2025              2024
   Pihak ketiga                                                                                                       Third parties
    Dolar AS                                          20.666.401        15.767.815                                     US Dollar
    Rupiah                                             5.628.311         2.755.991                                        Rupiah

       Jumlah                                         26.294.712        18.523.806                                        Total

   Rincian utang usaha berdasarkan pemasok adalah sebagai              Details of trade payables based on vendors are as follows:
   berikut:

                                                       2025              2024
   Pihak ketiga                                                                                                     Third parties
    PT Pertamina Gas                                   9.890.252         1.920.722                           PT Pertamina Gas
    Medco E&P Grissik Ltd                              5.377.949         8.258.094                       Medco E&P Grissik Ltd
    PT Pertamina EP                                    3.277.918         4.421.765                            PT Pertamina EP
    PT Bakrie Pipe Industries                          1.331.022           140.780                     PT Bakrie Pipe Industries
    Compass Energy Systems (Usa) Inc                     689.708               -             Compass Energy Systems (Usa) Inc
    PT Transportasi Gas Indonesia                        548.286           573.582               PT Transportasi Gas Indonesia
    PT Multipanel Intermitra Mandiri                     468.949               -                PT Multipanel Intermitra Mandiri
    PT Gunung Batu Sejahtera                             460.739               -                     PT Gunung Batu Sejahtera
    Jindi South Jambi B, Co., Ltd.                       412.653           468.653                Jindi South Jambi B, Co., Ltd.
    PT Gunung Batu Sejahtera                             263.326               -                     PT Gunung Batu Sejahtera
    TIS Petroleum E&P Blora Pte. Ltd.                    240.890           344.346            TIS Petroleum E&P Blora Pte. Ltd.
    PT Berca Hardayaperkasa                              239.766               -                      PT Berca Hardayaperkasa
    PT Dwi Tunggal Jaya Agung                            191.211           238.213                 PT Dwi Tunggal Jaya Agung
    PT Clariant Indonesia                                    -             310.814                        PT Clariant Indonesia
    Lain-lain (masing-masing di bawah                                                                       Others (each below
      AS$200.000)                                      2.902.043         1.846.837                               US$200,000)

        Jumlah                                        26.294.712        18.523.806                                       Total

   Utang usaha di atas terutama timbul dari pembelian gas dan          Trade payables above mainly arise from the purchases of
   jasa transportasi gas.                                              gas and gas transportation services.

   Grup tidak menempatkan aset tertentu sebagai jaminan atau           The Group does not pledge or use specific assets as
   tanggungan atas utang usaha dari pihak ketiga.                      collateral for trade payables of third-parties.

19. UTANG LAIN-LAIN                                                  19. OTHER PAYABLES

                                                       2025              2024
   Pihak ketiga                                                                                                     Third parties
    PT NS BlueScope Indonesia                            231.000               -                    PT NS BlueScope Indonesia
    PT Neomax Magnetic Technologies                      177.375           110.580           PT Neomax Magnetic Technologies
    PT Evonik Degusa Peroxida Indonesia                   75.000            75.000         PT Evonik Degusa Peroxida Indonesia
    PT Emblem Asia                                           -              64.080                            PT Emblem Asia
    Lain-lain (masing-masing di bawah                                                                       Others (each below
      AS$50.000)                                         181.618           265.610                                US$50,000)

       Jumlah pihak ketiga                               664.993           515.270                           Total third parties

   Pihak berelasi (lihat catatan 40d)                     85.014           545.000                    Related party (see note 40d)

       Jumlah utang lain-lain                            750.007         1.060.270                        Total other payables

   Grup tidak menempatkan aset tertentu sebagai jaminan atau           The Group does not pledge or use specific assets as
   tanggungan atas utang lain-lain dari pihak ketiga.                  collateral for other payables of third-parties.




                                                                68
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                    PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                      NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                             STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                   As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                     for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)             (Expressed in full US Dollar amount, unless otherwise stated)


20. KEWAJIBAN KONTRAK                                                20. CONTRACT LIABILITIES

                                                       2025              2024

   Estimasi over/under lifting                         1.372.863                -                      Over/under lifting estimation

   Pihak ketiga                                                                                                     Third parties
    PT NS BlueScope Indonesia                            270.367           134.544                   PT NS BlueScope Indonesia
    PT Banten Inti Gasindo                                75.145               -                         PT Banten Inti Gasindo
    PT Surya Toto Indonesia                               58.450            58.175                      PT Surya Toto Indonesia
    PT Emblem Asia                                           -             114.543                             PT Emblem Asia
    PT PLN (Persero)                                         -             107.994                            PT PLN (Persero)
    Lain-lain                                            286.800           216.730                                       Others

      Jumlah pihak ketiga                                690.762           631.986                             Total third parties

   Pihak berelasi                                                                                                    Related party
    PT Petrosea Tbk                                    2.825.972         3.679.410                               PT Petrosea Tbk

       Jumlah                                          4.889.597         4.311.396                                         Total

21. BEBAN AKRUAL                                                     21. ACCRUED EXPENSES

                                                       2025              2024

   Jasa profesional                                    4.346.672         1.509.189                                 Professional fee
   Gaji, tunjangan dan bonus                           4.006.104         2.839.474                  Salaries, allowance and bonus
   Bunga                                                 227.133           155.726                                         Interest
   Sewa                                                    1.726            97.897                                            Rent
   Cash call Blok Jabung                                     -             236.839                      Cash call of Jabung Block
   Lain-lain                                              56.381           131.679                                          Others

       Jumlah                                          8.638.016         4.970.804                                         Total

22. UTANG PEMBELIAN ASET TETAP                                       22. FIXED ASSETS PURCHASE PAYABLES

   Pada tahun 2022, ATP membeli 5 (lima) paket peralatan                In the year 2022, ATP purchased 5 (five) packages of oil
   pompa minyak dari PT Tanggamus Silica Mineral ("TSM"),               pumping equipment from PT Tanggamus Silica Mineral
   pihak ketiga, senilai AS$1.342.800 (termasuk pajak,                  ("TSM"), third party, amounting to US$1,342,800 (including
   mobilisasi, instalasi dan demobilisasi), dengan pembayaran           taxes, mobilization, installation and demobilization), with
   secara cicilan selama 2 (dua) tahun.                                 payments in installments over 2 (two) years.

   Pada tahun 2024, ATP mendapatkan pinjaman dari TSM                   In the year 2024, ATP obtained loan from TSM amounting
   senilai AS$330.050 yang digunakan untuk membiayai                    to US$330,050 to finance the purchase of oil pump
   pembelian peralatan pompa minyak dari PT Schlumberger                equipments from PT Schlumberger Geophysics Nusantara,
   Geophysics Nusantara, dengan pembayaran secara cicilan               with installment of payment over 3 (three) years and
   selama 3 (tiga) tahun dengan suku bunga 6,00% per tahun.             effective interest rate 6.00% per annum. The loan has been
   Pinjaman tersebut telah dilunasi pada tahun 2025.                    fully paid on 2025.




                                                                69
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                    PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                      NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                             STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                   As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                     for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)             (Expressed in full US Dollar amount, unless otherwise stated)


22. UTANG PEMBELIAN ASET TETAP (Lanjutan)                            22. FIXED ASSETS PURCHASE PAYABLES (Continued)

   Mutasi utang kepada TSM adalah sebagai berikut:                      Movements of payable to TSM are as follows:


                                                        2025             2024

   Nilai kontraktual                                    1.342.800        1.342.800                                Contractual value

   Saldo awal nilai kini                                  170.828          121.471             Beginning balance of present value
   Penambahan                                                 -            330.050                                    Additionals
   Pembayaran                                            (178.339)        (316.745)                                    Payments
   Beban keuangan/bunga                                     7.511           36.052                         Finance costs/interest

    Saldo akhir nilai kini                                      -          170.828                 Ending balance of present value

    Dikurangi: bagian jangka pendek                             -          104.360                            Less: current portion

    Bagian jangka panjang                                       -           66.468                              Long-term portion

23. PINJAMAN BANK                                                    23. BANK LOANS

   a. Pinjaman bank jangka pendek                                       a. Short-term bank loans

                                                        2025             2024

      Pihak ketiga                                                                                                    Third parties
       PT Bank Mandiri (Persero) Tbk                    7.479.383        1.667.039                  PT Bank Mandiri (Persero) Tbk

        Jumlah                                          7.479.383        1.667.039                                          Total

      PT Bank Mandiri (Persero) Tbk ("Mandiri") - TIP                     PT Bank Mandiri (Persero) Tbk ("Mandiri") - TIP

      Pada tanggal 16 April 2024, dan selanjutnya mengalami               On April 16, 2024, and then amended on May 21, 2025,
      perubahan tanggal 21 Mei 2025, TIP memperoleh fasilitas             TIP obtained loan facilities from PT Bank Mandiri
      pinjaman dari PT Bank Mandiri (Persero) Tbk, berupa                 (Persero) Tbk, consisting of Working Capital Credit
      kredit modal kerja (KMK) 1, KMK 2, dan Bank Garansi.                (KMK) 1, KMK 2, and Bank Guarantee. The loan ceilings
      Plafon pinjaman ini adalah sebesar Rp20.000.000.000                 are Rp20,000,000,000 for KMK 1, Rp85,000,000,000 for
      untuk KMK 1, Rp85.000.000.000 untuk KMK 2 dan                       KMK 2 and Rp23,000,000,000 for the Bank Guarantee.
      Rp23.000.000.000 untuk Bank Garansi. Jangka waktu                   The loan tenure is 12 months with an interest rate of
      pinjaman yaitu 12 bulan dan dikenakan bunga 8,50% per               8.50% per annum. These loan facilities are utilized for
      tahun, fasilitas pinjaman tersebut digunakan untuk                  the procurement of pour point depressant (PPD) for PT
      pengadaan pour point depressant (PPD) untuk PT                      Pertamina Gas (Pertagas) and for financing the Ubadari
      Pertamina Gas (Pertagas) dan untuk pembiayaan proyek                early works camp project in Block Tangguh, specifically
      ubadari early works camp project , block Tangguh untuk              for the new camp electrical and power supply work.
      bagian pekerjaan new camp electrical dan power supply .




                                                                70
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                      PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                        NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                               STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                     As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                       for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)               (Expressed in full US Dollar amount, unless otherwise stated)


23. PINJAMAN BANK (Lanjutan)                                           23. BANK LOANS (Continued)

   a. Pinjaman bank jangka pendek (Lanjutan)                              a. Short-term bank loans (Continued)

      PT Bank Mandiri (Persero) Tbk ("Mandiri") - TIP                       PT Bank Mandiri (Persero) Tbk ("Mandiri") - TIP
      (Lanjutan)                                                            (Continued)

      Pinjaman ini dijamin dengan jaminan fidusia atas aset TIP             This loan is secured by fiduciary guarantees on TIP’s
      berupa piutang usaha dengan nilai pertanggungan                       fixed assets, including trade receivables with a coverage
      sebesar Rp182.563.496.360, persediaan dengan nilai                    value of Rp182,563,496,360, inventory with a coverage
      pertanggungan sebesar Rp128.000.000.000, mesin dan                    value of Rp128,000,000,000, machinery and equipment
      peralatan yang berlokasi di Serang, Banten dengan nilai               located in Serang, Banten with a coverage value of
      pertanggungan sebesar Rp107.867.000.000, transmisi                    Rp107,867,000,000, a gas pipeline transmission located
      pipa gas yang berlokasi di Gresik dengan nilai                        in Gresik with a coverage value of Rp243,695,000,000,
      pertanggungan sebesar Rp243.695.000.000, mesin dan                    machinery and equipment of a booster gas compression
      peralatan booster gas compression plant yang berlokasi                plant located in Sengkang with a coverage value of
      di Sengkang dengan nilai pertanggungan sebesar                        US$30,411,647, a mortgage on a shophouse building in
      AS$30.411.647, hak tanggungan atas bangunan ruko di                   Thamrin Residences Block RA No. 01A - 06A registered
      Thamrin Residences Blok RA No. 01A - 06A atas nama                    under the Company, and a mortgage on a shophouse
      Perusahaan, hak tanggungan atas bangunan ruko di                      building in Thamrin Residences Block RA No. 07B - 08B
      Thamrin Residences Blok RA No.07B - 08B atas nama                     registered under the Company.
      Perusahaan.

      Saldo pinjaman ini per 31 Desember 2025 adalah                        The loan balance as at December 31, 2025 is amounting
      sebesar Rp50.000.000.000 atau setara AS$2.979.383                     to Rp50,000,000,000 or equivalent to US$2,979,383
      (2024: Rp25.290.514.648 atau setara AS$1.564.813).                    (2024:    Rp25,290,514,648     or    equivalent    to
                                                                            US$1,564,813).

      PT Bank Mandiri (Persero) Tbk ("Mandiri") - EHK                       PT Bank Mandiri (Persero) Tbk ("Mandiri") - EHK

      Pada tanggal 29 Mei 2024, EHK memperoleh fasiltas                     On May 29, 2024, EHK obtained loan facilities from
      pinjaman dari Mandiri berupa:                                         Mandiri in the form of:

      -   Standby Letter of Credit ("SBLC"), digunakan untuk                - Standby Letter of Credit ("SBLC"), was used to
          jaminan pembayaran atas pembelian gas dan                           guarantee the purchase and transportation of gas
          transportasi gas dari 6 (enam) pemasok dengan                       from 6 (six) suppliers with the limit amounting to
          plafon sebesar AS$26.000.000.                                       US$26,000,000.

      -   Kredit Modal Kerja ("KMK"), digunakan untuk                       - Working Capital Credit ("WCC"), was used to
          melunasi fasilitas pinjaman dari HSBC dan                           payment of loan facilities from HSBC and to finance
          membiayai pembelian dan transportasi gas dari 6                     the purchase and transportation of gas from 6 (six)
          (enam)     pemasok     dengan      plafon sebesar                   suppliers with the limit amounting to US$10,000,000.
          AS$10.000.000. Fasilitas ini tersedia dalam mata                    The facility available in United States Dollar with a
          uang Dolar Amerika Serikat dengan jangka waktu 1                    term of 1 (one) year, bearing interest per annum at
          (satu) tahun, dikenakan bunga per tahun sebesar                     7.50% and can be change at any time according to
          7,50% dan dapat berubah sewaktu waktu sesuai                        the applicable regulation in Mandiri.
          ketentuan yang berlaku di Mandiri.

      Selanjutnya, pada tanggal 28 Mei 2025, EHK telah                      Furthermore, on May 28, 2025, EHK obtained an
      memperoleh perpanjangan fasiltas pinjaman dengan                      extension of the loan facility with a term of 12 months,
      jangka waktu 12 bulan terhitung tanggal 4 Juni 2025                   effective from June 4, 2025 to June 3, 2026.
      sampai dengan 3 Juni 2026.

      Saldo pinjaman ini per 31 Desember 2025 adalah                        The loan balance as at December 31, 2025 is amounting
      sebesar AS$4.500.000 (2024: nihil).                                   to US$4,500,000 (2024: nil).




                                                                  71
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                       PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                         NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                      As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                        for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                (Expressed in full US Dollar amount, unless otherwise stated)


23. PINJAMAN BANK (Lanjutan)                                            23. BANK LOANS (Continued)

   a. Pinjaman bank jangka pendek (Lanjutan)                               a. Short-term bank loans (Continued)

      PT Bank Mandiri (Persero) Tbk ("Mandiri") - ATP                        PT Bank Mandiri (Persero) Tbk ("Mandiri") - ATP

      Pada tanggal 3 April 2024, ATP memperoleh fasilitas                    On April 3, 2024, ATP obtained loan facility from PT
      pinjaman dari PT Bank Mandiri (Persero) Tbk berupa                     Bank Mandiri (Persero) Tbk in the form of Working
      fasilitas Kredit Modal Kerja ("KMK") dengan plafon                     Capital Loan facility with limit amounting to Rp
      sebesar Rp9.000.000.000 dan fasilitas Bank Garansi                     9,000,000,000 and Bank Guarantee facility with limit
      dengan plafond sebesar Rp2.000.000.000. Pinjaman ini                   amounting to Rp 2,000,000,000. These loan bear
      dikenakan bunga 10,00% per tahun dan akan jatuh tempo                  interest rate of 10.00% per annum and mature on April
      pada tanggal 2 April 2025.                                             2, 2025. This loan have been extended, latest on March
                                                                             26, 2025, which maturity loan on April 2, 2026.

      Pinjaman ini dijamin dengan deposito berjangka (lihat                  This loan is secured by time deposit (see note 16b) and
      catatan 16b) dan jaminan fidusia atas piutang usaha (lihat             fiduciary transfer over trade receivables (see note 5).
      catatan 5). Pinjaman ini telah dilunasi tanggal 10 Maret               This loans has been fully paid on March 10, 2025 and as
      2025 dan per 31 Desember 2025, ATP tidak                               at December 31, 2025, ATP has not used this loan
      menggunakan fasilitas pinjaman tersebut sehingga saldo                 facility hence the balance as at December 31, 2025 is nil
      per 31 Desember 2025 adalah nihil (2024: Rp                            (2024: Rp 1,652,171,756 or equivalent to US$ 102,226).
      1.652.171.756 atau setara AS$ 102.226).

   b. Pinjaman bank jangka panjang                                         b. Long-term bank loans

                                                          2025              2024

      Perusahaan                                                                                                       The Company
       PT Bank Mandiri (Persero) Tbk                    100.650.480        77.600.563                 PT Bank Mandiri (Persero) Tbk
       Dikurangi:                                                                                                      Deducted by:
        Beban pinjaman yang belum diamortisasi             (768.274)         (927.632)                Unamortized borrowing costs
      Entitas anak                                                                                                       Subsidiaries
       PT Bank Mandiri (Persero) Tbk                     43.323.658        34.206.832                 PT Bank Mandiri (Persero) Tbk
       Dikurangi:                                                                                                      Deducted by:
        Beban pinjaman yang belum diamortisasi             (172.468)         (237.996)                Unamortized borrowing costs

         Jumlah pinjaman bank jangka panjang            143.033.396       110.641.767                  Total long-term bank loans

      Dikurangi: bagian lancar                                                                           Deducted by: current portion
       Perusahaan                                                                                                     The Company
        PT Bank Mandiri (Persero) Tbk                    21.283.452        12.600.000                PT Bank Mandiri (Persero) Tbk
        Beban pinjaman yang belum diamortisasi             (232.657)         (246.111)                Unamortized borrowing costs
       Entitas anak                                                                                                     Subsidiaries
        PT Bank Mandiri (Persero) Tbk                    13.787.952         9.352.250                PT Bank Mandiri (Persero) Tbk
        Dikurangi:                                                                                                    Deducted by:
          Beban pinjaman yang belum diamortisasi            (12.616)           (19.459)              Unamortized borrowing costs

       Jumlah bagian lancar                              34.826.131        21.686.680                         Total current portion

       Jumlah bagian tidak lancar                       108.207.265        88.955.087                    Total non-current portion




                                                                   72
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                      PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                        NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                               STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                     As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                       for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)               (Expressed in full US Dollar amount, unless otherwise stated)


23. PINJAMAN BANK (Lanjutan)                                           23. BANK LOANS (Continued)

   b. Pinjaman bank jangka panjang (Lanjutan)                             b. Long-term bank loans (Continued)

      PT Bank Mandiri (Persero) Tbk ("Mandiri")                             PT Bank Mandiri (Persero) Tbk ("Mandiri")

      -   Perusahaan                                                        - The Company

          Pada tanggal 26 Maret 2021, Perusahaan                               On March 26, 2021, the Company obtained a non-
          memperoleh fasilitas Pinjaman Berjangka 1 (satu)                     revolving Term Loan 1 (one) ("TL1") facility from
          ("PB1") yang bersifat non-revolving dari Mandiri                     Mandiri in the form of Facilities A and B with the limit
          berupa Fasilitas A dan B dengan plafon masing-                       amounting to US$27,979,000 and US$80,752,000
          masing sebesar AS$27.979.000 dan AS$80.752.000                       (total US$108,731,000), respectively, which can be
          (jumlah AS$108.731.000) yang dapat digunakan oleh                    used by subsidiaries except PRA and PDPDE.
          entitas anak kecuali PRA dan PDPDE.

          Fasilitas A digunakan untuk melunasi pinjaman HSBC                   Facility A was used to payment HSBC and BNI loans
          dan BNI masing-masing sebesar AS$7.500.000 dan                       amounting to US$7,500,000 and US$20,479,000,
          AS$20.479.000. Fasilitas B digunakan untuk                           respectively. Facility B is used to finance the Rokan
          membiayai Proyek Rokan dan Proyek Rembang (lihat                     Project and the Rembang Project (see note 1d), in
          catatan 1d), yang mana dana yang didapatkan dari                     which the funds obtained from Facility B will be used
          Fasilitas B ini digunakan oleh Perusahaan untuk                      by the Company to fulfill the Company's investment
          memenuhi kewajiban investasi Perusahaan (atau                        obligations (or after the transfer, by TIP to fulfill TIP's
          setelah terjadinya pengalihan, oleh TIP untuk                        investment obligations) and payment of costs and
          memenuhi kewajiban investasi TIP) dan pembayaran                     obligations in connection with the Rokan Project and
          biaya dan kewajiban sehubungan dengan Proyek                         Rembang Project with a maximum value of 98.90% of
          Rokan dan Proyek Rembang dengan nilai maksimum                       the total required value based on the Rokan Project
          98,90% dari jumlah nilai yang dibutuhkan                             and Rembang Project documents.
          berdasarkan dokumen Proyek Rokan dan Proyek
          Rembang.

          Pinjaman PB 1 ini dikenakan suku bunga                               The PB 1 loan bears interest at a floating rate of
          mengambang sebesar 6,50% (31 Desember 2024:                          6.50% per annum (December 31, 2024: 6.50%) and
          6,50%) per tahun dan biaya pinjaman berupa biaya                     includes borrowing costs such as provision fees,
          provisi, jasa, asuransi dan administrasi dengan                      service fees, insurance, and administrative expenses
          jumlah sebesar AS$1.736.976. Perjanjian pinjaman                     totaling US$1,736,976. This loan agreement is set to
          ini akan berakhir pada 23 Desember 2030.                             mature on December 23, 2030.

          Pada tanggal 14 Desember 2022, Perusahaan                            On December 14, 2022, the Company obtained an
          memperoleh tambahan Pinjaman Berjangka 2 (dua)                       additional non-revolving Term Loan 2 ("PB2") from
          ("PB2") yang bersifat non-revolving dari Mandiri yang                Mandiri to cover the shortfall in investment needs,
          digunakan untuk menutupi kekurangan dalam rangka                     with a credit limit of US$30,000,000. This loan
          kebutuhan investasi dengan plafon sebesar                            agreement is set to mature on June 23, 2026. This
          AS$30.000.000. Perjanjian pinjaman ini akan berakhir                 loan facility was fully paid in 2024. This loan bears a
          pada 23 Juni 2026. Pinjaman ini telah dilunasi di                    floating interest rate of 6.50% per annum.
          tahun 2024 dan dikenakan suku bunga mengambang
          sebesar 6,50% per tahun.

          Pada tanggal 9 Oktober 2024, Perusahaan                              On October 9, 2024, the Company obtained an
          memperoleh tambahan Pinjaman Berjangka 3 (tiga)                      additional non-revolving Term Loan 3 ("PB3") from
          ("PB3") yang bersifat non-revolving dari Mandiri yang                Mandiri to cover the shortfall in investment needs,
          digunakan untuk menutupi kekurangan dalam rangka                     with a credit limit of US$25,000,000. The loan bears a
          kebutuhan investasi dengan plafon sebesar                            floating interest rate of 7.50% per annum. This loan
          AS$25.000.000, dikenakan suku bunga mengambang                       agreement is set to mature on March 31, 2030.
          7,50% per tahun. Perjanjian pinjaman ini akan
          berakhir pada 31 Maret 2030.




                                                                  73
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                     PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                       NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                              STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                    As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                      for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)              (Expressed in full US Dollar amount, unless otherwise stated)


23. PINJAMAN BANK (Lanjutan)                                          23. BANK LOANS (Continued)

   b. Pinjaman bank jangka panjang (Lanjutan)                            b. Long-term bank loans (Continued)

      PT Bank Mandiri (Persero) Tbk ("Mandiri") (Lanjutan)                 PT Bank Mandiri (Persero) Tbk ("Mandiri") (Continued)

      -   Perusahaan (Lanjutan)                                            - The Company (Continued)

          Pada tanggal 29 Agustus 2025, Perusahaan                            On August 29, 2025, the Company obtained an
          memperoleh tambahan Pinjaman Berjangka 4                            additional non-revolving Term Loan 4 (“PB4”) facility
          (empat) ("PB4") yang bersifat non-revolving dari                    from Mandiri to cover a shortfall in funding for
          Mandiri yang digunakan untuk menutupi kekurangan                    business expansion, with a maximum facility
          dalam rangka kebutuhan ekspansi usaha dengan                        amounting to Rp307,000,000,000. The Company also
          plafon sebesar Rp307.000.000.000 dan perpanjangan                   obtained an extension of a bank guarantee facility
          fasilitas bank garansi dengan limit sebesar                         with a limit of Rp60,000,000,000. The facility bears a
          Rp60.000.000.000,       dikenakan    suku   bunga                   floating interest rate of 8.25% per annum. The loan
          mengambang 8,25% per tahun. Perjanjian pinjaman                     agreement will mature on October 28, 2030.
          ini akan berakhir pada 28 Oktober 2030.

          Pinjaman dari Mandiri ini dijamin dengan, jaminan                   This loan from Mandiri is secured by a fiduciary
          fidusia atas aset tetap berupa transmisi pipa gas,                  transfer over fixed assets in the form of gas pipeline
          mesin dan peratalan serta peralatan kantor (lihat                   transmission, machinery and equipment and office
          catatan 12) milik TIP dan HEMA dengan nilai                         equipment (see note 12) owned by TIP and HEMA
          pertanggungan sebesar Rp458,29 milyar, jaminan                      with a sum insured amounting to Rp458.29 billion,
          fidusia atas piutang usaha (lihat catatan 5) milik                  fiduciary transfver over trade receivables (see note 5)
          Perusahaan dan TIP dengan nilai pertanggungan                       owned by the Company and TIP with a sum insured
          sebesar Rp2,37 triliun, 100% jaminan saham TIP,                     amounting to Rp2.37 trillion, 100% guarantee of TIP
          jaminan rekening (lihat catatan 4), hak tanggungan                  shares, guarantee of bank accounts (see note 4),
          atas tanah dan bangunan gedung kantor di Thamrin                    mortgages right over land and office buildings in the
          Residence Blok A01-05, 07-08 dan di Patal Senayan                   Thamrin Residence Block A01-05 and at Patal
          atas nama Perusahaan dengan nilai pertanggungan                     Senayan on behalf of the Company with an sum
          sebesar Rp146,79 milyar (lihat catatan 12), jaminan                 insured amounting to Rp146.79 billion (see note 12),
          perusahaan dari Perusahaan dan TIP, jaminan dana                    corporate guarantees from the Company and TIP,
          dari hasil klaim ganti rugi Projek Rokan maksimal                   guaranteed funds from the results of claims for
          sebesar Rp3,11 triliun, gadai 15% kepemilikan saham                 compensation from Rokan Project with maximum
          Perusahaan yang dimiliki oleh PT Sentosa Bersama                    amounting to Rp3.11 trillion, mortage 15 % of the
          Mitra (lihat catatan 28) dan gadai/ jaminan saham                   Company's share ownership owned by PT Sentosa
          HDK dan HDS (lihat catatan 11).                                     Bersama Mitra (see note 28) and pledges/security
                                                                              over the shares of HDK and HDS (see note 11).

          Berdasarkan perjanjian pinjaman ini, Perusahaan                     As specified by the loan agreement, the Company is
          diwajibkan memenuhi batasan-batasan tertentu                        required to comply with certain covenants, such as
          seperti batasan rasio keuangan dan batasan                          financial ratio covenants and no substantial change in
          melakukan perubahan bisnis yang substansial.                        the general business.

          Pada tanggal 31 Desember 2025 dan 2024,                             As at December 31, 2025 and 2024, the Company
          Perusahaan telah memenuhi semua persyaratan                         has complied with the required relevant covenants
          terkait dan memperoleh waiver dari Mandiri                          stated in the agreement and obtained a waiver from
          sebagaimana diharuskan dalam perjanjian.                            Mandiri.

          Saldo fasilitas pinjaman sebelum dikurangi biaya                    The outstanding balance of the loan facility before
          transaksi pada 31 Desember 2025 untuk PB1, PB3                      deducting transaction costs as at December 31, 2025
          dan PB4 adalah sebesar AS$100.650.480 termasuk                      for PB1, PB3 and PB4 was amounted to
          sebesar AS$21.283.452 akan jatuh tempo dalam satu                   US$100,650,480, including US$21,283,452 due within
          tahun (2024: saldo sebelum dikurangi biaya transaksi                one year (2024: the balance before deducting
          adalah sebesar AS$77.600.563, termasuk sebesar                      transaction costs was amounted to US$77,600,563,
          AS$12.600.000 akan jatuh tempo dalam satu tahun).                   including US$12,600,000 due within one year).




                                                                 74
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                       PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                         NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                      As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                        for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                (Expressed in full US Dollar amount, unless otherwise stated)


23. PINJAMAN BANK (Lanjutan)                                            23. BANK LOANS (Continued)

   b. Pinjaman bank jangka panjang (Lanjutan)                              b. Long-term bank loans (Continued)

      PT Bank Mandiri (Persero) Tbk ("Mandiri") (Lanjutan)                   PT Bank Mandiri (Persero) Tbk ("Mandiri") (Continued)

      -   Entitas anak - RETJ                                                - Subsidiaries - RETJ

          Pada tanggal 31 Juli 2023, RETJ, entitas anak,                        On July 31, 2023, RETJ, subsidiary, obtained loan
          memperoleh fasilitas pinjaman dari PT Bank Mandiri                    facility from PT Bank Mandiri (Persero) Tbk in the
          (Persero) Tbk berupa:                                                 form of:
          - Fasilitas Term Loan ("TL"), digunakan untuk proses                  - Term Loan Facility ("TL"), was used for the
            pengambilalihan 8% PI dari PT GPI Jabung                              acquisition process of 8% PI from PT GPI Jabung
            Indonesia pada PSC Blok Jabung dan pembayaran                         Indonesia in the Jabung Block PSC and payment of
            tagihan cash call Blok Jabung kepada PetroChina                       Jabung Block cash call bills to PetroChina
            International Jabung Ltd. dengan plafon sebesar                       International Jabung Ltd. with a limit of
            AS$25.850.000. Fasilitas ini dikenakan bunga                          US$25,850,000. These loan bear interest rate of
            sebesar 7,50% per tahun dan jatuh tempo pada                          7.50% per annum and mature on October 31, 2028.
            tanggal 31 Oktober 2028.
          - Fasilitas Bank Garansi ("BG"), digunakan untuk                      - Bank Guarantee ("BG") Facility, used to guarantee
            jaminan pelaksanaan komitmen kerja pasti wilayah                      the implementation of definite work commitments for
            kerja Jabung khusus kepada Pemerintah dengan                          the special Jabung work area to the Government
            plafon sebesar AS$968.000 dan jatuh tempo pada                        with a limit of US$968,000 and due on February 28,
            tanggal 28 Februari 2028.                                             2028.

          Pinjaman ini dijamin dengan jaminan fidusia atas                      This loan is secured by a fiduciary transfer over trade
          piutang usaha milik RETJ (lihat catatan 5) nilai                      receivables owned by RETJ (see note 5) with a sum
          pertanggungan sebesar Rp402.672.000.000, hak                          insured amounting of Rp402,672,000,000, mortgages
          tanggungan atas bangunan gedung kantor di Thamrin                     right over office buildings in the Thamrin Residence
          Residence Blok 01A-06A dan di Patal Senayan atas                      Block 01A-06A and at Patal Senayan on behalf of PT
          nama PT Rukun Raharja Tbk ("Perusahaan") dengan                       Rukun Raharja Tbk ("the Company") with fair value of
          senilai Rp146.795.000.000 (lihat catatan 12), jaminan                 Rp146,795,000,000 (see note 12), guarantee of bank
          rekening bank milik Perusahaan (lihat catatan 4), TIP,                accounts on behalf of the Company (see note 4), TIP,
          HEMA, RATU, dan RETJ, jaminan perusahaan dan                          HEMA, RATU and RETJ, corporate guarantees and
          cash deficit atas nama Perusahaan.                                    cash deficit from the Company.

          Berdasarkan        persyaratan-persyaratan     dalam                  Based on the terms of the loan agreement, RETJ as
          perjanjian pinjaman, RETJ yang menjadi debitur                        the debtor is required to obtain prior written approval
          diharuskan untuk memperoleh persetujuan tertulis                      from the creditor bank in connection with transactions
          sebelumnya dari bank kreditur sehubungan dengan                       including carrying out any form of restructuring,
          transaksi-transaksi diantaranya melakukan segala                      dividend       distribution,     liquidation,   changing
          bentuk restrukturisasi, pembagian dividen, melakukan                  management, changing ultimate shareholders,
          likuidasi, melakukan perubahan pengurus, mengubah                     transferring part or all of the PI portion, transferring
          ultimate shareholder , mengalihkan sebagian atau                      collateral other than receivables, obtaining new credit
          seluruh porsi PI, memindahtangankan barang agunan                     or loan facilities, providing loans to shareholders
          selain piutang, memperoleh fasilitas kredit atau                      except in normal business transactions, and taking
          pinjaman baru, memberikan pinjaman kepada                             part in capital for interests outside the business.
          pemegang saham kecuali dalam transaksi usaha
          yang wajar, dan mengambil bagian modal untuk
          kepentingan di luar usaha.

          RETJ juga diharuskan untuk mempertahankan rasio-                      RETJ is also required to maintain certain financial
          rasio keuangan tertentu diantaranya Debt Service                      ratios including Debt Service Coverage Ratio
          Coverage Ratio minimal 110%, Debt Equity Ratio                        minimum 110%, Debt Equity Ratio maximum 300%
          maksimal 300% dan menjaga ekuitas minimum                             and maintain minimum equity of US$4,000,000.
          AS$4.000.000.

          Pada tanggal 31 Desember 2025 dan 2024, RETJ                          As at December 31, 2025 and 2024, RETJ has
          telah memenuhi batasan yang diwajibkan atau                           complied with the required covenant or obtained
          memperoleh waiver yang diperlukan.                                    waiver as required.




                                                                   75
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                       PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                         NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                      As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                        for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                (Expressed in full US Dollar amount, unless otherwise stated)


23. PINJAMAN BANK (Lanjutan)                                            23. BANK LOANS (Continued)

   b. Pinjaman bank jangka panjang (Lanjutan)                              b. Long-term bank loans (Continued)

      PT Bank Mandiri (Persero) Tbk ("Mandiri") (Lanjutan)                   PT Bank Mandiri (Persero) Tbk ("Mandiri") (Continued)

      -   Entitas anak - RETJ (Lanjutan)                                     - Subsidiaries - RETJ (Continued)

          RETJ telah memperoleh waiver dari PT Bank Mandiri                     RETJ has obtained a waiver from PT Bank Mandiri
          (Persero) Tbk No. CMB.CM6/ONG.374/SPPK/2024                           (Persero) Tbk No. CMB.CM6/ONG.374/SPPK/2024
          tanggal 18 September 2024 terkait covenant                            dated September 18, 2024 related to dividend
          pembatasan pembagian dividen.                                         distribution restriction covenant.

          Pada tanggal 16 Oktober 2024, RETJ menerima                           On October 16, 2024, RETJ received approval from
          persetujuan dari PT Bank Mandiri (Persero) Tbk                        PT Bank Mandiri (Persero) Tbk regarding the
          terkait   penghapusan  ketentuan   pembatasan                         elimination of the provisions on dividend distribution
          pembagian dividen.                                                    restrictions.

          Saldo fasilitas pinjaman sebelum dikurangi biaya                      The outstanding balance of the loan facility before
          transaksi pada 31 Desember 2025 adalah sebesar                        deducting transaction costs as at December 31, 2025
          AS$13.083.279 termasuk sebesar AS$5.382.000                           was amounted to US$13,083,279, including
          akan jatuh tempo dalam satu tahun (2024: saldo                        US$5,382,000 due within one year (2024: the balance
          sebelum dikurangi biaya transaksi adalah sebesar                      before deducting transaction costs was amounted to
          AS$19.858.000, termasuk sebesar AS$6.294.000                          US$19,858,000, including US$6,294,000 due within
          akan jatuh tempo dalam satu tahun).                                   one year).

      -   Entitas anak - EHK                                                 - Subsidiaries - EHK

          Pada tanggal 29 Mei 2024, EHK memperoleh fasilitas                    On May 29, 2024, EHK obtained a nonrevolving Term
          Pinjaman Berjangka ("PB") yang bersifat non-                          Loan ("TL") facility from Mandiri with the total limit
          revolving dari Mandiri dengan jumlah plafon sebesar                   amounting to US$17,490,000.
          AS$17.490.000.

          Selanjutnya, pada tanggal 25 Mei 2025, EHK                            Furthermore, on May 25, 2025, the EHK obtained an
          memperoleh perpanjangan perjanjian atas fasilitas                     extension of the loan facility with the total limit credit
          dengan jumlah limit kredit sebesar AS$16.945.000,                     amounting to US$16,945,000, effective from June 4,
          sejak tanggal 4 Juni 2024 sampai dengan 3 Juli 2029,                  2024 to July 3, 2029, the facilities are consist of:
          fasilitas tersebut terdiri dari:
          - Fasilitas Tranche A digunakan untuk melunasi                        - Tranche A facility was used to payment HSBC
            pinjaman HSBC dan dengan plafon AS$13.520.000.                        Loans and with the limit amounting to
            Fasilitas ini memiliki 60 (enam puluh) kali                           US$13,520,000. The facility has 60 (sixty) times
            pembayaran kembali dan dikenakan bunga per                            repayments and bearing interest per annum at
            tahun sebesar 7,50% dan dapat berubah sewaktu                         7.50% and can be change at any time according to
            waktu sesuai ketentuan yang berlaku di Mandiri.                       the applicable regulation in Mandiri.
          - Fasilitas Tranche B digunakan untuk pembiayaan                      - Tranche B facility was used to finance cashflow gap
            cashflow gap dalam rangka belanja barang modal                        to purchase EHK's capital expenditure and with the
            (capital expenditure ) EHK dan dengan plafon                          limit amounting to US$1,000,000. The facility has
            AS$1.000.000. Fasilitas ini memiliki 49 (empat puluh                  49 (fourty nine) times repayments and bearing
            sembilan) kali pembayaran kembali dan dikenakan                       interest per annum at 7.50% and can be change at
            bunga per tahun sebesar 7,50% dan dapat berubah                       any time according to the applicable regulation in
            sewaktu waktu sesuai ketentuan yang berlaku di                        Mandiri.
            Mandiri.
          - Fasilitas Tranche C digunakan untuk pembiayaan                      - Tranche C facility was used to finance cashflow gap
            cashflow gap dalam rangka pemberian piutang                           to provide to receivable to MUI dan APE and with
            kepada MUI dan APE dan dengan plafon                                  the limit amounting to US$2,425,000. The facility
            AS$2.425.000. Fasilitas ini memiliki 55 (lima puluh                   has a 55 (fifty five) times repayments and bearing
            lima) kali pembayaran kembali dan dikenakan bunga                     interest per annum at 7.50% and can be change at
            per tahun sebesar 7,50% dan dapat berubah                             any time according to the applicable regulation in
            sewaktu waktu sesuai ketentuan yang berlaku di                        Mandiri.
            Mandiri.




                                                                   76
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                       PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                         NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                      As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                        for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                (Expressed in full US Dollar amount, unless otherwise stated)


23. PINJAMAN BANK (Lanjutan)                                            23. BANK LOANS (Continued)

   b. Pinjaman bank jangka panjang (Lanjutan)                              b. Long-term bank loans (Continued)

      PT Bank Mandiri (Persero) Tbk ("Mandiri") (Lanjutan)                   PT Bank Mandiri (Persero) Tbk ("Mandiri") (Continued)

      -   Entitas anak - EHK (Lanjutan)                                      - Subsidiaries - EHK (Continued)

          Pada 31 Desember 2025 dan 2024, sebagai jaminan                       As at December 31, 2025 and 2024, as collateral for
          atas fasilitas pinjaman PB tersebut, Mandiri memiliki                 the PB loan facility, Mandiri holds a security rights
          hak jaminan atas seluruh agunan sebagai berikut:                      over all pledged assets as follows:
          - Hak tanggungan atas aset tetap berupa tanah dan                     - Mortage over fixed assets in the form of land and
            bangunan milik EHK, APE dan Majuko senilai                            buildings owned by EHK, APE, and Majuko valued
            Rp76.023.540.000 (lihat catatan 12);                                  at Rp76,023,540,000 (see note 12);
          - Jaminan fidusia atas aset tetap berupa mesin,                       - Fiduciary transfers of ownership over fixed assets
            peralatan, pipa gas, bangunan dan peralatan                           in the form of machinery, equipment, gas pipelines
            pendukungnya milik EHK, APE dan Majuko senilai                        and other support equipment owned by EHK, APE
            Rp803.073.790.000 (lihat catatan 12);                                 and Majuko valued at Rp803,073,790,000 (note
                                                                                  12);
          - Gadai atas seluruh rekening di Mandiri atas nama                    - Pledge of all accounts in Mandiri on behalf of EHK,
            EHK, APE dan MUI (lihat catatan 4).                                   APE and MUI (see note 4).
          - Jaminan fidusia atas piutang (lihat catatan 5) milik                - Fiduciary transfers of ownership over receivable
            EHK, APE dan MUI.                                                     (see note 5) owned by EHK, APE and MUI.
          - Jaminan fidusia atas piutang usaha (lihat catatan 5)                - Fiduciary transfers of ownership over trade
            milik EHK dengan nilai penjaminan sebesar                             receivable (see note 5) owned by EHK with
            AS$36.000.000.                                                        collateral amount amounting to US$36,000,000.

          Hingga seluruh kewajiban EHK atas fasilitas ini telah                 Until EHK has fulfilled all of its obligations, EHK
          dipenuhi seluruhnya, EHK menyanggupi untuk                            agrees to ensure its financial ratio is maintained at:
          memastikan rasio keuangannya pada:
          - Rasio Utang terhadap ekuitas maksimal 200%;                         - The Debt to Equity Ratio at a maximum 200%;
          - Rasio Kecukupan Membayar Hutang pada minimal                        - The Debt Service Coverage Ratio at a minimum
            120%;                                                                 120%;
          - Memiliki ekuitas yang positif.                                      - Have a positive equity.

          Pada tanggal 31 Desember 2025 dan 2024, EHK                           As at December 31, 2025 and 2024, EHK has
          telah  memenuhi    semua   persyaratan  rasio                         complied with the required its financial ratio.
          keuangannya.

          Saldo fasilitas pinjaman tersebut pada 31 Desember                    The outstanding balance of the loan facility as at
          2025 sebelum dikurangi biaya transaksi adalah                         December 31, 2025 is before deducted by
          sebesar      AS$10.415.574,     termasuk    sebesar                   unamortized    borrowing    costs   amounting    to
          AS$3.449.750 akan jatuh tempo dalam satu tahun                        US$10,415,574, include US$3,449,750 will mature
          (2024: saldo sebelum dikurangi biaya transaksi                        within one year (2024: the balance before deducting
          adalah sebesar AS$11.869.413, termasuk sebesar                        transaction costs was amounted to US$11,869,413,
          AS$3.058.250 akan jatuh tempo dalam satu tahun).                      including US$3,058,250 due within one year).




                                                                   77
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                       PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                         NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                      As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                        for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                (Expressed in full US Dollar amount, unless otherwise stated)


23. PINJAMAN BANK (Lanjutan)                                            23. BANK LOANS (Continued)

   b. Pinjaman bank jangka panjang (Lanjutan)                              b. Long-term bank loans (Continued)

      PT Bank Mandiri (Persero) Tbk ("Mandiri") (Lanjutan)                   PT Bank Mandiri (Persero) Tbk ("Mandiri") (Continued)

      -   Entitas anak - TIP                                                 - Subsidiaries - TIP

          Pada tanggal 9 Oktober 2024, TIP memperoleh                           On October 9, 2024, TIP obtained a loan facility from
          fasilitas pinjaman dari PT Bank Mandiri (Persero)                     PT Bank Mandiri (Persero) Tbk, consisting of
          Tbk, berupa Kredit Investasi, LC Import , Kredit                      Investment Credit, Import LC, IDC Investment Credit,
          Investasi IDC, dan Bank Garansi. Plafon pinjaman ini                  and Bank Guarantee. The loan limit amounts to
          adalah sebesar AS$19.800.000 untuk Kredit                             US$19,800,000 for Investment Credit, US$13,000,000
          Investasi, AS$13.000.000 untuk LC Import ,                            for Import LC, US$800,000 for IDC Investment Credit
          AS$800.000 untuk Kredit Investasi IDC dan                             and Rp36,000,000,000 for Bank Guarantee. The loan
          Rp36.000.000.000 untuk Bank Garansi. Jangka waktu                     tenure is 5 years and 2 months, ending on December
          pinjaman yaitu selama 5 tahun 2 bulan yang berakhir                   31, 2029, with a grace period of 15 months from the
          pada 31 Desember 2029 dengan grace period                             credit signing date and an interest rate of 7.50% per
          selama 15 bulan sejak tanggal penandatanganan                         annum. This loan facility is intended to finance the
          kredit dan dikenakan bunga sebesar 7,50% per                          construction of compressor facilities for the booster
          tahun. Fasilitas pinjaman tersebut digunakan untuk                    compression plant leasing project.
          pembiayaan pembangunan fasilitas kompresor atas
          proyek penyedia sewa booster compression plant .

          Pinjaman ini dijamin dengan jaminan fidusia atas aset                 The loan is secured by fiduciary collateral over TIP's
          TIP     berupa    piutang    usaha    dengan     nilai                assets, including accounts receivable with a coverage
          pertanggungan        sebesar     Rp300.000.000.000,                   value of Rp300,000,000,000, inventory with a
          persediaan dengan nilai pertanggungan sebesar                         coverage value of Rp460,000,000,000, machinery
          Rp460.000.000.000, mesin dan peralatan yang                           and equipment located in Serang, Banten, with a
          berlokasi di Serang,         Banten dengan nilai                      coverage     value   of   Rp107,867,000,000,      gas
          pertanggungan        sebesar     Rp107.867.000.000,                   transmission pipelines located in Gresik with a
          transmisi pipa gas yang berlokasi di Gresik dengan                    coverage     value   of   Rp243,695,000,000,      gas
          nilai pertanggungan sebesar Rp243.695.000.000, gas                    compression booster plant machinery and equipment
          compression booster plant machinery and equipment                     located in Sengkang with a coverage value of
          yang berlokasi di Sengkang dengan nilai                               US$30,411,647, land mortgage rights over shop
          pertanggungan      sebesar    AS$30.411.647,      hak                 buildings at Thamrin Residences Block RA No. 01A -
          tanggungan atas bangunan ruko di Thamrin                              06A under the name of the Company with a coverage
          Residences Blok RA No. 01A - 06A atas nama                            value of Rp75,000,000,000, mortgage rights over an
          Perusahaan dengan nilai pertanggungan sebesar                         office in Patal Senayan under the name of the
          Rp75.000.000.000, hak tanggungan atas kantor di                       Company        with   a     coverage      value     of
          Patal Senayan atas nama Perusahaan dengan nilai                       Rp43,296,000,000, and mortgage rights over shop
          pertanggungan sebesar Rp43.296.000.000 dan hak                        buildings at Thamrin Residences Block RA No. 07B -
          tanggungan atas bangunan ruko di Thamrin                              08B under the name of the Company with a coverage
          Residences Blok RA No. 07B - 08B atas nama                            value of Rp28,440,000,000.
          Perusahaan dengan nilai pertanggungan sebesar
          Rp28.440.000.000.


          Pada tanggal 31 Desember 2025, TIP telah                              As at December 31, 2025, TIP has complied with the
          memenuhi semua persyaratan terkait sebagaimana                        required relevant covenants stated in the agreement.
          diharuskan dalam perjanjian.

          Saldo fasilitas pinjaman sebelum dikurangi biaya                      The outstanding balance of the loan facility before
          transaksi pada 31 Desember 2025 adalah sebesar                        deducting transaction costs as at December 31, 2025
          AS$19.824.805 termasuk sebesar AS$4.956.202                           was amounted to US$19,824,805, including
          akan jatuh tempo dalam satu tahun (2024:                              US$4,956,202 due within one year (2024:
          AS$2.479.419 yang seluruhnya akan jatuh tempo                         US$2,479,419 that will mature within more than one
          dalam lebih dari satu tahun).                                         year).




                                                                   78
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                    PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                      NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                             STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                   As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                     for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)             (Expressed in full US Dollar amount, unless otherwise stated)


24. PINJAMAN PEMBIAYAAN KONSUMEN                                     24. CONSUMER FINANCING LOANS

                                                       2025              2024

   Pihak ketiga                                                                                                       Third parties
    PT Mandiri Tunas Finance                             714.342           518.152                     PT Mandiri Tunas Finance
    PT BFI Finance Indonesia                             360.035           451.713                      PT BFI Finance Indonesia
    PT Mitsui Leasing Capital Indonesia                  249.644           388.471            PT Mitsui Leasing Capital Indonesia
    PT BRI Multifinance Indonesia                         71.722           178.278                PT BRI Multifinance Indonesia
    PT Toyota Astra Financial Services                    49.836           207.258            PT Toyota Astra Financial Services
    Lain-lain (masing-masing di bawah                                                                         Others (each below
      AS$50.000)                                         379.884           172.086                                  US$50,000)

       Jumlah                                          1.825.463         1.915.958                                          Total
   Dikurangi jumlah bagian jangka pendek                 868.412           697.055                 Deducted by total current portion

   Jumlah bagian jangka panjang                          957.051         1.218.903                            Total long-term portion

   Pinjaman pembiayaan konsumen merupakan utang                        Consumer financing loans represent payable on purchases
   pembelian kendaraan dengan jangka waktu 2 (dua) sampai              of vehicles with the periods for 2 (two) to 5 (five) years and
   dengan 5 (lima) tahun dan dikenakan suku bunga efektif              bear effective interest rates ranging from 3.00% - 17.61%
   berkisar antara 3,00% - 17,61% (2024: 3,00% - 17,20%) per           (2024: 3.00% - 17.20%) per annum. These loans is secured
   tahun. Pinjaman ini dijaminkan secara fidusia dengan aset           by fiduciary transfer of related vehicle (see note 12).
   terkait (lihat catatan 12).

25. LIABILITAS PEMBONGKARAN ASET                                     25. ASSET DISMANTLING OBLIGATION

   Candangan liabilitas pembongkaran aset merupakan provisi            Provision for dismantling obligation represents the provision
   yang dibuat oleh Grup untuk memenuhi syarat perjanjian              set up by the Group to comply with the Rokan Pipeline
   Proyek Pipa Rokan (lihat catatan 1d). Berdasarkan                   Project agreements (see note 1d). Based on the
   perjanjian tersebut, kedua pihak sepakat untuk menerapkan           agreement, both parties agreed to implement provisions
   provisi terkait kegiatan pasca operasi yang termasuk namun          related to post-operation activities including but not limited
   tidak terbatas pada pembongkaran pipa Rokan secara                  to the permanent dismantling of the Rokan crude pipeline,
   permanen, penghentian pengoperasian dan menghilangkan               cessation of operations, and removal of the capabilities of
   kemampuan fasilitas-fasilitas terkait pipa Rokan lainnya,           other related Rokan crude pipeline facilities, as well as
   serta melakukan pemulihan lingkungan pipa Rokan.                    environmental restoration of the Rokan pipeline.

   Perusahaan dan Pertagas juga menyepakati untuk mencatat             The Company and Pertagas also agreed to record the
   liabilitas pembongkaran aset dan restorasi area dari aset           liabilities of asset dismantling and area restoration from this
   tersebut sesuai dengan bagian partisipasi para pihak.               asset according to the respective parties' participation
                                                                       portion.

   Provisi ini merupakan kewajiban Perusahaan untuk                    These provisions constitute the obligations of Company for
   pembongkaran aset pipa Rokan yang akan terjadi di masa              the dismantling of Rokan pipeline asset that will occur in the
   yang akan datang pada saat perjanjian pipa Rokan selesai.           future when the Rokan crude pipeline agreement is
   Provisi diakui sebesar nilai kini atas beban pembongkaran           completed. The provisions are recognized at present value
   yang akan terjadi di masa depan. Amortisasi diskonto yang           for future dismantling expenses. Discounted amortization,
   merupakan dampak dari nilai waktu uang atas kewajiban               which is the impact of the time value of money on the asset
   pembongkaran aset ini diakui sebagai beban akresi.                  dismantling obligations, is recognized as an accretion
                                                                       expense.

   Rincian liabilitas pembongkaran aset yang disajikan dalam           The details of asset dismantling obligations expressed in
   nilai mata uang Dolar AS penuh adalah sebagai berikut:              full US Dollar currency amount are as follows:

                                                       2025              2024

   Saldo awal                                          8.514.079         8.360.858                                Beginning balance
   Penambahan                                          4.742.671               -                                             Addition
   Akresi bunga (lihat catatan 37)                       708.445           564.385                   Interest accretion (see note 37)
   Revaluasi mata uang                                   166.797          (411.164)                             Currency revaluation

      Jumlah                                          14.131.992         8.514.079                                           Total



                                                                79
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                     PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                       NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                              STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                    As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                      for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)              (Expressed in full US Dollar amount, unless otherwise stated)


25. LIABILITAS PEMBONGKARAN ASET (Lanjutan)                           25. ASSET DISMANTLING OBLIGATION (Continued)

   Rincian liabilitas pembongkaran aset yang disajikan dalam             The details of asset dismantling obligations expressed in
   nilai mata uang Rupiah penuh adalah sebagai berikut:                  full Rupiah currency amount are as follows:

                                                      2025                  2024
                                                       Rp                    Rp

   Saldo awal                                    137.604.545.632       128.890.998.565                             Beginning balance
   Penambahan                                     87.733.172.500                   -                                          Addition
   Akresi bunga                                   11.825.368.029         8.713.547.067                              Interest accretion

      Jumlah                                     237.163.086.161       137.604.545.632                                         Total

   Asumsi utama yang digunakan dalam perhitungan liabilitas              The key assumptions used in the calculation of the asset
   pembongkaran aset adalah sebagai berikut:                             dismantling obligations are as follows:

                                                        2025              2024

    Tingkat inflasi                                     2,52%             1,49%                                         Inflation rate
    Tingkat diskonto                                    5,19%             6,76%                                        Discount rate

   Pencadangan liabilitas pembongkaran aset terkait Proyek               Provision for asset dismantling obligation related to Rokan
   Pipa Rokan sebesar AS$12.562.427 (2024: AS$7.819.756)                 Pipeline Project amounting to US$12,562,427 (2024:
   telah dikapitalisasi sebagai aset tetap (lihat catatan 12).           US$7,819,756) was capitalized as fixed assets (see note
                                                                         12).

   Estimasi terkini untuk kewajiban pembongkaran aset dan                The current estimate for asset dismantling liabilities and
   restorasi area dilakukan oleh pihak Pertagas. Manajemen               area restoration is made by Pertagas. Management
   berkeyakinan bahwa akumulasi penyisihan telah cukup                   believes that the accumulated provisions are sufficient to
   untuk menutup semua liabilitas yang timbul dari kegiatan              cover all liabilities arising from area restoration activities
   restorasi area dan pembongkaran aset.                                 and asset dismantling.

26. LIABILITAS IMBALAN PASCA-KERJA                                    26. POST-EMPLOYMENT BENEFITS LIABILITIES

   Grup mengalihkan dana untuk program pensiun                           The Group transferred funds for its employee pension
   karyawannya pada Dana Pensiun Lembaga Keuangan                        program to the Financial Institution Pension Fund ("DPLK")
   ("DPLK") Manulife Indonesia berdasarkan perjanjian                    of Manulife Indonesia based on an agreement dated
   tertanggal 13 Oktober 2017 dan 26 Februari 2018, pada                 October 13, 2017 and February 26, 2018, to DPLK of PT
   DPLK PT Bank Mandiri (Persero) Tbk (lalu dialihkan ke                 Bank Mandiri (Persero) Tbk (then transferred to DPLK of
   DPLK PT Axa Mandiri Financial Service) dan pada DPLK                  PT Axa Mandiri Financial Service), and to DPLK of
   Asuransi Jiwa Tugu Mandiri berdasarkan perjanjian                     Asuransi Jiwa Tugu Mandiri based on an agreement dated
   tertanggal 1 Juli 2022, dimana Grup setuju untuk menunjuk             July 1, 2022, in which the Group agreed to appoint DPLK
   DPLK sebagai pengelola program pensiun bagi karyawan                  as the manager of the pension program for the Group's
   Grup sesuai dengan peraturan dana pensiun.                            employees in accordance with the pension fund regulations.

   Grup juga membukukan imbalan pasca-kerja imbalan pasti                The Group also provides post-employment benefits for its
   untuk karyawan sesuai dengan peraturan yang berlaku.                  qualified employees in accordance with the prevailing law.
   Jumlah karyawan yang berhak atas imbalan pasca kerja                  The number of employees entitled to the benefits as at
   pada tanggal 31 Desember 2025 dan 2024 adalah 236 dan                 December 31, 2025 and 2024 are 236 and 210 employees.
   210 karyawan.




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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                      PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                        NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                               STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                     As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                       for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)               (Expressed in full US Dollar amount, unless otherwise stated)


26. LIABILITAS IMBALAN PASCA-KERJA (Lanjutan)                          26. POST-EMPLOYMENT            BENEFITS           LIABILITIES
                                                                           (Continued)

   Jumlah liabilitas imbalan pasca kerja yang diakui di laporan          Post-employment benefits liabilities recognised in the
   posisi keuangan konsolidasian pada tanggal 31 Desember                consolidated statements of financial position as at
   2025 dan 2024 adalah sebagai berikut:                                 December 31, 2025 and 2024 are as follows:


                                                         2025              2024

   Nilai kini dari kewajiban yang didanai                1.146.835           862.201                Present value of funded liabilities
   Nilai wajar dari aset program                          (459.386)         (676.036)                       Fair value of plan assets
   Dampak batas atas aset program                              -              83.109                  The effect of plan asset ceiling

   Defisit program yang didanai                            687.449           269.274                      Deficit of the funded plans
   Nilai kini kewajiban yang tidak didanai                     -             246.008             Present value of unfunded liabilities

   Liabilitas - bersih                                     687.449           515.282                                    Liabilities - net

   Beban/(pendapatan) imbalan pasca-kerja yang diakui di                 Post-employments benefit expenses/(income) recognized in
   laporan laba rugi dan penghasilan komprehensif lain                   the consolidated statement of profit or loss and other
   konsolidasian adalah:                                                 comprehensive income are:

                                                         2025              2024

   Laporan laba rugi konsolidasian                                                                         Consolidated profit or loss
    Biaya jasa kini                                        158.507           139.467                             Current service cost
    Biaya jasa lalu                                            691               792                                Past service cost
    Biaya bunga atas liabilitas                             63.604            61.799                             Interest on liabilities
    Pendapatan bunga atas aset program                     (46.474)          (39.165)                 Interest income on plan asset

      Jumlah                                               176.328           162.893                                            Total

   Kerugian/(pendapatan) komprehensif lain                                                       Other comprehensive loss/(income)
    Rugi/(laba) aktuarial dari:                                                                         Actuarial losses/(gains) of:
     Perubahan asumsi keuangan                              58.543            (9.181)            Changes in financial assumption
     Penyesuaian pengalaman                                181.412            24.326                     Experience adjustments
     Aset program                                           15.239             5.002                                  Plan assets

       Jumlah                                              255.194            20.147                                          Total

   Beban/(pendapatan) imbalan pasca-kerja dialokasikan pada:             Post-employments benefit expenses/(income) are alocated
                                                                         to:

                                                         2025              2024


   Beban pokok pendapatan                                   34.642            36.449                                Cost of revenue
   Beban umum dan administrasi                                                                  General and administrative expenses
    (lihat catatan 34)                                     141.686           126.444                                 (see note 34)

    Jumlah                                                 176.328           162.893                                             Total




                                                                  81
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                      PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                        NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                               STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                     As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                       for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)               (Expressed in full US Dollar amount, unless otherwise stated)


26. LIABILITAS IMBALAN PASCA-KERJA (Lanjutan)                         26. POST-EMPLOYMENT               BENEFITS           LIABILITIES
                                                                          (Continued)

   Mutasi liabilitas bersih imbalan kerja karyawan Grup adalah            The movement in the Group’s net post-employment benefits
   sebagai berikut:                                                       liabilities is as follows:

                                                        2025               2024

   Liabilitas pada awal tahun                              515.282            432.848              Liabilities at beginning of the year
   Laba rugi konsolidasian                                 176.328            162.893                       Consolidated profit or loss
   Kerugian komprehensif lain konsolidasian                255.194             20.147         Consolidated other comprehensive loss
   Pembayaran iuran                                       (159.357)          (115.394)                                Contribution paid
   Pembayaran manfaat                                          -              (49.249)                                    Benefits paid
   Perubahan selisih kurs                                  (16.889)           (19.072)                  Foreign exchange difference

   Liabilitas akhir tahun                                  770.558            432.173                   Liabilities at ending of the year
   Dampak batas atas aset program                          (83.109)            83.109                   The effect of plan asset ceiling

   Liabilitas bersih pada akhir tahun                      687.449            515.282               Net liabilities at ending of the year

   Analisis sensitivitas terhadap perubahan asumsi aktuaria               The sensitivity analysis of changes in significant actuarial
   signifikan pada tanggal 31 Desember 2025 dan 2024 adalah               assumptions as at December 31, 2025 and 2024 are as
   sebagai berikut:                                                       follows:

                                                            Nilai kini liabilitas/
                                                        Present value of liabilities
                                                        2025                  2024
   Perubahan asumsi                                                                                            Changes in assumptions

    Kenaikan tingkat diskonto 1%                           696.884            793.724                  Discount rate increase by 1%
    Penurunan tingkat diskonto 1%                          873.278            964.801                 Discount rate decrease by 1%
    Kenaikan pertumbuhan gaji 1%                           873.171            964.700                 Salary growth increase by 1%
    Penurunan pertumbuhan gaji 1%                          681.310            792.560                 Salary growth decrease by 1%

   Perhitungan imbalan pasca-kerja dihitung oleh aktuaris                 The cost of providing post-employment benefits is
   independent Yusi dan Rekan. Asumsi utama yang                          calculated by independent actuary, Yusi and Rekan. The
   digunakan dalam menentukan penilaian aktuaris tanggal 31               actuarial valuation as at December 31, 2025 and 2024 was
   Desember 2025 dan 2024 adalah sebagai berikut:                         carried out using the following key assumptions:


                                                        2025               2024

   Tingkat diskonto                                 4,81% - 7,06% 6,88% - 7,13%                                           Discount rate
   Tingkat kenaikan gaji                            3,00% - 5,00% 3,00% - 5,00%                                   Salary increment rate
   Usia pensiun normal                                      56 tahun/years                                       Normal retirement age
   Tingkat kematian                                           TMI *) 2019                                                  Mortality rate
   Tingkat cacat                                          10% dari/of TMI *)                                              Disability rate

      *) = Tabel mortalita Indonesia                                         *) = Indonesian mortality table

27. LIABILITAS     IMBALAN       PENSIUN      DIREKSI     DAN         27. PENSION BENEFIT OBLIGATION FOR DIRECTORS AND
    KOMISARIS                                                             COMMISSIONERS

   Grup mencatat cadangan pensiun per 31 Desember 2025                    The Group records provision for post-retirement benefits as
   dan 2024 untuk Dewan Direksi dan Komisaris. Perhitungan                at December 31, 2025 and 2024 for the Board of Directors
   atas cadangan pensiun tersebut telah sesuai dengan                     and Commissioners. The calculation of provision for post-
   kebijakan Grup tertanggal 29 Mei 2017.                                 retirement benefits is according with with the Group policy
                                                                          dated May 29, 2017.




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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                      PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                        NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                               STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                     As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                       for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)               (Expressed in full US Dollar amount, unless otherwise stated)


27. LIABILITAS  IMBALAN            PENSIUN   DIREKSI      DAN          27. PENSION BENEFIT OBLIGATION FOR DIRECTORS AND
    KOMISARIS (Lanjutan)                                                   COMMISSIONERS (Continued)

   Jumlah liabilitas imbalan pensiun direksi dan komisaris yang          Pension benefit obligation for directors and commisioners
   diakui di laporan posisi keuangan konsolidasian pada                  recognised in the consolidated statements of financial
   tanggal 31 Desember 2025 dan 2024 adalah sebagai                      position as at December 31, 2025 and 2024 are as follows:
   berikut:

   Grup mengalihkan dana untuk program pensiun karyawan                  The Group transferred funds for its employees and directors
   dan direksinya pada Dana Pensiun Lembaga Keuangan                     pension program to the Financial Institution Pension Fund
   ("DPLK") Manulife Indonesia berdasarkan perjanjian                    ("DPLK") of Manulife Indonesia based on an agreement
   tertanggal 13 Oktober 2017 dan 26 Februari 2018, dan pada             dated October 13, 2017 and February 26, 2018, and to
   DPLK PT Bank Mandiri (Persero) Tbk (lalu dialihkan ke                 DPLK of PT Bank Mandiri (Persero) Tbk (then transferred
   DPLK PT Axa Mandiri Financial Service), dimana Grup                   to DPLK of PT Axa Mandiri Financial Service), in which the
   setuju untuk menunjuk DPLK sebagai pengelola program                  Group agreed to appoint DPLK as the manager of the
   pensiun bagi karyawan dan direksi Grup sesuai dengan                  pension program for the Group's employees and directors in
   peraturan dana pensiun.                                               accordance with the pension fund regulations.


                                                         2025              2024

   Nilai kini dari kewajiban yang didanai                2.298.474         1.691.763               Present value of funded obligation
   Nilai wajar dari aset program                          (516.199)         (525.931)                       Fair value of plan assets

   Defisit program yang didanai                          1.782.275         1.165.832                       Deficit of the funded plans
   Nilai kini kewajiban yang tidak didanai                     -             251.328             Present value of unfunded obligation

   Liabilitas - bersih                                   1.782.275         1.417.160                                     Liabilities - net

   Mutasi liabilitas bersih di laporan       posisi   keuangan           Movements in the net liability recognized in the
   konsolidasian adalah sebagai berikut:                                 consolidated statements of financial position are as follows:

                                                         2025              2024

   Pada awal tahun                                                                                        At the beginning of the year
    Liabilitas pensiun                                   1.417.160         1.049.219                     Pension benefits obligation
    Dampak batas atas aset program                          (1.269)           (7.411)                 The effect of plan asset ceiling
      Jumlah liabilitas bersih                                                                  Total net liabilities at the beginning
       awal tahun                                        1.415.891         1.041.808                                       of the year

   Laba rugi konsolidasian:                                                                                Consolidated profit or loss:
    Beban umum dan administrasi                                                                General and administrative expenses
       (lihat catatan 34)                                  671.079           606.952                                  (see note 34)
    Pendapatan lain-lain                                       -             (33.994)                                  Other income
   Rugi komprehensif lain konsolidasian                     68.858            (5.452)         Consolidated other comprehensive loss
   Pembayaran iuran dan penambahan                                                              Contribution payment and increase in
    aset program                                          (197.248)          (94.390)                                      plan asset
   Pembayaran manfaat                                     (275.020)          (54.234)           Benefit payments through plan asset
   Realisasi aset program                                  143.390               -                          Realization of plan assets
   Selisih kurs                                            (45.956)          (44.799)                              Foreign exchange

   Saldo akhir liabilitas bersih                         1.780.994         1.415.891                  Ending balance of net liabilities

   Dampak batas aset program (lihat catatan 16)             (1.281)            (1.269)   The effect of plan asset ceiling (see note 16)

   Liabilitas pensiun                                    1.782.275         1.417.160                                 Pension liabilities




                                                                  83
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                   PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                     NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                            STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                  As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                    for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)            (Expressed in full US Dollar amount, unless otherwise stated)


28. MODAL SAHAM                                                     28. SHARE CAPITAL

   Susunan pemegang saham pada tanggal 31 Desember 2025                The compositions of shareholders as at December 31, 2025
   dan 2024, adalah sebagai berikut:                                   and 2024 are as follows:

                                   Lembar         Persentase
                                   Saham/        Kepemilikan/                Jumlah/Total
                                  Number of      Percentage of          Rupiah/           Dolar AS/
   Pemegang saham                  Shares         Ownership             Rupiah          US Dollars                     Shareholders

   2025                                                                                                                   2025
    PT Sentosa Bersama Mitra     1.490.222.504       35,25%           37.255.562.600      3.865.433    PT Sentosa Bersama Mitra
    Tn. Hapsoro                  1.163.236.100       27,52%           29.080.902.500      3.017.275                 Mr. Hapsoro
    PT Basis Utama Prima           523.174.000       12,38%           13.079.350.000      1.357.042        PT Basis Utama Prima
    Masyarakat, masing-masing
     dengan kepemilikan                                                                                         Public, each with
     dibawah 5%                  1.050.449.896       24,85%           26.261.247.400      2.724.723         ownership below 5%

      Jumlah                     4.227.082.500      100,00%          105.677.062.500     10.964.473                         Total

   2024                                                                                                                   2024
    PT Sentosa Bersama Mitra     1.489.237.404       35,23%           37.230.935.100      3.862.878    PT Sentosa Bersama Mitra
    Tn. Hapsoro                  1.193.491.300       28,23%           29.837.282.500      3.095.753                 Mr. Hapsoro
    PT Basis Utama Prima           503.174.000       11,90%           12.579.350.000      1.305.164        PT Basis Utama Prima
    Masyarakat, masing-masing
    dengan kepemilikan                                                                                          Public, each with
     dibawah 5%                  1.041.179.796       24,64%           26.029.494.900      2.700.678         ownership below 5%

      Jumlah                     4.227.082.500      100,00%          105.677.062.500     10.964.473                         Total

   Pada tanggal 31 Desember 2025 dan 2024, 15% saham                   As at December 31, 2025 and 2024, 15% of the Company's
   Perusahaan milik PT Sentosa Bersama Mitra dijadikan                 shares owned by PT Sentosa Bersama Mitra were used as
   sebagai jaminan atas pinjaman dari Mandiri (lihat catatan           collateral for the loan from Mandiri (see note 23).
   23).

   Perubahan jumlah lembar saham beredar sejak tahun 2003              Changes in the number of shares outstanding from 2003 to
   hingga tanggal 31 Desember 2025 dan 2024 adalah sebagai             December 31, 2025 and 2024 are as follows:
   berikut:

   Lembar saham                                       2025              2024                                      Number of shares

   Jumlah per 1 Januari 2003                         170.000.000       170.000.000                      Total as at January 1, 2003
   Penawaran umum perdana tahun 2003                 120.000.000       120.000.000                     Initial public offering in 2003
   Pelaksanaan waran tahun 2004                          175.000           175.000                    Execution of warrants in 2004
   Penawaran umum terbatas I tahun 2006              362.718.750       362.718.750                              Right issue I in 2006
   Pelaksanaan waran tahun 2006                       26.620.000        26.620.000                    Execution of warrants in 2006
   Penawaran umum terbatas II tahun 2016             339.756.875       339.756.875                              Right issue II in 2016
   Pemecahan saham rasio 1 : 4 tahun 2017          3.057.811.875     3.057.811.875                     Stock split ratio 1 : 4 in 2017
   Penawaran umum terbatas III tahun 2018            150.000.000       150.000.000                             Right issue III in 2018

      Jumlah lembar saham                          4.227.082.500     4.227.082.500                        Total number of shares




                                                               84
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                      PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                        NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                               STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                     As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                       for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)               (Expressed in full US Dollar amount, unless otherwise stated)


29. CADANGAN UMUM DAN DIVIDEN TUNAI                                    29. GENERAL RESERVE AND CASH DIVIDENDS

   Perusahaan                                                            The Company

   Berdasarkan Keputusan Direksi di Luar Rapat Direksi                   Based on the Circular Resolution of the Board of Directors
   tanggal 29 Desember 2025, Direksi menyetujui pembagian                in Lieu of a Board of Directors’ Meeting dated December
   dividen     interim    tahun     buku     2025   sebesar              29, 2025, the Board of Directors approved the distribution of
   Rp105.677.062.500 (Rp25 per saham) atau setara dengan                 an interim dividend for the year 2025 amounting to
   AS$6.302.682. Per 31 Desember 2025, dividen tersebut                  Rp105,677,062,500 (Rp25 per share) or equivalent to
   dicatat sebagai "Utang dividen" sebesar AS$6.297.049 dan              US$6,302,682. As at December 31, 2025, the dividend was
   telah dibayar pada tanggal 26 Januari 2026.                           recorded as      "Dividends     payable"    amounting to
                                                                         US$6,297,049 and was paid on January 26, 2026.

   Berdasarkan Rapat Umum Pemegang Saham Tahunan                         Based on Annual General Meeting of Shareholders with
   yang diaktakan dengan akta notaris No. 32 tanggal 30 April            notary deed No. 32 dated April 30, 2025 of Notary Rini
   2025 dari Notaris Rini Yulianti, S.H., para pemegang saham            Yulianti, S.H., the shareholders approved to provide reserve
   penyetujui untuk penyisihan dana cadangan sebesar                     funds amounting to Rp100,000,000 or equivalent to
   Rp100.000.000 atau setara dengan AS$5.957 dan                         US$5,957 and distribute cash dividends amounting to
   membagikan dividen tunai sebesar Rp253.624.950.000                    Rp253,624,950,000 (Rp60 per share) or equivalent to
   (Rp60 per saham) atau setara dengan AS$15.021.615                     US$15,021,615 (US$0.00355 per share). This cash
   (AS$0,00355 per saham). Dividen tunai ini telah dibagikan             dividends has been distributed to the shareholders in the
   kepada para pemegang saham pada tahun 2025.                           year 2025.

   Berdasarkan Rapat Umum Pemegang Saham Tahunan                         Based on Annual General Meeting of Shareholders with
   yang diaktakan dengan akta notaris No. 122 tanggal 29 Mei             notary deed No. 122 dated May 29, 2024 of Notary Surjadi,
   2024 dari Notaris Surjadi, SH., MKn., para pemegang                   SH., MKn., the shareholders approved to provide reserve
   saham penyetujui untuk penyisihan dana cadangan sebesar               funds amounting to Rp100,000,000 or equivalent to
   Rp100.000.000 atau setara dengan AS$6.226 dan                         US$6,226 and distribute cash dividends amounting to
   membagikan dividen tunai sebesar Rp160.629.135.000                    Rp160,629,135,000 (Rp38 per share) or equivalent to
   (Rp38 per saham) atau setara dengan AS$10.000.000                     US$10,000,000 (US$0.00237 per share). This cash
   (AS$0,00237 per saham). Dividen tunai ini telah dibagikan             dividends has been distributed to the shareholders in the
   kepada para pemegang saham pada tahun 2024.                           year 2024.

   Entitas Anak                                                          Subsidiaries

   Berdasarkan akta notaris Rini Yulianti, S.H., No. 34 tanggal          Based on notarial deed of Rini Yulianti, S.H., No. 34 dated
   30 April 2025, para pemegang saham RATU, entitas anak,                April 30, 2025, the shareholders of RATU, a subsidiary,
   menyetujui untuk mengalokasikan sejumlah Rp100.000.000                approved to allocate amounting of Rp100,000,000
   (ekuivalen AS$5.923) untuk disisihkan sebagai pemenuhan               (equivalent to US$5,923) to be appropriated as reserve
   cadangan umum dan membagikan dividen tunai dari saldo                 fund and distribute cash dividends from retained earnings
   laba ditahan sebesar Rp108.602.152.000 (ekuivalen                     amounting     of    Rp18,602,152,000       (equivalent   to
   AS$6.432.253). Dividen tersebut telah dibayarkan kepada               US$6,432,253). The dividends was paid to shareholders on
   pemegang saham pada tanggal 2 dan 16 Juni 2025.                       June 2 and 16, 2025.

   Berdasarkan akta notaris Rini Yulianti, S.H., No. 18 tanggal          Based on notarial deed of Rini Yulianti, S.H., No. 18 dated
   20 September 2024 yang telah disahkan oleh Menteri                    September 20, 2024 was received by the Minister of Law
   Hukum dan Hak Asasi Manusia Republik Indonesia dalam                  and Human Rights of the Republic of Indonesia in
   Surat Keputusan No. AHU-AH.01.09.0254185 tanggal 20                   acceptance letter No. AHU-AH.01.09.0254185 dated
   September 2024, Para pemegang saham RATU, entitas                     September 20, 2024, the shareholders of RATU, a
   anak, menyetujui penetapan pengalokasian sebagian saldo               subsidiary, approved the determination of the allocation of a
   laba RATU untuk tahun tahun buku yang berakhir pada 31                portion of RATU's retained earnings for the year ended
   Desember 2023 sebesar Rp100.000.000 (setara dengan                    December 31, 2023 amounting to Rp100,000,000
   AS$6.542) untuk disisihkan sebagai pemenuhan dana                     (equivalent to US$6,542) to be appropriated as reserve
   cadangan.                                                             funds.




                                                                  85
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                      PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                        NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                               STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                     As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                       for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)               (Expressed in full US Dollar amount, unless otherwise stated)


29. CADANGAN UMUM DAN DIVIDEN TUNAI (Lanjutan)                         29. GENERAL RESERVE AND CASH DIVIDENDS (Continued)

   Entitas Anak (Lanjutan)                                                Subsidiaries (Continued)

   Berdasarkan akta notaris Rini Yulianti, S.H., No. 61 tanggal           Based on notarial deed of Rini Yulianti, S.H., No. 61 dated
   28 Mei 2025, para pemegang saham RETJ, entitas anak,                   May 28, 2025, the shareholders of RETJ, subsidiary,
   menyetujui untuk mengalokasikan sejumlah Rp100.000.000                 approved to allocate amounting of Rp100,000,000
   (ekuivalen AS$5.942) untuk disisihkan sebagai pemenuhan                (equivalent to US$5,942) to be appropriated as reserve
   cadangan umum dan membagikan dividen tunai dari saldo                  fund and distribute cash dividends from retained earnings
   laba ditahan sebesar AS$1.400.000. Dividen tersebut telah              amounting of US$1,400,000. The dividends was paid to
   dibayarkan kepada pemegang saham pada tanggal 23 Juni                  shareholders on June 23, 2025.
   2025.

   Berdasarkan akta notaris Rini Yulianti, S.H., No. 19 tanggal           Based on notarial deed of Rini Yulianti, S.H., No. 18 dated
   24 September 2024 yang telah disahkan oleh Menteri                     September 20, 2024 was received by the Minister of Law
   Hukum dan Hak Asasi Manusia Republik Indonesia dalam                   and Human Rights of the Republic of Indonesia in
   Surat Keputusan No. AHU-AH.01.03.0194874 tanggal 25                    acceptance letter No. AHU-AH.01.03.0194874 dated
   September 2024, Para pemegang saham RETJ, entitas                      September 25, 2024, the shareholders of RETJ, subsidiary,
   anak, menyetujui untuk         mengalokasikan sejumlah                 approved to allocate amounting of Rp100,000,000
   Rp100.000.000 (setara dengan AS$6.583) dari laba bersih                (equivalent to US$6,583) from the 2023 net profit of RETJ
   tahun buku 2023 milik RETJ untuk disisihkan sebagai                    to be appropriated as reserve funds.
   pemenuhan dana cadangan.

   Berdasarkan Rapat Umum Pemegang Saham Tahunan                          Based on Annual General Meeting of Shareholders with
   yang diaktakan dengan akta notaris No. 21 tanggal 23 April             notary deed No. 21 dated April 23, 2025 of Notary Rini
   2025 dari Notaris Rini Yulianti, SH., para pemegang saham              Yulianti, SH., the shareholders of PRA approved to provide
   PRA menyetujui untuk penyisihan dana cadangan sebesar                  reserve funds amounting to AS$50,000 and distribute
   AS$50.000 dan membagikan dividen sebesar AS$4.930.000                  dividends amounting to AS$4,930,000 from retained
   dari laba ditahan. Dividen ini telah dibayarkan seluruhnya             earnings. This dividends has been entirely paid to the
   kepada para pemegang saham selama tahun 2025.                          shareholders during year 2025.

   Berdasarkan rapat umum pemegang saham tahunan                          Based on the annual general meeting of shareholders with
   dengan Akta Notaris No. 51 tanggal 29 Mei 2024 dari Rini               notarial deed No. 51 dated May 29, 2024 of Rini Yulianti,
   Yulianti, S.H., para pemegang saham PRA menyetujui                     S.H., the shareholders of PRA have approved the
   pembagian dividen dari laba bersih tahun 2023 sebesar                  distribution of dividends from the net income year 2023
   AS$3.500.000. Dividen telah dibayarkan seluruhnya pada                 amounting to US$3,500,000. Dividends was paid entirely
   tanggal 10 Mei 2024, 26 Juni 2024 dan 24 Juli 2024.                    dated May 10, 2024, June 26, 2024 and July 24, 2024.

   Berdasarkan Rapat Umum Pemegang Saham Tahunan                          Based on Annual General Meeting of Shareholders with
   yang diaktakan dengan akta notaris No. 15 tanggal 23 April             notary deed No. 15 dated April 23, 2025 of Notary Rini
   2025 dari Notaris Rini Yulianti, SH., para pemegang saham              Yulianti, SH., the shareholders approved to provide EHK
   menyetujui untuk EHK melakukan penyisihan dana                         reserve funds amounting to US$50,000.
   cadangan sebesar AS$50.000.

   Berdasarkan Rapat Umum Pemegang Saham Tahunan                          Based on Annual General Meeting of Shareholders with
   yang diaktakan dengan akta notaris No. 19 tanggal 23 April             notary deed No. 19 dated April 23, 2025 of Notary Rini
   2025 dari Notaris Rini Yulianti, SH., para pemegang saham              Yulianti, SH., the shareholders approved to provide MUI
   menyetujui untuk MUI melakukan penyisihan dana                         reserve funds amounting to US$5,000.
   cadangan sebesar AS$5.000.

   Berdasarkan Rapat Umum Pemegang Saham Tahunan                          Based on Annual General Meeting of Shareholders with
   yang diaktakan dengan akta notaris No. 17 tanggal 23 April             notary deed No. 17 dated April 23, 2025 of Notary Rini
   2025 dari Notaris Rini Yulianti, SH., para pemegang saham              Yulianti, SH., the shareholders approved to provide APE
   menyetujui untuk APE melakukan penyisihan dana                         reserve funds amounting to US$5,000.
   cadangan sebesar AS$5.000.




                                                                  86
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                       PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                         NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                      As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                        for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                (Expressed in full US Dollar amount, unless otherwise stated)


30. EKUITAS LAINNYA                                                     30. OTHER EQUITY

   a. Tambahan modal disetor                                              a. Additional paid in capital

                                                         2025               2024

      Penawaran umum perdana                               121.470            121.470                                Initial public offering
      Biaya emisi saham                                    (80.124)           (80.124)                              Stock issuance costs
      Emisi penawaran umum terbatas I                      (76.732)           (76.732)                             Emition of iight issue I
      Pelaksanaan waran I                                   27.123             27.123                               Exercise of warrants
      Emisi penawaran umum terbatas II                    (188.011)          (188.011)                           Emition of right issue II
      Pelaksanaan waran II                              21.331.852         21.331.852                             Exercise of warrants II
      Emisi penawaran umum terbatas III                  1.957.188          1.957.188                                        Right Issue III
      Deklarasi aset pengampunan pajak                     139.189            139.189                Declaration of tax amnesty assets
      Penawaran umum perdana entitas anak                8.916.767                -                  Initial public offering of subsidiary

        Jumlah                                          32.148.722         23.231.955                                            Total

      RATU efektif mencatatkan penawaran umum perdana                        RATU registered its initial public offering in Indonesia
      saham pada Bursa Efek Indonesia per tanggal 8 Januari                  Stock Exchange effectively on January 8, 2025, with the
      2025, dengan jumlah saham yang dilepas ke publik                       number of shares released to the public of 543,010,800
      sejumlah 543.010.800 saham, dengan nilai nominal                       shares with a nominal value of Rp10 per share and
      sebesar Rp10 setiap saham dan harga penawaran                          offering value of Rp1,150 per share and with a total
      sebesar Rp1.150 per saham serta total nilai proceeds                   proceeds value of Rp624,462,420,000 consisting of
      sebesar Rp624.462.420.000 yang terdiri dari sebesar                    Rp218,561,870,000 (190,053,800 shares) from the Initial
      Rp218.561.870.000      (190.053.800   saham)     dari                  Public Offering and Rp405,900,550,000 (352,957,000
      Penawaran Umum Saham Baru dan sebesar                                  shares) from common shares in the name of the
      Rp405.900.550.000 (352.957.000 saham) dari saham                       Company.
      biasa atas nama milik Perusahaan.

      Tambahan modal disetor atas penawaran umum perdana                     Additonal paid in capital of initial public offering of
      entitas anak (RATU) merupakan porsi Perusahaan atas                    subsidiary (RATU) represents the Company's portion of
      selisih antara harga jual (Rp1.150 (nilai penuh) per                   the difference between the selling price (Rp1,150 (full
      saham) dengan nilai nominal saham (Rp10 (nilai penuh)                  amount) per share) and the par value prior to the stock
      per saham) untuk 190.053.800 saham yang dijual melalui                 splits (Rp10 (full amount) per share) of 190,053,800
      Bursa Efek di Indonesia pada 8 Januari 2025.                           shares issued on the Stock Exchange in Indonesia on
                                                                             January 8, 2025.

   b. Selisih ekuitas dari setoran entitas anak                           b. The difference in the equity of subsidiaries deposits

      Berdasarkan akta No. 20 tanggal 31 Juli 2015 dari notaris              Based on notarial deed No. 20 dated July 31, 2015 of
      Rini Yulianti, S.H., PT Triguna Internusa Pratama, entitas             Rini Yulianti, S.H., PT Triguna Internusa Pratama, a
      anak, telah mengeluarkan saham baru sebanyak 24.381                    subsidiary, issued new shares amounting 24,381 shares
      lembar saham dengan nilai sebesar AS$12.500.000 yang                   with a value of US$12,500,000 were sold to Itochu
      dijual kepada Itochu Corporation. Setoran saham                        Corporation. The paid in share represent the proportion
      tersebut merupakan proporsi 33% kepemilikan saham                      of Itochu Corporation's 33% share ownership in PT
      Itochu Corporation di PT Triguna Internusa Pratama.                    Triguna Internusa Pratama. The transaction resulted in
      Transaksi penambahan saham tersebut menghasilkan                       additional shares of stock investment difference PT
      selisih investasi saham PT Rukun Raharja Tbk pada PT                   Rukun Raharja Tbk in PT Triguna Internusa Pratama.
      Triguna Internusa Pratama.




                                                                   87
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                          PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                            NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                   STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                         As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                           for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                   (Expressed in full US Dollar amount, unless otherwise stated)


30. EKUITAS LAINNYA (Lanjutan)                                             30. OTHER EQUITY (Continued)

   b. Selisih ekuitas dari setoran entitas anak (Lanjutan)                      b. The difference in the equity of subsidiaries deposits
                                                                                   (Continued)

      Rincian atas nilai selisih ekuitas dari setoran entitas anak                The detail of difference in the equity of subsidiaries
      pada tanggal 31 Desember 2025 dan 2024, adalah                              deposits as at December 31, 2025 and 2024 are as
      sebagai berikut:                                                            follows:

      PT Triguna Internusa Pratama ("TIP")                                        PT Triguna Internusa Pratama ("TIP")

                                                   Jumlah             Kepemilikan/Ownership
                                                   ekuitas/           PT Rukun Raharja Tbk
                                                    Total                          Dolar AS/
                                                    equity             (%)         US Dollar

      Saldo awal                                    8.553.326        99,98%             8.551.616                          Beginning balance

      Ekuitas TIP sebelum penyertaan                                                                      Equity of TIP before Investment of
       Itochu Corporation                           8.551.616             67%           5.729.583                        Itochu Corporation
      Penyertaan saham Itochu Corporation          12.500.000             67%           8.375.000          Investment of Itochu Corporation
      Ekuitas TIP setelah penyertaan                                                                        Equity of TIP after Investment of
       Itochu Corporation                          21.051.616                          14.104.583                       Itochu Corporattion
      Kenaikan nilai tambahan modal disetor        12.500.000                           5.552.967       Increase of additional paid in capital

      PT Raharja Energi Cepu Tbk ("RATU")                                         PT Raharja Energi Cepu Tbk ("RATU")

      Pada tanggal 8 Januari 2025, RATU, entitas anak,                            On January 8, 2025, RATU, subsidiary, listed
      mencatatkan 543.010.800 lembar saham dalam rangka                           543,010,800 shares in its Initial Public Offering (IPO) at
      Penawaran Umum Perdana (IPO) dengan harga                                   an offering price of Rp1,150 per share. Of that total, the
      penawaran sebesar Rp1.150 per saham. Dari jumlah                            Company divested 352,957,000 shares. Subsequently,
      tersebut, Perusahaan melakukan divestasi sebanyak                           the Company carried out several additional divestments
      352.957.000 lembar saham. Selanjutnya, Perusahaan                           of RATU shares amounting to 304,822,000 shares. As at
      beberapa kali melakukan divestasi atas saham RATU                           December 31, 2025, the Company recognized the
      dengan jumlah lembar saham yang didivestasi sebanyak                        difference between the original investment cost in RATU
      304.822.000 lembar saham. Hingga 31 Desember 2025,                          and the divestment value as part of the 'Equity difference
      Perusahaan mencatat selisih antara nilai perolehan                          from capital contribution in Subsidiary' account in the
      investasi awal di RATU dengan nilai divestasi sebagai                       consolidated statement of financial position, amounting
      bagian dari akun "Selisih ekuitas atas perubahan bagian                     to US$54,747,573.
      kepemilikan pada entitas anak" dalam laporan posisi
      keuangan     konsolidasian,    dengan    total  sebesar
      AS$54.747.573.

31. KEPENTINGAN NONPENGENDALI                                              31. NON-CONTROLLING INTERESTS

                                                             2025                2024

   Nilai tercatat awal                                       26.715.802         24.922.791                        Beginning carrying amount
   Pendirian entitas anak                                     7.359.098                -
   Bagian laba tahun berjalan - bersih                        7.779.656          3.530.398                    Share of profit for the year - net
   Bagian penghasilan/(rugi) komprehensif                                                              Share of comprehensive income/(loss)
    tahun berjalan - bersih                                     (55.446)                448                                 for the year - net
   Dividen tunai                                             (3.556.573)         (1.234.995)                                   Cash dividends
   Akuisisi entitas anak dan transaksi dengan                                                                  Acquisition of subsidiaries and
    kepentingan nonpengendali                                       -             (502.840)         transaction with non-controlling interest
   Perubahan kepemilikan pada entitas anak                      570.684                -                 Restructure ownership of subsidiary
   Tambahan modal disetor entitas anak                        4.001.697                -               Additional paid-in capital of subsidiary

      Jumlah                                                 42.814.918         26.715.802                                             Total




                                                                     88
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                    PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                      NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                             STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                   As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                     for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)             (Expressed in full US Dollar amount, unless otherwise stated)


32. PENDAPATAN BERSIH                                                32. NET REVENUE

   Rincian pendapatan bersih berdasarkan sifatnya adalah               The details of net revenue based on their nature are as
   sebagai berikut:                                                    follows:

                                                      2025               2024

   Pihak ketiga                                                                                                     Third parties
    Penjualan gas                                   141.685.458         136.474.686                                Sales of gas
    Lifting minyak dan gas                           49.313.956          57.743.447                          Oil and gas lifting
    Jasa penyaluran minyak dari                                                                             Joint operation oil
      kerja sama operasi                             34.520.337          31.535.761                               toll services
    Operasi dan pemeliharaan                          9.993.202           8.809.779                Operating and maintenance
    Jasa penyaluran gas                               9.168.636           9.784.980                          Gas toll services
    Jasa kompresi dan transmisi gas                   2.418.575           1.394.833 Gas compression and transmission services
    Jasa fasilitas LPG                                2.322.982           2.493.259                       LPG facility services
    Jasa sewa                                         2.173.712           1.591.112                                   Rental fee
    Jasa penyediaan kendaraan, tenaga kerja dan                                        Vehicles, manpower supply services and
      jasa manajemen konsultasi proyek                1.669.413           1.704.831   project management consulting services
    Engineering, Procurement and Construction               -               808.000 Engineering, Procurement and Construction
    Lain-lain                                         2.934.863           2.136.243                                       Others

      Jumlah                                        256.201.134         254.476.931                                        Total

   Pihak berelasi                                                                                                  Related party
    Engineering, Procurement and Construction                                         Engineering, Procurement and Construction
      (lihat catatan 40a)                            10.465.868                   -                             (see note 40a)

      Jumlah                                        266.667.002         254.476.931                                        Total

   Rincian pelanggan yang memiliki transaksi pendapatan lebih          Details of customers with revenue transactions that
   dari 10% dari total pendapatan usaha konsolidasian untuk            represent more than 10% of the total consolidated revenue
   tahun-tahun yang berakhir pada tanggal 31 Desember 2025             for the years ended December 31, 2025 and 2024 are as
   dan 2024 adalah sebagai berikut:                                    follows:

                                                      2025               2024

   Pihak ketiga                                                                                                      Third parties
    PT Indah Kiat Pulp & Paper Tbk                   50.939.634          47.713.121              PT Indah Kiat Pulp & Paper Tbk
    PT Pertamina Gas (Persero)                       40.340.696          31.535.761                 PT Pertamina Gas (Persero)
    PT GPI Jabung Indonesia                                 -            57.743.447                    PT GPI Jabung Indonesia

      Jumlah                                         91.280.330         136.992.329                                        Total

   Persentase dari jumlah pendapatan                 34,23%              53,83%                     Percentage from total revenue




                                                                89
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                     PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                       NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                              STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                    As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                      for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)              (Expressed in full US Dollar amount, unless otherwise stated)


33. BEBAN POKOK PENDAPATAN                                            33. COST OF REVENUE

   Rincian beban pokok pendapatan berdasarkan sifatnya                  The details of cost of revenue based on their nature are as
   adalah sebagai berikut:                                              follows:

                                                      2025                2024

   Pembelian gas                                     107.308.975         100.318.097                                  Gas purchases
   Lifting minyak dan gas                             22.165.011          31.933.238                                Oil and gas lifting
   Penyusutan aset tetap (lihat catatan 12)           14.252.427          13.678.954      Depreciation of fixed assets (see note 12)
   Operasi dan pemeliharaan                           12.837.216           6.190.281                    Operating and maintenance
   Beban kerja sama operasi                           11.491.799           8.218.534                         Joint operation expense
   Penyaluran gas                                      5.865.092           8.508.350                               Gas transportation
   Gaji dan tunjangan                                  5.633.345           4.367.498                          Salaries and allowance
   Deplesi properti minyak dan gas                                                              Depletion of oil and gas properties
     (lihat catatan 15)                                3.064.277           3.365.057                                   (see note 15)
   Sewa jangka pendek (lihat catatan 13b)              2.338.211           2.275.581                Short-term lease (see note 13b)
   Penyusutan aset hak guna                                                                      Depreciation of right of use assets
     (lihat catatan 13a)                               1.923.870           1.214.798                                 (see note 13a)
   Lain-lain                                           7.629.847           5.156.493                                           Others

      Jumlah                                         194.510.070         185.226.881                                          Total

   Rincian pemasok yang memiliki transaksi lebih dari 10% dari          The details of suppliers with transactions that represent
   total beban pokok pendapatan konsolidasian untuk tahun-              more than 10% of the total consolidated cost of revenue for
   tahun yang berakhir pada tanggal 31 Desember 2025 dan                the years ended December 31, 2025 and 2024 are as
   2024 adalah sebagai berikut:                                         follows:

                                                      2025                2024
   Pembelian gas                                                                                                   Gas purchases
    Medco E&P Grissik Ltd                             63.399.040          59.297.913                        Medco E&P Grissik Ltd
    PT Pertamina EP                                   32.651.602          29.055.401                            PT Pertamina EP

      Jumlah                                          96.050.642          88.353.314                                          Total
   Persentase dari jumlah beban                                                                                Percentage from total
    pokok pendapatan                                  36,02%              34,72%                                   cost of revenue

34. BEBAN UMUM DAN ADMINISTRASI                                       34. GENERAL AND ADMINISTRATIVE EXPENSES

   Rincian beban umum dan administrasi berdasarkan sifatnya             The details of general and administrative expenses based
   adalah sebagai berikut:                                              on their nature are as follows:

                                                      2025                2024

   Gaji dan tunjangan                                 13.637.791          12.079.826                         Salaries and allowance
   Jasa tenaga ahli                                    6.333.139           2.004.718                                 Professional fee
   Penyusutan aset tetap (lihat catatan 12)              838.604             799.383      Depreciation of fixed assets (see note 12)
   Jamuan dan sumbangan                                  715.167             765.019                    Entertainment and donation
   Pensiun direksi dan komisaris                                                                        Retirement of directors and
    (lihat catatan 27)                                   671.079             606.952                 commissioners (see note 27)
   Perjalanan dinas                                      559.467             938.307                                  Office travelling
   Alih jasa                                             490.371             449.672                                      Outsourcing
   Pajak dan perijinan                                   233.458           1.249.353                              Taxes and licenses
   Utilitas dan keperluan kantor                         219.989             223.517                     Utilities and office supplies
   Sewa jangka pendek (lihat catatan 13b)                158.463             137.330                Short-term lease (see note 13b)
   Imbalan pasca-kerja (lihat catatan 26)                141.686             126.444       Post-employment benefits (see note 27)
   Perbaikan dan pemeliharaan                            112.844              74.072                        Repair and maintenance
   Penyusutan aset hak guna                                                                             Depreciation of right of use
    (lihat catatan 13a)                                      -                   251                          assets (see note 13a)
   Lainnya                                             1.199.870             410.320                                            Others

      Jumlah                                          25.311.928          19.865.164                                          Total



                                                                 90
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                     PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                       NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                              STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                    As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                      for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)              (Expressed in full US Dollar amount, unless otherwise stated)


35. PENDAPATAN LAIN-LAIN                                              35. OTHERS INCOME

   Rincian pendapatan lain-lain berdasarkan sifatnya adalah             The details of other income based on their nature are as
   sebagai berikut:                                                     follows:

                                                      2025                2024

   Laba investasi jangka pendek                        1.706.532                  -                 Gain on short-term investment
   Bunga giro dan deposito                                                                       Interest from current account and
    berjangka                                            877.081             139.192                             and time deposit
   Pendapatan bunga dari pihak ketiga                    652.893                 -                  Interest income fromthird party
   Perubahan bersih nilai wajar investasi                 61.557                 -           Net change in fair value of investment
   Laba atas pelepasan aset                                                                              Gain on disposals of fixed
    tetap - bersih (lihat catatan 12)                     21.104                 385                    assets - net (see note 12)
   Surat ketetapan pajak lebih bayar atas                                                   Tax Assessment Letter overpayment of
    pajak pertambahan nilai (lihat catatan 17f)              -             1.211.357             Value Added Tax (see note 17f)
   Kompensasi atas komitmen volume                           -               208.229         Compensation for volume commitment
   Lain-lain                                           1.760.213             392.165                                         Others

      Jumlah                                           5.079.380           1.951.328                                         Total

36. BEBAN LAIN-LAIN                                                   36. OTHER EXPENSES

   Rincian beban lain-lain berdasarkan sifatnya adalah sebagai          The details of other expenses based on their nature are as
   berikut:                                                             follows:

                                                      2025                2024

   Pencadangan penurunan nilai                                                                         Allowance for impairment of
    piutang - bersih                                   5.517.885             890.685                              receivables - net
   Pencadangan penurunan nilai goodwil                 1.621.947                 -            Allowance for impairment of goodwill
   Amortisasi hak kontraktual proyek                     896.087             896.087        Amortisation of project contractual right
   Pencadangan penurunan nilai hak                                                             Allowance for impairment of project
    kontraktual proyek                                   799.088                 -                                 contractual right
   Penyusutan aset tetap (lihat catatan 12)              388.213             271.001       Depreciation of fixed asset (see note 12)
   Beban pajak                                           325.246             115.802                                  Tax expenses
   Administrasi bank                                     262.052             330.749                                  Bank charges
   Lain-lain                                              26.460             119.536                                         Others

      Jumlah                                           9.836.978           2.623.860                                         Total

37. BEBAN KEUANGAN/BUNGA                                              37. FINANCE/INTEREST COSTS

                                                      2025                2024

   Pihak ketiga                                                                                                          Third parties
    Bunga pinjaman bank                                                                                      Interest of bank loans
      PT Bank Mandiri (Persero) Tbk                    7.422.204           5.471.696              PT Bank Mandiri (Persero) Tbk
      PT Bank HSBC Indonesia                           1.005.934           2.705.161                    PT Bank HSBC Indonesia
    Beban keuangan lainnya                                                                                       Other finance cost
      Bunga liabilitas sewa dan pinjaman                                                           Interest on lease liabilities and
       pembiayaan konsumen                               711.000             446.087                   consumer financing loans
      Bunga akresi (lihat catatan 25)                    708.445             564.385              Accretion interest (see note 25)
      Biaya pinjaman                                     151.694             280.173                              Borrowing costs
      Biaya fasilitas Standby Letter of Credit            41.983             647.391                 Standby Letter of Credit cost
      Bunga lain-lain                                     30.175             201.315                                Other interest

       Jumlah                                         10.071.435          10.316.208                                         Total




                                                                 91
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                      PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                        NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                               STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                     As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                       for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)               (Expressed in full US Dollar amount, unless otherwise stated)


38. LABA BERSIH PER SAHAM DASAR DAN DILUSIAN                           38. BASIC AND DILUTED EARNINGS PER SHARE

                                                       2025                2024

   Laba bersih yang dapat diatribusikan                                                                 Net income attributable to the
    kepada pemilik entitas induk                       27.240.089          25.552.112                    owners of the parent entity

   Rata-rata tertimbang jumlah saham                                                                    Weighted-average number of
    yang beredar                                    4.227.082.500       4.227.082.500                   ordinary shares outstanding

   Laba bersih per saham - Dasar                                                                           Earnings per share - Basic
    dan dilusian                                          0,00644             0,00604                                    and diluted

   Grup tidak memiliki efek yang bersifat dilutif untuk tahun-           The Group did not have any dilutive instrument for the
   tahun yang berakhir pada tanggal 31 Desember 2025 dan                 years ended December 31, 2025 and 2024.
   2024.

39. HAK KONTRAKTUAL PROYEK DAN GOODWILL                                39. PROJECT CONTRACTUAL             RIGHT     ASSETS      AND
                                                                           GOODWILL

   a. Aset hak kontraktual proyek                                        a. Project contractual right assets

      Aset hak kontraktual proyek merupakan aset takberwujud                Project contractual rights assets represent intangible
      terkait kuasa jual gas yang diperoleh PDPDE dari SEG,                 assets related to the power of attorney to sales of gas
      sehubungan perjanjian jual beli gas antara SEG dan PLN.               from PDPDE from SEG, in connection with the gas sale
      Hak kontraktual proyek ini diamortisasi selama delapan                and purchase agreement between SEG and PLN.
      belas (18) tahun mulai tahun 2014.                                    Project contractual rights assets are amortized over
                                                                            eighteen (18) years starting in 2014.

                                                         2025              2024

      Nilai perolehan                                   16.129.558        16.129.558                                 Acquisition cost

      Akumulasi amortisasi                                                                                 Accumulated amortisation
       Awal tahun                                       (9.856.955)       (8.960.868)                         Beginning of the year
       Penambahan tahun berjalan                          (896.087)         (896.087)                      Addition of currrent year

       Akhir tahun                                     (10.753.042)       (9.856.955)                             Ending of the year

      Penurunan nilai                                   (3.892.495)       (3.093.407)                                     Impairment

       Nilai buku                                        1.484.021         3.179.196                                     Book value

      Kontrak antara SEG dengan PLN telah berakhir pada                     The contract between SEG and PLN has expired in
      tahun 2019, namun manajemen memutuskan masih                          2019, however management decided to still recognize
      mengakui aset hak kontraktual proyek ini sehubungan                   the project contractual rights assets due to the Contract
      dengan adanya Kewajiban Kontrak antara SEG dan PLN                    Obligations between SEG and PLN that have not been
      yang belum dibayarkan oleh PLN.                                       paid by PLN.

      Manajemen juga telah menunjuk KJPP Ferdinand, Danar,                  Management has also appointed KJPP Ferdinand,
      Ichsan dan Rekan, penilai independen, untuk menilai nilai             Danar, Ichsan and Partners, an independent appraiser,
      wajar aset takberwujud berupa hak kontraktual PDPDE                   to assess the fair value of the intangible asset in the
      dengan menggunakan pendekatan berbasis pendapatan                     form of PDPDE's contractual rights using an income-
      (income based approach ) melalui Multi-Period Excess                  based approach through the Multi-Period Excess
      Earning Method yang menghasilkan nilai wajar hak                      Earnings Method. This resulted in the fair value of
      kontraktual PDPDE 31 Desember 2025 adalah sebesar                     PDPDE's contractual rights as at December 31, 2025,
      AS$2.075.669. Manajemen berkeyakinan nilai wajar                      amounting to US$2,075,669. Management believes that
      tersebut mencerminkan nilai wajar per 31 Desember                     the fair value reflects the fair value as at December 31,
      2025.                                                                 2025.




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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                        PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                          NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                 STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                       As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                         for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                 (Expressed in full US Dollar amount, unless otherwise stated)


39. HAK KONTRAKTUAL            PROYEK      DAN     GOODWILL              39. PROJECT CONTRACTUAL            RIGHT     ASSETS      AND
    (Lanjutan)                                                               GOODWILL (Continued)

   b. Goodwill                                                             b. Goodwill

                                                          2025               2024

      Nilai perolehan                                                                                                  Acquisition cost
       PT Energasindo Heksa Karya                        11.757.594         11.757.594                 PT Energasindo Heksa Karya
       PT Panji Raya Alamindo Tbk                         9.621.518          9.621.518                  PT Panji Raya Alamindo Tbk
       PT Karya Mineral Jaya                              2.162.596          2.162.596                         PT Karya Mineral Jaya
       PT Majuko Utama Indonesia                          1.568.094          1.568.094                  PT Majuko Utama Indonesia
       PT Artha Prima Energy                                978.503            978.503                        PT Artha Prima Energy
       PT Artifisial Teknologi Persada                      722.068            722.068                PT Artifisial Teknologi Persada
       PT Triguna Internusa Pratama                         269.111            269.111                PT Triguna Internusa Pratama

        Jumlah                                           27.079.484         27.079.484                                        Total
      Dikurangi:                                                                                                         Deducted by:
       Cadangan penurunan nilai                           (1.891.058)         (269.111)                     Allowance for impairment

        Nilai buku                                       25.188.426         26.810.373                                 Book value

      Pengujian penurunan nilai atas goodwill dilakukan setiap                Goodwills are tested for impairment annually and/or
      tahun dan/atau ketika terdapat suatu indikasi bahwa nilai               when circumstances indicate the carrying value may be
      tercatatnya mengalami penurunan nilai.                                  impaired.

      Manajemen telah menunjuk KJPP Ferdinand, Danar,                         Management has appointed KJPP Ferdinand, Danar,
      Ichsan dan Rekan, untuk menilai nilai yang dapat                        Ichsan and Partners, an independent appraiser, to
      terpulihkan dari goodwill tersebut untuk tahun yang                     assess the recoverable value of the goodwill for the year
      berakhir pada tanggal 31 Desember 2025. Nilai                           ended December 31, 2025. The recoverable amount
      terpulihkan ditentukan berdasarkan perhitungan melalui                  was determined based on calculations using an Income
      pendekatan berbasis Pendapatan melalui metode Arus                      based approach through the Discounted Cash Flow
      Kas Terdiskonto. Nilai terpulihkan tersebut dikategorikan               method. The recoverable amount is categorised as level
      sebagai tingkat 3 dalam hierarki nilai wajar.                           3 in the fair value hierarchy.

      Asumsi kunci yang digunakan dalam perhitungan adalah:                   Key assumptions used in the calculation are:
      - Tingkat diskonto, Grup memilih menggunakan biaya                      - Discount rate, the Company has chosen to use the
        modal rata-rata tertimbang (weighted average cost of                    weighted average cost of capital ("WACC") as the
        capital ("WACC")) sebagai tingkat diskonto untuk arus                   discount rate for the discounted cash flows. The
        kas yang didiskontokan. Estimasi WACC yang                              WACC applied was 7,87% (December 31, 2024:
        digunakan adalah 7,87% (31 Desember 2024: 8,38% -                       8,38% - 9,98%).
        9,98%).
      - Discount For Lack of Marketabilities ("DLOM"), adalah                 - Discount For Lack of Marketabilities ("DLOM") was
        sebesar 0% - 30%.                                                       0% - 30%.

      Berdasarkan hasil penelaahan atas nilai tercatat goodwill ,             Based on the assessment of the carrying amount of
      Grup mencatat adanya penurunan nilai goodwill yang                      goodwill, the Group recognized an impairment loss on
      berasal dari KMJ pada tahun berjalan. Penurunan nilai                   goodwill arising from KMJ during the current year. The
      tersebut diakui sebesar AS$1.621.947 dan telah                          impairment loss amounted to US$1,621,947 and has
      dibebankan pada laporan laba rugi konsolidasian untuk                   been charged to the consolidated statement of profit or
      tahun yang berakhir pada tanggal 31 Desember 2025.                      loss for the year ended December 31, 2025.

40. TRANSAKSI-TRANSAKSI DAN SALDO DENGAN PIHAK-                          40. RELATED PARTIES TRANSACTIONS AND BALANCES
    PIHAK BERELASI

   Dalam kegiatan usaha normal, Grup melakukan transaksi                   In conducting its normal business, the Group entered into
   usaha dan keuangan dengan pihak-pihak berelasi dengan                   certain business and financial transactions with its related
   rincian sebagai berikut:                                                parties with details are as follows:




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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                    PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                      NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                             STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                   As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                     for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)             (Expressed in full US Dollar amount, unless otherwise stated)


40. TRANSAKSI-TRANSAKSI DAN SALDO DENGAN PIHAK-                      40. RELATED PARTIES TRANSACTIONS AND BALANCES
    PIHAK BERELASI (Lanjutan)                                            (Continued)

   a. Pendapatan bersih dari pihak berelasi untuk tahun-tahun          a. Net revenue from related parties for the years ended
      yang berakhir pada tanggal 31 Desember 2025 dan 2024                December 31, 2025 and 2024 consist of:
      adalah sebagai berikut:

                                                       2025              2024

      PT Petrosea Tbk                                 10.465.868                -                                 PT Petrosea Tbk

      Persentase terhadap pendapatan bersih                                                                         Percentage of
       konsolidasian                                        3,92%               -                       consolidated net revenue

   b. Saldo piutang usaha dengan pihak berelasi pada tanggal           b. Trade receivable from related parties as at December
      31 Desember 2025 dan 2024, terdiri dari:                            31, 2025 and 2024 consist of:

                                                       2025              2024

      PT Petrosea Tbk                                  4.948.958                -                                 PT Petrosea Tbk

      Persentase terhadap jumlah aset                                                                  Percentage of consolidated
       konsolidasian                                        1,04%               -                                    total assets

   c. Saldo piutang lain-lain dengan pihak berelasi pada               c. Other receivable from related parties as at December
      tanggal 31 Desember 2025 dan 2024, terdiri dari:                    31, 2025 and 2024 consist of:


                                                       2025              2024

      Direksi dan karyawan                               134.359           513.270                        Directors and employees
      PT Hafar Daya Konstruksi                            23.321               -                         PT Hafar Daya Konstruksi
      PT Sentosa Bersama Mitra                               694         3.718.862                      PT Sentosa Bersama Mitra

        Jumlah                                           158.374         4.232.132                                         Total

      Persentase terhadap jumlah aset                                                                  Percentage of consolidated
       konsolidasian                                        0,03%            1,28%                                   total assets

      PT Sentosa Bersama Mitra ("SBM")                                    PT Sentosa Bersama Mitra ("SBM")

      Pada tanggal 9 Maret 2023, Perusahaan dan SBM                       On March 9, 2023, the Company and SBM entered into
      menandatangani     perjanjian   pinjaman,   di   mana               a loan agreement, under which the Company agreed to
      Perusahaan menyetujui untuk memberikan pinjaman                     provide SBM with a loan of up to Rp3,000,000,000
      kepada SBM hingga Rp3.000.000.000 (setara dengan                    (equivalent to US$182,692) for working capital needs.
      AS$182.692) untuk kebutuhan modal kerja. Perjanjian ini             The agreement was initially valid until March 8, 2024,
      berlaku hingga 8 Maret 2024 dan dapat diperpanjang                  and could be extended upon mutual agreement.
      berdasarkan     kesepakatan    kedua    belah    pihak.             Furthermore, on September 18, 2023, the Company and
      Selanjutnya, pada tanggal 18 September 2023,                        SBM entered into a loan agreement, under which the
      Perusahaan dan SBM menandatangani perjanjian                        Company agreed to provide SBM with a loan of
      pinjaman, di mana Perusahaan akan memberikan                        US$5,000,000 for temporary working capital needs. The
      pinjaman kepada SBM sebesar AS$5.000.000 untuk                      agreement was initially valid until December 17, 2023,
      kebutuhan modal kerja sementara. Perjanjian ini berlaku             and could be extended upon mutual agreement. The
      hingga 17 Desember 2023 dan dapat diperpanjang                      agreements has been extended until December 31,
      berdasarkan kesepakatan kedua belah pihak. Perjanjian-              2025. The balance as at December 31, 2025 is nil (2024:
      perjanjian tersebut telah diperpanjang dengan jangka                AS$3,718,862).
      waktu hingga 31 Desember 2025. Saldo per 31
      Desember 2025 adalah nihil (2024: AS$3.718.862).




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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                     PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                       NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                              STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                    As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                      for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)              (Expressed in full US Dollar amount, unless otherwise stated)


40. TRANSAKSI-TRANSAKSI DAN SALDO DENGAN PIHAK-                       40. RELATED PARTIES TRANSACTIONS AND BALANCES
    PIHAK BERELASI (Lanjutan)                                             (Continued)

   d. Saldo utang lain-lain dengan pihak berelasi pada tanggal          d. Other payable to related parties as at December 31,
      31 Desember 2025 dan 2024, terdiri dari:                             2025 and 2024 consist of:

                                                        2025                2024

      Ny. Dee Valent                                       85.014                -                                Mrs. Dee Valent
      PT Sentosa Bersama Mitra                                -              545.000                     PT Sentosa Bersama Mitra

        Jumlah                                             85.014            545.000                                        Total

      Persentase terhadap jumlah liabilitas                                                             Percentage of consolidated
       konsolidasian                                        0,04%              0,34%                               total liabilities

   Sifat hubungan dengan pihak berelasi adalah sebagai                  The nature of relationship with related parties are as
   berikut:                                                             follows:

   - Direksi dan karyawan adalah manajemen kunci Grup.                  -   Directors and employees are key management of the
                                                                            Group.
   - PT Sentosa Bersama Mitra ("SBM") adalah pemegang                   -   PT Sentosa Bersama Mitra ("SBM") is shareholder of the
     saham Perusahaan.                                                      Company.
   - Selain     yang     disebut    diatas, merupakan                   -   Except the company/entity as aformentioned above, are
     perusahaan/entitas   yang   mempunyai   kesamaan                       company/entity that has the same key management,
     manajemen kunci, pemegang saham dan atau dalam                         shareholders and or under common control by an
     satu kendali pemegang saham akhir.                                     ultimate shareholder.

41. PERJANJIAN-PERJANJIAN PENTING                                     41. SIGNIFICANT AGREEMENTS

   Perusahaan                                                           The Company

   1. Pada tanggal 22 Desember 2022, Perusahaan dan PT                  1. On December 22, 2022, the Company and PT Sentosa
      Sentosa Bersama Mitra ("SBM") melakukan perjanjian                   Bersama Mitra ("SBM") entered into a guarantee fee
      biaya jaminan yang menyebutkan bahwa Perusahaan                      agreement which stated that the Company agreed to
      sepakat untuk memberikan jaminan kepada SBM sebesar                  provide a guarantee to SBM of 2.88% of the total value
      2,88% dari total nilai pinjaman utang bank yang diterima             of the bank loan received by the Company or
      Perusahaan atau sebesar AS$4.000.000 selama jangka                   US$4,000,000 during the term of the agreement. This
      waktu perjanjian. Pembayaran jaminan ini dilakukan                   guarantee payment will be made every month starting
      setiap bulan sejak 22 Desember 2022 sebesar                          December 22, 2022, amounting to US$41,667 per
      AS$41.667 per bulan. Jangka waktu perjanjian ini sampai              month. The term of this agreement is until December 21,
      dengan tanggal 21 Desember 2030.                                     2030.

      Perjanjian ini diamandemen pada tanggal 3 Juni 2024                   This agreement was amended on June 3, 2024, to
      yang merubah ketentuan pembayaran biaya jaminan.                      modify the terms of the guarantee fee payment. The
      Perusahaan setuju untuk memberikan sisa biaya jaminan                 Company has agreed to provide the remaining
      kepada SBM dengan rincian total sisa sebesar                          guarantee fee to SBM with a total outstanding amount of
      AS$3.500.000 selama jangka waktu dari tahun 2025                      US$3,500,000 over the period from 2025 to 2030. The
      sampai dengan tahun 2030. Ketentuan pembayaran biaya                  payment terms for the guarantee fee are divided into
      jaminan tersebut dibagi menjadi beberapa termin yaitu                 several installments with US$1,000,000 for 2025 to
      pada tahun 2025 sampai tahun 2026 adalah sebesar                      2026, US$1,200,000 for 2027 to 2028, and
      AS$1.000.000, tahun 2027 sampai dengan tahun 2028                     US$1,300,000 for 2029 to 2030.
      adalah sebesar AS$1.200.000 dan tahun 2029 sampai
      dengan tahun 2030 adalah sebesar AS$1.300.000.




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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                    PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                      NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                             STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                   As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                     for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)             (Expressed in full US Dollar amount, unless otherwise stated)


41. PERJANJIAN-PERJANJIAN PENTING (Lanjutan)                         41. SIGNIFICANT AGREEMENTS (Continued)

   PT Triguna Internusa Pratama ("TIP")                                 PT Triguna Internusa Pratama ("TIP")

   1. Pada tanggal 18 September 2024, TIP menandatangani                1. On September 18, 2024, TIP signed an agreement with
      perjanjian dengan Energy Equity Epic (Sengkang) PTY.                 Energy Equity Epic (Sengkang) PTY. LTD. to carry out a
      LTD. untuk melaksanakan proyek penyediaan sewa                       project for the provision of a booster compression plant
      booster compression plant untuk pengembangan                         rental for the development of a new village located in the
      kampung baru yang berlokasi di Blok Sengkang. Kontrak                Sengkang Block. The contract is effective as at
      berlaku terhitung sejak tanggal 18 September 2024                    September 18, 2024, for a period of 80 months, with a
      sampai dengan jangka waktu perjanjian yaitu selama 80                construction period of 12 months or until no later than
      bulan dengan jangka waktu konstruksi 12 bulan atau                   December 31, 2030.
      maksimum sampai 31 Desember 2030.

   2. Pada tanggal 17 Mei 2024, TIP menandatangani                      2. On May 17, 2024, TIP signed an agreement with PT
      perjanjian dengan PT Petrosea Tbk untuk melaksanakan                 Petrosea Tbk to undertake the onshore early works
      proyek onshore early works engineering, procurement                  engineering, procurement, and construction (EPC)
      and contruction (EPC) for Ubadari, Tangguh EGR/CCUS,                 project for Ubadari, Tangguh EGR/CCUS, and Tangguh
      dan Tangguh Onshore Compression (UCC) di Ubadari                     onshore compression (UCC) in Ubadari Tangguh. The
      Tangguh dimana TIP bertindak sebagai subkontraktor.                  contractor requires a subcontractor to perform certain
      Kontrak berlaku sampai dengan tanggal 25 Juli 2026.                  tasks needed under the main contract which TIP act as
                                                                           the subcontractor. The contract is valid until July 25,
                                                                           2026.

   3. Pada tanggal 1 Maret 2024, TIP dan Star Energy                    3. On March 1, 2024, TIP and Star Energy Geothermal
      Geothermal Wayang Windu Ltd melakukan perjanjian                     Wayang Windu Ltd entered into an operations and
      jasa-jasa pendukung operasi-operasi dan pemeliharaan.                maintenance support services agreement, involves
      Konsep jasa ini berupa penyedia jasa-jasa untuk                      providing services to support TIP's operations in the
      mendukung kegiatan operasi TIP di daerah Wayang                      Wayang Windu area, West Java. The contract is
      Windu, Jawa Barat. Kontrak berlaku terhitung sejak                   effective from March 1, 2024, until December 31, 2026.
      tanggal 1 Maret 2024 sampai dengan tanggal 31
      Desember 2026.

   4. Pada tanggal 3 November 2021, PT Pertamina Gas                    4. On November 3, 2021, PT Pertamina Gas ("Pertagas")
      ("Pertagas") dan TIP melakukan perjanjian Operation and              and TIP entered into an O&M agreement for the
      Maintenance      ("O&M") atas     pengoperasian     dan              operation and maintenance of oil pipelines of Pertagas
      pemeliharaan pipa minyak Pertagas dan Perusahaan.                    and the Company. Based on the agreement, TIP
      Berdasarkan perjanjian tersebut, TIP bekerja sama                    cooperates in carrying out pipeline operation and
      melakukan kegiatan operasi dan pemeliharaan pipa di                  maintenance activities in the Rokan area. Activities are
      area Rokan. Kegiatan dilaksanakan melalui konsep                     carried out through the concept of a work program for a
      program kerja selama setahun yang disusun sebagai                    year which is prepared as a guideline for O&M
      pedoman pelaksanaan O&M. Kontrak berlaku terhitung                   implementation. The contract is valid from November 3,
      sejak tanggal 3 November 2021 sampai dengan jangka                   2021 until the term of the KSO agreement which is 20
      waktu perjanjian KSO yaitu selama 20 tahun.                          years.

   5. Pada tanggal 1 Oktober 2021, Star Energy Geothermal               5. On October 1, 2021, Star Energy Geothermal Salak Ltd
      Salak Ltd ("SEGS"), Star Energy Geothermal Salak                     ("SEGS"), Star Energy Geothermal Salak Pratama Ltd
      Pratama Ltd ("SEGSP"), dan TIP melakukan perjanjian                  ("SEGSP"), and TIP entered into an operations and
      jasa-jasa pendukung operasi-operasi dan pemeliharaan.                maintenance support services agreement. The service
      Konsep jasa ini berupa penyedia jasa-jasa untuk                      concept is to provide services to support the SEGS and
      mendukung kegiatan operasi SEGS dan SEGSP di                         SEGSP operations in the Gunung Salak area, West
      daerah Gunung Salak, Jawa Barat. Perjanjian ini telah                Java. This agreement has been extended on September
      diperpanjang pada tanggal 11 September 2024 dan telah                11, 2024 and has been expired on November 30, 2024.
      berakhir pada 30 November 2024.




                                                                96
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                      PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                        NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                               STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                     As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                       for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)               (Expressed in full US Dollar amount, unless otherwise stated)


41. PERJANJIAN-PERJANJIAN PENTING (Lanjutan)                           41. SIGNIFICANT AGREEMENTS (Continued)

   PT Triguna Internusa Pratama ("TIP") (Lanjutan)                        PT Triguna Internusa Pratama ("TIP") (Continued)

   6. Pada tanggal 5 April 2017, PT Indonesia Power ("IP")                6. On April 5, 2017, PT Indonesia Power ("IP") with PT
      dengan PT Odira Energy Persada ("OEP") dan TIP                         Odira Energy Persada ("OEP") and TIP entered into a
      melakukan perjanjian pengalihan atas perjanjian                        transfer agreement for a gas compressor rental
      penyewaan kompresor gas untuk PLTGU Cilegon. OEP                       agreement for PLTGU Cilegon. OEP transferred to TIP
      mengalihkan kepada TIP segala hak, kepentingan,                        all rights, interests, obligations, authorities and
      kewajiban, wewenang dan tanggung jawab atas                            responsibilities in the Gas Compressor Rental
      Perjanjian Penyewaan Kompresor Gas untuk PLTGU                         Agreement for PLTGU Cilegon.
      Cilegon.

      Perjanjian ini telah diperpanjang beberapa kali, terakhir              This agreement has been extended several times, most
      pada tanggal 27 Desember 2024 mengenai perpanjangan                    recently on December 27, 2024 to extend the rental
      jangka waktu penyewaan sampai dengan 9 Januari 2028                    period of gas compressors for PLTGU Cilegon until
      atau akhir ketersediaan penyaluran gas alam dari                       January 9, 2028 or the end of the availability of natural
      pemasok atau tekanan gas alam dari pemasok telah                       gas distribution from suppliers or natural gas pressure
      sesuai dengan kebutuhan mesin pembangkit yaitu                         from suppliers in accordance with the need for a
      minimal 600 psig secara berkelanjutan (mana yang                       generator engine is a minimum of 600 psig on an
      tercapai terlebih dahulu).                                             ongoing basis (whichever comes first).

   7. Pada tanggal 27 November 2013, TIP dan PT Petrogas                  7. On November 27, 2013 TIP and PT Petrogas Jatim
      Jatim Utama ("PJU") melakukan perjanjian kerja sama                    Utama ("PJU") made a coorperation agreement for the
      untuk melakukan pembangunan dan pengoperasian pipa                     construction and operation of a gas pipeline in Gresik,
      gas di Gresik, Jawa Timur. Berdasarkan perjanjian                      East Java. Based on the agreement, TIP made a join
      tersebut, TIP bekerja sama melakukan proyek dari PJU                   corporation to do a project from PJU for distribute gas to
      dalam rangka penyaluran gas ke PT Pembangkit Jawa                      PT Pembangkit Jawa Bali. The project is implemented
      Bali. Proyek dilaksanakan melalui konsep Bangun, Guna                  through the concept of Build, Use and Deliver. The
      dan Serah. Kontrak ini berlaku sampai dengan tanggal 27                contract is valid until November 27, 2028.
      November 2028.

   PT Trimitra Cipta Mandiri ("TCM")                                      PT Trimitra Cipta Mandiri ("TCM")

   1. Pada tanggal 1 Desember 2024, TCM dan Star Energy                   1. On December 1, 2024, TCM and Star Energy
      Geothermal Salak Ltd ("SEGS") dan Star Energy                          Geothermal Salak Ltd ("SEGS") and Star Energy
      Geothermal Salak Pratama Ltd ("SEGSP") melakukan                       Geothermal Salak Pratama Ltd ("SEGSP") entered into
      perjanjian jasa-jasa pendukung operasi-operasi dan                     an operations and maintenance support services
      pemeliharaan. Konsep jasa ini berupa penyedia jasa-jasa                agreement. The service concept is to provide services to
      untuk mendukung kegiatan operasi SEGS dan SEGSP di                     support the SEGS and SEGSP operations in the
      daerah Gunung Salak, Jawa Barat. Perjanjian akan                       Gunung Salak area, West Java. This agreement will
      berakhir sampai dengan 30 November 2027.                               expire until November 30, 2027.

   2. Pada tanggal 3 Januari 2025, TCM dan Star Energy                    2. On January 3, 2025, TCM and Star Energy Geothermal
      Geothermal Salak Ltd (SEGS) melakukan perjanjian                       Salak Ltd (SEGS) entered into an agreement for the
      perbaikan AFT Awi 13, penambahan inlet valve scrubber                  repair Awi 13 AFT, additional inlet valve scrubber and
      dan penggantian jalur kondensat di Lapangan Panas                      condensate line replacement in the Salak Geothermal
      Bumi Salak, Jawa Barat. Perjanjian akan berakhir sampai                Field, West Java. This agreement will expire until
      dengan 2 Januari 2027.                                                 January 2, 2027.

   PT Bravo Delta Persada ("BDP")                                         PT Bravo Delta Persada ("BDP")

   1. Pada tanggal 1 November 2012, BDP mengadakan                        1. On November 1, 2012, BDP entered into a built operate
      perjanjian kemitraan bangun olah serah ("BOT") dengan                  and transfer partnership agreement ("BOT") with PT
      PT Perdana Multiguna Sarana Bandung Barat ("PMgS")                     Perdana Multiguna Sarana Bandung Barat ("PMgS")
      terkait penyaluran air untuk memenuhi kebutuhan                        related to water distribution to meet the needs of clean
      pengadaan air bersih oleh PMgS dari Cijanggel ke Muril                 water supply by PMgS from Cijanggel to Muril, West
      kabupaten Bandung Barat.                                               Bandung regency.




                                                                  97
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                    PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                      NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                             STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                   As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                     for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)             (Expressed in full US Dollar amount, unless otherwise stated)


41. PERJANJIAN-PERJANJIAN PENTING (Lanjutan)                         41. SIGNIFICANT AGREEMENTS (Continued)

   PT Bravo Delta Persada ("BDP") (Lanjutan)                            PT Bravo Delta Persada ("BDP") (Continued)

   1. Berdasarkan Perjanjian Pengalihan Hak dan Kewajiban               1. Based on the Transfer of Rights and Obligations
      tertanggal 24 Oktober 2022, PMgS telah mengalihkan                   Agreement dated October 24, 2022, PMgS has
      seluruh hak dan kewajibannya sebagaimana diatur dalam                transferred all its rights and obligations, as stipulated in
      Perjanjian Kemitraan Bangun, Olah, Serah Fasilitas                   the Build, Operate, and Transfer Partnership Agreement
      Penyaluran Air kepada Perusahaan Umum Daerah Air                     for Water Distribution Facilities, to Perusahaan Umum
      Minum Tirta Wibawa Mukti ("PDAM-TW").                                Daerah Air Minum Tirta Wibawa Mukti ("PDAM-TW").

      Segala kewajiban PMgS yang belum terselesaikan                       Any outstanding obligations of PMgS to BDP that arose
      kepada BDP sebelum tanggal pengalihan akan menjadi                   prior to the transfer date shall be assumed and settled
      tanggung jawab PDAM-TW untuk diselesaikan.                           by PDAM-TW.

      Berdasarkan Berita Acara Kesepakatan antara BDP dan                  Based on the minutes of agreement between BDP and
      PDAM-TW tertanggal 28 Desember 2022, BDP                             PDAM-TW dated December 28, 2022, BDP agreed to
      menyetujui restrukturisasi piutang usaha sebesar                     restructure its trade receivables amounting to
      Rp4.096.887.910 (AS$261.631) menjadi hak konsesi.                    Rp4,096,887,910 (US$261,631) into a concession right.
      Selain itu, jangka waktu hak konsesi telah diperpanjang              Additionally, the concession period was extended with a
      dengan tanggal jatuh tempo pada tanggal 20 Februari                  new valid date until February 20, 2046.
      2046.

   PT Heksa Energi Mitraniaga ("HEMA")                                  PT Heksa Energi Mitraniaga ("HEMA")

   1. Berdasarkan perjanjian kerja sama antara HEMA dengan              1. Based on the cooperation agreement between HEMA
      PT Pertamina Patra Niaga ("PTPN") tanggal 27 Mei 2021                and PT Pertamina Patra Niaga ("PTPN") dated May 27,
      tentang kerja sama penyediaan jasa temporary supply                  2021 regarding cooperation in providing temporary
      point LPG dilokasi pelabuhan Rembang, Jawa Tengah                    supply point LPG services at the Rembang port, Central
      ("Proyek Rembang"). HEMA setuju untuk menyediakan                    Java ("Rembang Project"). HEMA agrees to provide
      sarana dan fasilitas temporary supply point LPG untuk                temporary LPG supply point facilities and facilities to
      menerima dan menyalurkan LPG kepada pihak PTPN                       receive and distribute LPG to PTPN or PT Pertamina
      atau PT Pertamina (Persero) dengan jangka waktu 3                    (Persero) for a period of 3 (three) years and can be
      (tiga) tahun dan dapat diperpanjang dengan adanya                    extended with a written agreement from both parties with
      kesepakatan tertulis kedua belah pihak dengan opsi                   the option of an extension for a period of 1 (one) year.
      perpanjangan selama 1 (satu) tahun.

   2. Berdasarkan perjanjian kerjasama antara HEMA dengan               2. Based on the cooperation agreement between HEMA
      PT Pertamina EP tanggal 1 September 2024, HEMA                       and PT Pertamina EP dated September 1, 2024, HEMA
      setuju untuk mendukung dan membantu kegiatan                         has agreed to support and assist in the planning and
      pekerjaan aspek perencanaan design teknis serta                      technical design aspects, as well as to manage and
      melakukan pengelolaan dan pengawasan pembangunan                     supervise the construction of production facilities in Zone
      fasilitas produksi Zona 10 dengan nilai kontrak senilai              10, with a contract value of Rp37,019,000,000. The
      Rp37.019.000.000. Perjanjian tersebut berlaku sampai                 agreement remains valid until October 20, 2026.
      dengan 20 Oktober 2026.




                                                                98
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                     PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                       NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                              STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                    As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                      for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)              (Expressed in full US Dollar amount, unless otherwise stated)


41. PERJANJIAN-PERJANJIAN PENTING (Lanjutan)                          41. SIGNIFICANT AGREEMENTS (Continued)

   PT Energasindo Heksa Karya ("EHK")                                    PT Energasindo Heksa Karya ("EHK")

   1. EHK mengadakan perjanjian penyediaan gas bumi pada                 1. EHK entered into a natural gas supply agreement on
      tanggal 7 Mei 2003 dan telah mengalami beberapa kali                  May 7, 2003, which has been amended several times,
      perubahan, yang terakhir kali pada tanggal 31 Januari                 most recently on January 31, 2024. EHK entered into a
      2024, EHK telah menandatangani Perjanjian Jual Beli                   Gas Sales and Purchase Agreement (“GSPA”) for the
      Gas ("PJBG") untuk pemanfaatan gas untuk keperluan                    utilization of gas for industrial purposes for the period
      industri periode 2025 - 2029, dimana gas bersumber dari               2025–2029, whereby the gas is sourced from the Work
      Wilayah      Kerja  Zona     7   yang    dikembangkan,                Area of Zone 7, which is developed, produced, and
      diproduksikan, dan dikelola oleh PEP, yang terkoneksi                 managed by PEP, and is connected to the open-access
      dengan jaringan pipa open access Jawa Bagian Barat,                   pipeline network in West Java. The gas will then be
      untuk kemudian gas diserahkan kepada EHK di titik serah               delivered to EHK at the following delivery points:”
      sebagai berikut:
      - Titik Serah Tegal Gede di Pasirsari, Cikarang Selatan,              - Tegal Gede Delivery Point located in Pasirsari, South
        Bekasi, Jawa Barat;                                                   Cikarang, Bekasi, West Java;
      - Titik Serah Bitung di Kadu Jaya, Curug, Tangerang,                  - Bitung Delivery Point located in Kadu Jaya, Curug,
        Banten;                                                               Tangerang, Banten;
      - Titik Serah Cilegon-1, Warnasari, Citangkil, Cilegon,               - Cilegon-1 Delivery Point located in Warnasari,
        Banten;                                                               Citangkil, Cilegon, Banten;
      - Titik Serah Cilegon-2, Warnasari, Citangkil, Cilegon,               - Cilegon-2 Delivery Point located in Warnasari,
        Banten;                                                               Citangkil, Cilegon, Banten;
      - Titik Serah Cicauh, Cikarang Barat, Bekasi, Jawa                    - Cicauh Delivery Point located in West Cikarang,
        Barat;                                                                Bekasi, West Java;
      - Titik Serah Tambun, Kedung Jaya, Babelan, Bekasi,                   - Tambun Delivery Point located in Kedung Jaya,
        Jawa Barat.                                                           Babelan, Bekasi, West Java.

      PJBG antara EHK dan PEP memiliki jangka waktu 5                       The GSPA between EHK and PEP has a term of five
      tahun terhitung sejak 1 Januari 2025 sampai dengan 31                 years from January 1, 2025 to December 31, 2029,
      Desember 2029, dimana selama jangka waktu tersebut                    during which PEP will supply 29,947 MMSCF of gas to
      PEP akan menyalurkan gas kepada EHK sebesar 29.947                    EHK. This is in accordance with the Gas Allocation and
      MMSCF. Hal ini sesuai dengan Surat Penetapan Alokasi                  Pricing Determination Letter issued by the Minister of
      dan Harga Gas dari Menteri ESDM tanggal 18 November                   Energy and Mineral Resources dated November 18,
      2024.                                                                 2024.

      Berdasarkan PJBG dengan PEP, EHK akan menyalurkan                     Based on the GSPA with PEP, EHK will distribute gas to
      gas ke beberapa industri pengguna gas bumi (konsumen)                 several natural gas end-user industries (consumers)
      yang tersebar di beberapa wilayah sebagai berikut:                    located in the following areas:
      - Wilayah Bekasi, sebanyak 8 konsumen;                                 - Bekasi area, comprising 8 consumers;
      - Wilayah Cibitung, sebanyak 12 konsumen;                              - Cibitung area, comprising 12 consumers;
      - Wilayah Bitung, sebanyak 13 konsumen;                                - Bitung area, comprising 13 consumers;
      - Wilayah Cilegon, sebanyak 5 konsumen.                                - Cilegon area, comprising 15 consumers;

   2. Pada tanggal 30 Oktober 2007, EHK mengadakan                       2. On October 30, 2007, EHK entered into a natural gas
      perjanjian penyediaan gas bumi dengan Medco E&P                       supply agreement with Medco E&P Grissik Ltd (formerly
      Grissik Ltd (dahulu ConocoPhillips (Grissik) Ltd), untuk              ConocoPhillips (Grissik) Ltd) for the supply of gas to the
      penyediaan gas di Pembangkit Tenaga Listrik PT PLN                    PT PLN (Persero) power plant located in Payo Selincah,
      (Persero) yang berada di Payo Selincah Jambi dari                     Jambi, sourced from the Corridor Block PSC gas field.
      ladang gas corridor block PSC .

      Perubahan terakhir, EHK telah menandatangani                          In the latest amendment, EHK entered into the Seventh
      amendemen Ketujuh Perjanjian Jual Beli Gas ("PJBG")                   Amendment to the Gas Sales and Purchase Agreement
      PJBG antara EHK dan Medco memiliki jangka waktu 10                    (“GSPA”). The GSPA between EHK and Medco has a
      tahun sejak 20 Desember 2023 sampai dengan 31                         term of ten years from December 20, 2023 to December
      Desember 2033, dimana selama jangka waktu tersebut                    31, 2033, during which Medco will supply gas to EHK
      Medco akan menyalurkan gas kepada EHK dengan                          with the following daily delivery quantities:
      jumlah penyerahan harian sebagai berikut:
       - Periode 20 Desember 2023 sampai dengan 31                          - For the period from December 20, 2023 to December
         Desember 2030, sebesar 30 BBTUD; dan                                 31, 2030, amounting to 30 BBTUD; and
       - Periode 1 Januari 2031 sampai dengan 31 Desember                   - For the period from January 1, 2031 to December 31,
         2033, sebesar 25 BBTUD.                                              2033, amounting to 25 BBTUD.




                                                                 99
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                      PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                        NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                               STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                     As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                       for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)               (Expressed in full US Dollar amount, unless otherwise stated)


41. PERJANJIAN-PERJANJIAN PENTING (Lanjutan)                           41. SIGNIFICANT AGREEMENTS (Continued)

   PT Energasindo Heksa Karya ("EHK") (Lanjutan)                          PT Energasindo Heksa Karya ("EHK") (Continued)

   2. Hal ini sesuai dengan Surat Penetapan Alokasi dan                   2. This is in accordance with the Gas Allocation and Pricing
      Harga Gas dari Menteri ESDM tanggal 11 Desember                        Determination Letter issued by the Minister of Energy
      2023.                                                                  and Mineral Resources dated December 11, 2023

      Berdasarkan Amendemen Ketujuh PJBG dengan Medco,                       Based on the Seventh Amendment to the GSPA with
      EHK akan menyalurkan gas ke beberapa industri dan                      Medco, EHK will distribute gas to several industrial and
      kelistrikan (konsumen) yang tersebar di beberapa wilayah               power-generation consumers located in the following
      sebagai berikut:                                                       areas:
      - Wilayah Riau, sebanyak 2 konsumen;                                   - Riau area, comprising 2 consumers;
      - Wilayah Jambi, sebanyak 3 konsumen.                                  - Jambi area, comprising 3 consumers;

   3. Jindi telah mengalirkan gas pertama kali kepada EHK                 3. Jindi commenced its first gas delivery to EHK on June
      pada tanggal 24 Juni 2021, dimana gas bersumber dari                   24, 2021, with the gas sourced from the Hari Field in the
      Lapangan Hari Wilayah Kerja South Jambi B yang                         South Jambi B Working Area, which is developed,
      dikembangkan, diproduksikan, dan dikelola oleh Jindi,                  produced, and operated by Jindi. The gas is
      untuk kemudian gas diserahkan ke EHK melalui flensa                    subsequently delivered to EHK through the final flange
      terakhir dari fasilitas hulu (wellhead )/Sakernan Tie in               of the upstream facilities (wellhead)/Sakernan Tie-in
      Point .                                                                Point.”

      PJBG antara EHK dan Jindi memiliki jangka waktu sejak                  The GSPA between EHK and Jindi has a contract term
      24 Juni 2021 sampai dengan 31 Januari 2040, dimana                     from June 24, 2021 to January 31, 2040, during which
      selama jangka waktu tersebut Jindi akan menyalurkan                    Jindi will supply gas to EHK with a total contracted
      gas kepada EHK dengan volume total jumlah kontrak                      volume of 60.30 BSCF. This is in accordance with the
      sebesar 60,30 BSCF. Hal ini sesuai dengan Surat                        Gas Allocation and Pricing Determination Letter issued
      Penetapan Alokasi dan Harga Gas dari Menteri ESDM                      by the Minister of Energy and Mineral Resources dated
      tanggal 10 Mei 2021.                                                   May 10, 2021.

      Berdasarkan PJBG dengan Jindi, EHK akan menyalurkan                    Based on the GSPA with Jindi, EHK will distribute gas to
      gas ke beberapa industri dan kelistrikan (konsumen) yang               several industrial and power-generation consumers
      tersebar di Wilayah Jambi, sebanyak 2 konsumen.                        located in the Jambi area, comprising 2 consumers.

   4. Pada tanggal 19 Desember 2023, EHK dan TIS                          4. On December 19, 2023, EHK and TIS Petroleum E&P
      Petroleum E&P Blora Pte. Ltd. ("TIS") telah                            Blora Pte. Ltd. ("TIS") entered into a GSPA, under which
      menandatangani PJBG, dimana gas bersumber dari                         the gas is sourced from the Blora Working Area, which is
      Wilayah Kerja Blora yang dikembangkan, diproduksikan,                  developed, produced, and operated by TIS, and
      dan dikelola oleh TIS, untuk kemudian gas diserahkan                   subsequently delivered to EHK through TIS’s Central
      kepada EHK melalui Central Processing Plant milik TIS.                 Processing Plant.

      PJBG antara EHK dan TIS memiliki jangka waktu 10                       The GSPA between EHK and TIS has a term of ten
      tahun sejak 8 April 2024 sampai dengan 7 April 2034,                   years from April 8, 2024 to April 7, 2034, during which
      dimana selama jangka waktu tersebut TIS akan                           TIS will supply gas to EHK with a total contracted
      menyalurkan gas kepada EHK dengan volume total                         volume of 5,346 TBTU. This is in accordance with the
      jumlah kontrak sebesar 5.346 TBTU. Hal ini sesuai                      Gas Allocation and Pricing Determination Letter issued
      dengan Surat Penetapan Alokasi dan Harga Gas dari                      by the Minister of Energy and Mineral Resources dated
      Menteri ESDM tanggal 26 Mei 2023.                                      May 26, 2023.

      Berdasarkan PJBG dengan TIS, EHK akan menyalurkan                      Based on the GSPA with TIS, EHK will distribute gas to
      gas ke beberapa industri (konsumen) yang tersebar di                   several industrial consumers located in the Grobogan
      Wilayah Grobogan dan sekitarnya.                                       area and its surroundings.




                                                                 100
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                       PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                         NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                      As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                        for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                (Expressed in full US Dollar amount, unless otherwise stated)


41. PERJANJIAN-PERJANJIAN PENTING (Lanjutan)                            41. SIGNIFICANT AGREEMENTS (Continued)

   PT Energasindo Heksa Karya ("EHK") (Lanjutan)                           PT Energasindo Heksa Karya ("EHK") (Continued)

   5. Pada tanggal 19 Desember 2007, EHK dan PT                            5. On December 19, 2007, EHK and PT Transportasi Gas
      Transportasi Gas Indonesia ("TGI") menandatangani                       Indonesia (TGI) signed a Gas Agreement with East Java
      Perjanjian Penyaluran Gas melalui East Java Gas                         Gas Pipeline System (EJGP), in which TGI agreed to
      Pipeline System (EJGP), di mana TGI setuju                              provide gas transportation services from the linking of
      memberikan jasa transportasi gas dari titik hubung antara               the branching pipes to the point of delivery. Gas supply
      pipa percabangan sampai titik penyerahan. Perjanjian                    agreement was made in connection with the obligations
      penyaluran gas ini dilakukan sehubungan dengan                          of EHK in the supply of gas for Power Plant PT PLN
      liabilitas EHK dalam penyediaan gas untuk Pembangkit                    (Persero situated in Payo Selincah as Jambi. Payment
      Tenaga Listrik PT PLN (Persero) yang berada di Payo                     of gas transportation service (toll fee) secured by SBLC.
      Selincah Jambi. Pembayaran jasa transportasi gas (toll                  This agreement is valid for ten years from the date of the
      fee ) dijamin dengan SBLC. Perjanjian ini berlaku untuk                 agreed start or end of the Gas Sales Agreement
      sepuluh tahun sejak tanggal mulai yang disepakati atau                  between EHK and Medco., whichever occurs first.
      berakhirnya Perjanjian Penjualan Gas antara EHK dan
      Medco mana yang lebih dahulu.

      Perjanjian penyaluran gas dengan TGI telah di ubah                      The gas distribution agreement with TGI has been
      terakhir kali pada tanggal 9 April 2021. Addendum ini                   amended on April 9, 2021. This addendum is valid until
      berlaku hingga 31 Desember 2029.                                        December 31, 2029.

   PT Raharja Energi Tanjung Jabung ("RETJ")                               PT Raharja Energi Tanjung Jabung ("RETJ")

   1. Pada tanggal 27 Maret 2024, RETJ memiliki perjanjian                 1. On March 27, 2024, RETJ entered into a joint crude oil
      pengambilan minyak mentah dan kondensat bersama                         and condensate lifting agreement with PT GPI Jabung
      dengan PT GPI Jabung Indonesia. Berdasarkan                             Indonesia. Based on the agreement, RETJ agreed to lift
      perjanjian tersebut, RETJ sepakat untuk melakukan                       crude oil and condensate together with PT GPI Jabung
      pengambilan (lifting ) minyak mentah dan kondensat                      Indonesia, where based on the lifting agreement, RETJ
      bersama dengan PT GPI Jabung Indonesia, dimana atas                     is entitled to receive payment for the sale of crude oil
      kesepakatan pengambilan (lifting ) tersebut, RETJ berhak                and condensate. This agreement is still valid until
      mendapat pembayaran atas penjualan minyak mentah                        December 31, 2024 or until the parties no longer have
      dan kondensat. Perjanjian ini masih berlaku sampai                      any rights in relation to the joint crude oil and
      dengan 31 Desember 2024 atau sampai dengan tidak                        condensate lifting. PT GPI Jabung Indonesia in this
      dimilikinya lagi hak yang dimiliki para pihak sehubungan                agreement will ensure that RETJ will receive the
      dengan pengambilan minyak mentah dan kondensat                          payment that is RETJ's right.
      bersama. PT GPI Jabung Indonesia dalam perjanjian ini
      akan memastikan bahwa RETJ akan menerima
      pembayaran yang menjadi hak RETJ.

   2. Pada     tanggal   19    September       2024,    RETJ               2. On September 19, 2024, RETJ signed a sale and
      menandatangani perjanjian jual beli minyak mentah dan                   purchase agreement for crude oil and condensate as
      kondensat sebagai salah satu penjual untuk menjual                      one of the sellers to sell a quantity of crude oil and
      sejumlah minyak mentah dan kondensat untuk periode                      condensate for the period January-December 2025 to
      Januari-Desember 2025 kepada pembeli dengan harga                       buyers at a free on barrel price which is the same as the
      free on barrel adalah sama dengan Indonesia Crude                       Indonesia Crude Price for crude oil and condensate in
      Price untuk minyak mentah dan kondensat pada bulan                      the month on which the bill of lading is due, plus the
      dimana tanggal bill of lading jatuh tempo ditambah                      premium as stipulated in the agreement. This agreement
      dengan premi sebagaimana ketentuan dalam perjanjian.                    is valid until December 31, 2025 or if terminated earlier
      Perjanjian ini berlaku sampai dengan tanggal 31                         by the parties, and will remain in effect until the
      Desember 2025 atau apabila diakhiri lebih dahulu oleh                   obligations in this agreement have been fulfilled by the
      para pihak, dan akan tetap berlaku sampai dengan                        parties.
      kewajiban dalam perjanjian ini telah dipenuhi oleh para
      pihak.




                                                                  101
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                             PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                               NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                      STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                            As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                              for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                      (Expressed in full US Dollar amount, unless otherwise stated)


41. PERJANJIAN-PERJANJIAN PENTING (Lanjutan)                             41. SIGNIFICANT AGREEMENTS (Continued)

   PT Raharja Energi Tanjung Jabung ("RETJ") (Lanjutan)                         PT Raharja Energi Tanjung Jabung ("RETJ") (Continued)

   3. Pada tanggal 25 Agustus 2025, RETJ menandatangani                         3. On August 25, 2025, RETJ signed a sale and purchase
      perjanjian jual beli minyak mentah dan kondensat sebagai                     agreement for crude oil and condensate as one of the
      salah satu penjual untuk menjual sejumlah minyak                             sellers to sell a quantity of crude oil and condensate for
      mentah dan kondensat untuk periode Januari-Desember                          the period January-December 2026 to buyers at a free
      2026 kepada pembeli dengan harga free on barrel adalah                       on barrel price which is the same as the Indonesia
      sama dengan Indonesia Crude Price untuk minyak                               Crude Price for crude oil and condensate in the month
      mentah dan kondensat pada bulan dimana tanggal bill of                       on which the bill of lading is due, plus the premium as
      lading jatuh tempo ditambah dengan premi sebagaimana                         stipulated in the agreement. This agreement is valid until
      ketentuan dalam perjanjian. Perjanjian ini berlaku sampai                    December 31, 2026 or if terminated earlier by the
      dengan tanggal 31 Desember 2026 atau apabila diakhiri                        parties, and will remain in effect until the obligations in
      lebih dahulu oleh para pihak, dan akan tetap berlaku                         this agreement have been fulfilled by the parties.
      sampai dengan kewajiban dalam perjanjian ini telah
      dipenuhi oleh para pihak.

42. SEGMEN OPERASI                                                       42. SEGMENT OPERATION

   Grup beroperasi di Indonesia dan memiliki dua jenis jasa                     The Group operate in Indonesia and has two main service
   utama, yaitu distribusi gas alam dan lifting minyak dan gas.                 types, namely the distribution of natural gas and oil and gas
   Pendapatan yang diperoleh bukan dari dua jenis usaha                         lifting. Earned income instead of the two main types of
   utama tersebut disajikan dalam satu segmen tersendiri.                       business are presented in a separate segment. Segment
   Segmen operasi disajikan berdasarkan jenis jasa-jasa                         operation is presented on the basis of such services.
   tersebut.

   Tabel berikut menyajikan informasi pendapatan dan laba                       The following table represents revenue and profit
   tertentu sehubungan dengan segmen operasi Grup:                              information regarding the Group’s operating segments:


                                Distribusi     Lifting minyak
                                gas alam/        dan gas/
                               Natural gas      Oil and gas       Lain-lain/          Eliminasi/    Konsolidasian/
                               distribution        lifting         Others            Elimination    Consolidated


   2025                                                                                                                                   2025
    Pendapatan                 149.073.770        49.313.956      70.777.337          (2.498.061)     266.667.002                     Revenue
    Beban                                                                                                                            Expenses
      Beban pokok pendapatan   (125.172.470)     (25.229.288)    (44.351.997)            243.685     (194.510.070)           Cost of revenue
      Gaji dan tunjangan         (4.556.494)        (992.547)     (8.088.750)                 -       (13.637.791)     Salaries and allowance
      Penyusutan                   (450.181)          (14.229)      (374.194)                 -          (838.604)               Depreciation
      Perbaikan/pemeliharaan        (29.245)          (24.428)       (59.171)                 -          (112.844)       Repair/maintenance
      Lain-lain                  (4.424.284)      (1.124.248)     (8.085.886)          2.911.729      (10.722.689)                     Others
    Pendapatan/(beban)                                                                                                          Other income/
      lain-lain                    (883.389)       4.095.801      12.404.556         (12.918.776)       2.698.192                 (expenses)

    Laba sebelum pajak          13.557.707        26.025.017      22.221.895         (12.261.423)      49.543.196              Profit before tax


    Beban pajak                  (2.730.549)     (10.821.001)       (971.901)                 -       (14.523.451)                Tax expense

    Laba tahun berjalan         10.827.158        15.204.016      21.249.994         (12.261.423)      35.019.745            Profit for the year


    Penghasilan/(rugi)                                                                                                   Other comprehensifve
      komprehensif lain            (161.024)           (2.719)    (1.237.239)                 -        (1.400.982)              income/(loss)

    Laba komprehensif           10.666.134        15.201.297      20.012.755         (12.261.423)      33.618.763         Comprehensive profit




                                                                  102
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                                               PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                                                 NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                                        STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                                              As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                                                for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                                        (Expressed in full US Dollar amount, unless otherwise stated)


42. SEGMEN OPERASI (Lanjutan)                                                               42. SEGMENT OPERATION (Continued)

                                         Distribusi         Lifting minyak
                                         gas alam/             dan gas/
                                        Natural gas           Oil and gas           Lain-lain/          Eliminasi/       Konsolidasian/
                                        distribution             lifting             Others            Elimination       Consolidated


   2024                                                                                                                                                                2024
    Pendapatan                          143.216.510             57.743.447          56.584.722          (3.067.748)        254.476.931                            Revenue
    Beban                                                                                                                                                        Expenses
      Beban pokok pendapatan            (120.451.161)          (35.298.295)         (30.359.230)           881.805        (185.226.881)                 Cost of revenue
      Gaji dan tunjangan                  (3.126.580)             (439.001)          (8.514.245)                -          (12.079.826)         Salaries and allowance
      Penyusutan                            (418.985)                (5.628)           (376.465)                -                 (801.078)                Depreciation
      Perbaikan/pemeliharaan                 (31.650)                (5.121)            (37.301)                -                  (74.072)        Repair/maintenance
      Lain-lain                           (4.301.972)           (1.488.486)          (4.382.544)         3.262.814           (6.910.188)                           Others
    Pendapatan/(beban)                                                                                                                                     Other income/
      lain-lain                           (2.242.321)            4.262.317          12.991.671         (20.177.628)          (5.165.961)                     (expenses)

    Laba sebelum pajak                   12.643.841             24.769.233          25.906.608         (19.100.757)         44.218.925                    Profit before tax


    Beban pajak                           (2.616.973)          (10.813.647)          (1.705.795)                -          (15.136.415)                      Tax expense

    Laba tahun berjalan                  10.026.868             13.955.586          24.200.813         (19.100.757)         29.082.510                  Profit for the year


    Penghasilan/(rugi)                                                                                                                             Other comprehensifve
      komprehensif lain                        7.052                 (2.644)            (28.788)                -                  (24.380)                income/(loss)

    Laba komprehensif                    10.033.920             13.952.942          24.172.025         (19.100.757)         29.058.130              Comprehensive profit


43. ASET DAN LIABILITAS DALAM MATA UANG ASING                                               43. ASSET AND LIABILITIES DENOMINATED IN FOREIGN
                                                                                                CURRENCIES

   Aset dan liabilitas moneter Grup dalam mata uang asing                                         The Group’s monetary assets and liabilities denominated in
   adalah sebagai berikut:                                                                        foreign currencies are as follows:

                                                                 2025                                     2024
                                                   Dalam mata uang/   Setara dengan/        Dalam mata uang/   Setara dengan/
                                                    In currency of     Equivalent to         In currency of     Equivalent to
                                                        Rupiah          AS$/US$                  Rupiah          AS$/US$

   Aset moneter                                                                                                                                               Monetary assets
    Kas dan setara kas                                 929.249.497.254         55.371.797     243.352.009.776        15.057.048                   Cash and cash equivalents
    Piutang usaha                                      233.661.726.828         13.923.354     153.859.266.192         9.519.816                            Trade receivables
    Piutang lain-lain                                   91.199.664.468          5.434.374      74.409.460.112         4.603.976                            Other receivables
    Pajak dibayar di muka                               48.364.968.810          2.881.955      44.039.041.862         2.724.851                                Prepaid taxes
    Taksiran klaim pengembalian pajak                   15.959.161.758            950.969       1.852.407.630           114.615               Estimated claims for tax refund
    Aset tidak lancar lain-lain                         44.920.899.642          2.676.731       2.594.695.966           160.543                    Other non-current assets

        Jumlah aset                                1.363.355.918.760           81.239.180     520.106.881.538        32.180.849                             Total assets

   Liabilitas moneter                                                                                                                                     Monetary liabilities
     Utang usaha                                        94.454.315.202          5.628.311      44.542.326.542         2.755.991                            Trade payables
     Liabilitas sewa                                    20.371.468.416          1.213.888      14.795.987.760           915.480                            Lease liabilities
     Liabilitas pembongkaran aset                      237.163.089.744         14.131.992     137.604.545.632         8.514.079                 Asset dismantling obligation
     Pinjaman pembiayaan konsumen                       30.634.920.066          1.825.463      30.965.713.196         1.915.958                  Consumer financing loans

        Jumlah liabilitas                              382.623.793.428         22.799.654     227.908.573.130        14.101.508                           Total liabilities




                                                                                     103
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CATATAN ATAS LAPORAN KEUANGAN                                                          NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                 STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                       As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                         for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                 (Expressed in full US Dollar amount, unless otherwise stated)


44. TUJUAN DAN        KEBIJAKAN       MANAJEMEN         RISIKO           44. FINANCIAL RISK MANAGEMENT OBJECTIVES AND
    KEUANGAN                                                                 POLICIES

   Liabilitas keuangan utama Grup meliputi pinjaman jangka                 The Group’s principal financial liabilities comprise short-
   pendek dan jangka panjang, utang usaha dan lain-lain dan                term and long-term loans, trade and other payables and
   beban akrual. Tujuan utama dari liabilitas keuangan ini                 accrued expenses. These financial liabilities are primarily
   adalah untuk mengumpulkan dana untuk operasi Grup. Grup                 intended to raise funds from the Group’s operations. The
   juga mempunyai berbagai aset keuangan seperti piutang                   Group also has various financial assets such as trade and
   usaha dan lain-lain, serta kas dan setara kas, dan aset tidak           other receivables, cash and cash equivalents and other non
   lancar lain-lain yang dihasilkan langsung dari kegiatan                 current assets, which arise directly from its operations.
   usahanya.

   Risiko utama dari instrumen keuangan Grup adalah risiko                 The main risks arising from the Groups financial
   suku bunga, risiko kredit, risiko kenaikan bahan baku dan               instruments are interest rate risk, credit risk, rising of raw
   risiko likuiditas. Direksi menelaah dan menyetujui kebijakan            material risk and liquidity risk. The Directors review and
   untuk mengelola masing-masing risiko tersebut yang                      agree policies for managing each of these risks, which are
   dijelaskan dengan lebih rinci sebagai berikut:                          described in more details as follows:

   - Risiko suku bunga                                                     -   Interest rate risk

      Risiko suku bunga Grup terutama timbul dari pinjaman                     The Group’s interest rate risk arises from bank loans.
      bank. Risiko suku bunga dari kas dan setara kas, bank                    The interest rate risk on cash and cash equivalents,
      yang dibatasi penggunaanya dan uang jaminan fasilitas                    restricted bank and security deposits for loan facilities
      pinjaman bernilai tidak signifikan dan semua instrumen                   are not significant and all other financial instruments are
      keuangan lainnya tidak dikenakan bunga. Pinjaman yang                    not interest bearing. Borrowings issued at variable rates
      diterbitkan dengan tingkat bunga variabel mengekspos                     expose the Group to cash flow interest rate risk.
      Grup terhadap risiko suku bunga arus kas.

      Grup menganalisis eksposur dari risiko bunga secara                      The Group analyses its interest rate exposure on a
      dinamis. Beberapa skenario disimulasikan dengan                          dynamic basis. Various scenarios are simulated taking
      beberapa pertimbangan seperti pembiayaan kembali,                        into consideration the refinancing of existing positions,
      memperbaharui dari kondisi yang ada dan alternatif lain                  and alternative financing. Based on the above scenarios,
      pembiayaan. Berdasarkan skenario tersebut diatas, Grup                   the Group manages its cash flows interest rate risk by
      mengelola risiko arus kas dari suku bunga dengan                         refinancing borrowings at a lower interest rate.
      melakukan pembiayaan pinjaman dengan suku bunga
      yang lebih rendah.

   - Risiko kredit                                                         -   Credit risk

      Risiko kredit yang dihadapi oleh Grup berasal dari kredit                The Group has credit risk arising from the credits
      yang diberikan kepada pelanggan, tetapi terdapat                         granted to the customers, but it has policies in place to
      kebijakan untuk memastikan penjualan produk hanya                        ensure that sales of services are made only to
      dilakukan kepada pelanggan yang dapat dipercaya                          creditworthy customers with proven track records or
      dengan rekam jejak atau sejarah kredit yang baik.                        good credit history. It is the Group’s policy that all
      Merupakan kebijakan Grup bahwa semua pelanggan                           customers who wish to trade on credit terms are subject
      yang akan melakukan pembelian secara kredit harus                        to credit verification procedures.
      melalui prosedur verifikasi kredit.

      Ketika pelanggan gagal melakukan pelunasan sesuai                        When a customer fails to make payment within the
      dengan syarat pembayaran, Grup akan menghubungi                          granted credit terms, the Group will contact the customer
      pelanggan untuk menindaklanjuti piutang yang telah lewat                 to act on overdue receivable. If the customer does not
      jatuh tempo. Jika pelanggan tidak melunasi piutang yang                  settle the overdue receivable within a reasonable time,
      telah jatuh tempo dalam jangka waktu yang telah                          the Group will proceed with the legal actions.
      ditentukan, Grup akan menempuh jalur hukum.

      Sesuai dengan evaluasi oleh Grup, penyisihan spesifik                    Depending on the Group’s assessment, specific
      dapat dibuat jika piutang dianggap tidak tertagih. Untuk                 provisions may be made if the debt is deemed
      menekan risiko kredit, Grup akan menghentikan                            uncollectible. To mitigate its credit risk, the Group will
      penyaluran semua produk kepada pelanggan yang                            cease the supply of all products to customers in the
      terlambat atau gagal bayar.                                              event of late payment and/or default.




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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                         PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                           NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                  STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                        As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                          for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                  (Expressed in full US Dollar amount, unless otherwise stated)


44. TUJUAN DAN KEBIJAKAN               MANAJEMEN         RISIKO           44. FINANCIAL RISK MANAGEMENT OBJECTIVES AND
    KEUANGAN (Lanjutan)                                                       POLICIES (Continued)

   - Risiko kredit (Lanjutan)                                               -   Credit risk (Continued)

      Pada tanggal laporan posisi keuangan konsolidiasian,                      At the consolidated statements of financial position date,
      eksposur maksimum Grup terhadap risiko kredit adalah                      the Group’s maximum exposure to credit risk is
      sebesar nilai tercatat masing-masing kategori dari aset                   represented by the carrying amount of each class of
      keuangan yang disajikan pada laporan posisi keuangan                      financial assets presented in the consolidated
      konsolidiasian.                                                           statements of financial position.

      Semua kas di bank, kas di bank yang dibatasi                              All the cash in banks, restricted cash in bank and
      penggunaannya dan uang jaminan fasilitas pinjaman                         security deposits for loan facilities are placed in
      ditempatkan di bank yang memiliki reputasi baik.                          reputable foreign and local banks.

      Meskipun eksposur kredit Grup terkonsentrasi terutama di                  Although the Group’s credit exposure is concentrated
      Indonesia, tidak terdapat konsentrasi risiko kredit                       mainly in Indonesia, it has no significant concentration of
      signifikan pada pelanggan atau kelompok pelanggan                         credit risk with any single customer or group of
      tertentu.                                                                 customers.

   - Risiko harga                                                           -   Price risk

      Operasi Grup terekspos terhadap risiko pasar terkait                      The Group’s operations are exposed to market risks
      dengan fluktuasi harga dari harga komoditas yang                          related to the price volatility of commodity prices traded
      diperdagangkan di pasar minyak dan gas dunia. Namun                       on world oil and gas markets. However, the Group’s
      demikian, aset dan liabilitas keuangan Grup tidak                         financial assets and liabilities are not significantly
      terekspos secara signifikan terhadap fluktuasi harga                      exposed to the price volatility of world oil and gas
      minyak dan gas dunia karena penyelesaian aset dan                         markets because the settlement of financial assets and
      liabilitas keuangan berdasarkan harga yang tercantum                      liabilities is based on the prices stipulated in the oil and
      dalam kontrak jual beli minyak dan gas yang ditentukan                    gas sales and purchase agreements that will be
      pada saat pengiriman.                                                     determined at the time of delivery.

   - Risiko likuiditas                                                      -   Liquidity risk

      Risiko likuiditas timbul dalam keadaan di mana Grup                       Liquidity risk arises in situations where the Group has
      mengalami kesulitan dalam mendapatkan sumber                              difficulties in obtaining funding. The Group’s prepaid
      pendanaan. Bisnis prabayar Grup dan manajemen risiko                      business and prudent liquidity risk management implies
      likuiditas berarti menjaga kecukupan saldo kas dan setara                 maintaining sufficient cash and cash equivalents. The
      kas. Grup mengelola risiko likuiditas dengan mengawasi                    Group manages liquidity risk by continuously monitoring
      arus kas aktual dan proyeksi secara terus menerus dan                     the forecast and actual cash flows and monitoring the
      mengawasi profil tanggal jatuh tempo aset dan liabilitas                  maturity profiles of financial assets and liabilities.
      keuangan.

      Grup memonitor proyeksi persyaratan likuiditas untuk                      The Group monitors forecasts of the liquidity
      memastikan bahwa Grup memiliki saldo kecukupan kas                        requirements to ensure that the Group has sufficient
      untuk memenuhi keperluan operasi serta menjaga                            cash to meet operational needs while always
      kecukupan dalam fasilitas pinjaman yang belum ditarik                     maintaining sufficient headroom on its undrawn
      sepanjang waktu sehingga Grup memenuhi semua batas                        committed borrowing facilities so that the Group does
      atau persyaratan fasilitas pinjaman.                                      not breach the borrowing limits or covenants on any of
                                                                                its borrowing facilities.

      Proyeksi     tersebut    mempertimbangkan           rencana               Such forecasting takes into consideration the Group’s
      pembiayaan utang Grup dan kepatuhan terhadap                              debt financing plans and covenant compliance.
      persyaratan pinjaman. Manajemen percaya bahwa                             Management believes that the strategy to manage cash
      strategi melakukan cash sweeping dan pooling of funds                     sweeping and pooling of funds across accounts in the
      dari sejumlah rekening bank ke dalam rekening bank                        main operating banks can ensure a better concentration
      operasional utama dapat memastikan pendanaan yang                         of funds and optimisation of liquidity.
      terkonsentrasi dan optimalisasi likuiditas yang lebih baik.




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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                          PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                            NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                   STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                         As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                           for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                   (Expressed in full US Dollar amount, unless otherwise stated)


44. TUJUAN DAN KEBIJAKAN               MANAJEMEN          RISIKO          44. FINANCIAL RISK MANAGEMENT OBJECTIVES AND
    KEUANGAN (Lanjutan)                                                       POLICIES (Continued)

      Tabel berikut menunjukkan analisis jatuh tempo liabilitas                   The following table analyses the Group’s financial
      keuangan Grup dalam rentang waktu yang menunjukkan                          liabilities into relevant maturity groupings based on their
      jatuh tempo kontraktual untuk semua liabilitas keuangan                     contractual maturities for all non-derivative financial
      non-derivatif dan derivatif di mana jatuh tempo                             liabilities and derivative financial instruments for which
      kontraktual sangat penting untuk pemahaman terhadap                         the contractual maturities are essential for an
      arus kas. Jumlah yang diungkapkan dalam tabel arus kas                      understanding of the timing of the cash flows. The
      kontraktual adalah jumlah nilai arus kas yang tidak                         amounts disclosed in the contractual cash flows table
      terdiskonto (termasuk pembayaran pokok dan bunga).                          are the undiscounted cashflow (including principal and
                                                                                  interest payments).

                                                                     2025
                                                   Arus kas                              Antara        Lebih dari
                                                  kontraktual/                        1 dan 2 tahun/    2 tahun/
                               Jumlah tercatat/   Contractual      Dalam 1 tahun/       Between        More than
                              Carrying amount     cash flows     Within one year      1 and 2 years     2 years


      Pinjaman bank               150.512.779      158.249.274        39.613.741         37.952.964     80.682.569                  Bank loans
      Utang usaha                  26.294.712       26.294.712        26.294.712                  -               -            Trade payables
      Utang lain-lain                 750.007          750.007            750.007                 -               -            Other payables
      Beban akrual                  8.638.016        8.638.016           8.638.016                -               -          Accrued expenses
      Liabilitas sewa               1.213.888        1.443.410            564.261           115.575       763.574               Lease liabilities
      Pinjaman pembiayaan                                                                                                  Consumer financing
       konsumen                     1.825.463        2.133.429           1.021.915          792.346       319.168                        loans

       Jumlah                     189.234.865      197.508.848        76.882.652         38.860.885     81.765.311                       Total


                                                                     2024
                                   Jumlah          Arus kas            Dalam             Antara        Lebih dari
                                  tercatat/       kontraktual/        1 tahun/        1 dan 2 tahun/    2 tahun/
                                  Carrying        Contractual         Within            Between        More than
                                   amount         cash flows         one year         1 and 2 years     2 years


      Pinjaman bank               112.308.806      136.960.263        30.978.569         27.696.609     78.285.085                  Bank loans
      Utang usaha                  18.523.806       18.523.806        18.523.806                  -               -            Trade payables
      Utang lain-lain               1.060.270        1.060.270           1.060.270                -               -            Other payables
      Beban akrual                  4.970.804        4.970.804           4.970.804                -               -          Accrued expenses
      Liabilitas sewa                 915.480          965.144            604.971           360.173               -             Lease liabilities
      Utang pembelian                                                                                                    Fixed assets purchase
       aset tetap                     170.828          181.078            110.622            70.456               -                  payables
      Pinjaman pembiayaan                                                                                                  Consumer financing
       konsumen                     1.915.958        2.314.660            914.874           799.583       600.203                        loans

       Jumlah                     139.865.952      164.976.025        57.163.916         28.926.821     78.885.288                       Total


   Manajemen modal                                                             Capital management

   Tujuan utama pengelolaan modal Grup adalah untuk                            The primary objective of the Group’s capital management is
   memastikan pemeliharaan rasio modal yang sehat untuk                        to ensure that it maintains healthy capital ratios in order to
   mendukung usaha dan memaksimalkan imbal hasil bagi                          support its business and maximize shareholder value.
   pemegang saham.




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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                       PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                         NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                      As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                        for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                (Expressed in full US Dollar amount, unless otherwise stated)


44. TUJUAN DAN KEBIJAKAN              MANAJEMEN        RISIKO           44. FINANCIAL RISK MANAGEMENT OBJECTIVES AND
    KEUANGAN (Lanjutan)                                                     POLICIES (Continued)

   Manajemen modal (Lanjutan)                                             Capital management (Continued)

   Grup mengelola struktur permodalan dan melakukan                       The Group manages its capital structure and makes
   penyesuaian berdasarkan perubahan kondisi ekonomi.                     adjustments based on changes in economic conditions. To
   Untuk memeliharan dan menyesuaikan struktur permodalan,                maintain and adjust the capital structure, the Group may
   Grup dapat menyesuaikan pembayaran dividen kepada                      adjust dividend payments to shareholders, return capital to
   pemegang saham, imbalan modal kepada pemegang saham                    shareholders or issue new shares. There were no changes
   atau menerbitkan saham baru. Tidak ada perubahan atas                  in the objectives, policies or processes for years ended
   tujuan, kebijakan maupun proses pada tahun-tahun yang                  December 31, 2025 and 2024.
   berakhir pada tanggal 31 Desember 2025 dan 2024.

   Grup mengawasi modal dengan menggunakan rasio                          The Group monitors its capital using gearing ratios, by
   pengungkit (gearing ratio) , dengan membagi utang neto                 dividing net debt by the total equity. The Group’s policy is to
   dengan total ekuitas. Kebijakan Grup adalah menjaga rasio              maintain its gearing ratio within the range of gearing ratios
   pengungkit dalam kisaran dari perusahaan terkemuka dalam               of the leading companies with similar industry in Indonesia
   industri sejenis di Indonesia untuk mengamankan akses                  in order to secure access to finance at a reasonable cost.
   terhadap pendanaan pada biaya yang rasional. Grup                      The Group includes within net debt, short-term bank loans
   menyertakan dalam utang bersih, utang bank jangka pendek               and long-term bank loans, less cash and cash equivalents.
   dan utang bank jangka panjang, dikurangi kas dan setara                Capital managed by the management includes equity
   kas. Yang dikelola sebagai modal oleh manajemen adalah                 attributable to the majority shareholders of the Company
   ekuitas yang dapat diatribusikan kepada pemilik entitas                and non-controlling interests.
   induk dan kepentingan nonpengendali.

                                                         2025               2024

   Pinjaman bank jangka pendek                          7.479.383           1.667.039                            Short-term bank loans
   Pinjaman bank jangka panjang                       143.033.396         110.641.767                            Long-term bank loans

   Jumlah pinjaman                                    150.512.779         112.308.806                                        Total loans

   Dikurangi:                                                                                                             Deducted by:
    Kas dan setara kas                                 (90.868.436)       (44.350.787)                    Cash and cash equivalents
    Kas di bank dan deposito berjangka                                                                    Restricted cash in bank and
      yang dibatasi penggunaanya                       (13.928.763)        (6.017.963)                       Restricted time deposit

   Pinjaman bersih                                      45.715.580         61.940.056                                           Net loan

   Jumlah ekuitas                                     255.937.392         171.862.581                                       Total equity

   Rasio pengungkit bersih                                0,18               0,36                                      Net gearing ratio

45. INSTRUMEN KEUANGAN                                                  45. FINANCIAL INSTRUMENTS

   Instrumen keuangan yang disajikan di dalam laporan posisi              Financial instruments presented in the consolidated
   keuangan konsolidiasian dicatat sebesar nilai wajar, atau              statements of financial position are carried at fair value,
   disajikan dalam jumlah tercatat baik karena jumlah tersebut            otherwise, they are presented at carrying amounts as either
   adalah kurang lebih sebesar nilai wajarnya atau karena nilai           these are reasonable approximation of fair values or their
   wajarnya tidak dapat diukur secara handal. Penjelasan lebih            fair values cannot be reliably measured. Further
   lanjut diberikan pada paragraf-paragraf berikut.                       explanations are provided in the following paragraphs.

   Estimasi nilai wajar                                                   Fair value estimation

   Nilai wajar aset dan liabilitas keuangan diestimasi untuk              The fair value of financial assets and financial liabilities
   keperluan pengakuan dan pengukuran atau untuk keperluan                must be estimated for recognition and measurement or for
   pengungkapan.                                                          disclosure purposes.




                                                                  107
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PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                        PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                          NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                 STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                       As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                         for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                 (Expressed in full US Dollar amount, unless otherwise stated)


45. INSTRUMEN KEUANGAN (Lanjutan)                                        45. FINANCIAL INSTRUMENTS (Continued)

   Estimasi nilai wajar (Lanjutan)                                          Fair value estimation (Continued)

   PSAK 113, “Pengukuran nilai wajar” mensyaratkan                          SFAS 113, “Fair value measurement” requires disclosure of
   pengungkapan atas pengukuran nilai wajar dengan tingkat                  fair value measurements by level of the following fair value
   hirarki nilai wajar sebagai berikut:                                     measurement hierarchy:

   - Harga dikutip (tidak disesuaikan) dari pasar yang aktif                -   Quoted prices (unadjusted) in active markets for
     untuk aset dan liabilitas yang identik (Tingkat 1);                        identical assets or liabilities (Level 1);

   - Input selain harga yang dikutip dari pasar yang disertakan             -   Inputs other than quoted prices included within Level 1
     pada Tingkat 1 yang dapat diobservasi untuk aset dan                       that are observable for the asset or liability, either
     liabilitas, baik secara langsung (yaitu sebagai sebuah                     directly (that is, as prices) or indirectly (that is, derived
     harga) atau secara tidak langsung (yaitu sebagai turunan                   from prices) (Level 2); and
     dari harga) (Tingkat 2); dan

   - Input untuk aset atau liabilitas yang tidak didasarkan pada            -   Inputs for the assets or liability that are not based on
     data pasar yang dapat diobservasi (informasi yang tidak                    observable market data (that is, unobservable input)
     dapat diobservasi) (Tingkat 3).                                            (Level 3).

   Instrumen keuangan yang disajikan di dalam laporan posisi                Financial instruments presented in the consolidated
   keuangan konsolidasian dicatat sebesar nilai wajar atau                  statement of financial position are carried at fair value or
   biaya perolehan diamortisasi, selain itu, disajikan dalam                amortized cost, otherwise, they are presented at carrying
   jumlah tercatat apabila jumlah tersebut mendekati nilai                  values as either these are reasonable approximation of fair
   wajarnya atau nilai wajarnya tidak dapat diukur secara                   values or their fair values cannot be reliably measured.
   handal.

   Klasifikasi instrumen keuangan                                           Classification of financial instruments

                                                         2025                   2024

   Aset keuangan                                                                                                           Financial assets
    Biaya diamortisasi                                                                                                     Amortised cost
     Kas dan setara kas                                 90.868.436          44.350.787                      Cash and cash equivalents
     Piutang usaha                                      33.036.075          33.741.428                                 Trade receivables
     Piutang lain-lain                                   5.827.800           6.878.607                                 Other receivables
     Aset tidak lancar lain-lain                        14.058.181           6.248.859                         Other non-current assets
    Nilai wajar melalui laba rugi                                                                         Fair value through profit or loss
     Investasi jangka pendek                               608.701                     -                          Short-term investment
     Investasi jangka panjang                           11.962.123                     -                           Long-term investment

       Jumlah                                          156.361.316          91.219.681                                             Total

   Liabilitas keuangan                                                                                                 Financial liabilities
     Biaya diamortisasi                                                                                                  Amortised cost
      Pinjaman bank                                    150.512.779         112.308.806                                     Bank loans
      Utang usaha                                       26.294.712          18.523.806                                 Trade payables
      Utang lain-lain                                      750.007           1.060.270                                 Other payables
      Liabilitas kontrak                                 4.889.597           4.311.396                               Contract liabilities
      Beban akrual                                       8.638.016           4.970.804                              Accrued expenses
      Utang pembelian aset tetap                               -               170.828                 Fixed assets purchase payables
      Pinjaman pembiayaan konsumen                       1.825.463           1.915.958                       Consumer financing loans

       Jumlah                                          192.910.574         143.261.868                                             Total




                                                                   108
Page 363
PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                        PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                          NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                 STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                       As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                         for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                 (Expressed in full US Dollar amount, unless otherwise stated)


46. TRANSAKSI NON-KAS                                                    46. NON-CASH TRANSACTION

   Kegiatan signifikan yang tidak memengaruhi arus kas                      Significant activities not affecting cash flows are as follow:
   adalah sebagai berikut:

                                                           2025              2024

   Perolehan aset tetap melalui liabilitas                         -             49.357      Acquisition of fixed assets through liabilities
   Perolehan aset tetap melalui pinjaman                                                               Acquisition of fixed assets through
    pembiayaan konsumen                                       744.247           640.313                        consumer financing loans
   Perolehan aset tetap melalui pencadangan                                                            Acquisition of fixed assets through
    liabilitas pembongkaran aset                            4.742.671                  -        provision of asset dismatling obligation
   Perolehan aset tetap melalui realisasi                                                              Acquisition of fixed assets through
    uang muka cash call                                       330.065         1.067.258         reclassification from cash call advance
   Penambahan aset hak-guna melalui                                                                       Additions of right-of-use assets
    liabilitas sewa                                         2.730.056         3.194.663                           through lease liabilities
   Penambahan properti minyak dan gas                                                                  Additions of oil and gas properties
    melalui liabilitas                                             -            236.839                                  through liabilities

47. REKONSILIASI LIABILITAS           YANG      TIMBUL      DARI         47. RECONCILIATION OF LIABILITIES FROM FINANCING
    AKTIVITAS PENDANAAN                                                      ACTIVITIES

   Perubahan liabilitas yang timbul dari aktivitas pendanaan                Changes in liabilities arising from financing activities are as
   adalah sebagai berikut:                                                  follows:

                                                                        Perubahan non-kas/
                                                                        Non-cash changes
                                                                          Perolehan aset
                                                              Beban        tetap melalui
                                                            amortisasi        aktivitas
                                                              biaya         pendanaan/     Perubahan
                                                            pinjaman/      Acquisition of   non-kas
                                                           Amortization    fixed assets     lainnya/
                         1 Januari/                        expense of         through        Other      31 Desember/
                         January 1,       Arus kas/         borrowing        financing     non-cash     December 31,
                           2025          Cash flows            cost            activity     changes        2025

   Pinjaman bank         112.308.806         37.979.087        151.694             -          73.192     150.512.779            Bank loans
   Pinjaman pembiayaan                                                                                                   Consumer financing
     konsumen              1.915.958           (834.742)           -           744.247            -        1.825.463                  loans
   Liabilitas sewa           915.480         (2.431.648)           -         2.730.056            -        1.213.888         Lease liabilities

      Jumlah             115.140.244         34.712.697        151.694       3.474.303        73.192     153.552.130                 Total

                                                                        Perubahan non-kas/
                                                                        Non-cash changes
                                                                          Perolehan aset
                                                              Beban         tetap melalui
                                                            amortisasi         aktivitas
                                                              biaya          pendanaan/    Perubahan
                                                            pinjaman/      Acquisition of   non-kas
                                                           Amortization     fixed assets    lainnya/
                         1 Januari/                        expense of          through       Other      31 Desember/
                         January 1,       Arus kas/         borrowing         financing    non-cash     December 31,
                           2024          Cash flows            cost             activity    changes        2024

   Pinjaman bank         134.568.141     (22.312.571)          280.173             -        (226.937)    112.308.806            Bank loans
   Pinjaman pembiayaan                                                                                                   Consumer financing
     konsumen              1.280.284             (4.639)           -           640.313            -        1.915.958                  loans
   Liabilitas sewa           443.748         (2.722.931)           -         3.194.663            -          915.480         Lease liabilities

      Jumlah             136.292.173     (25.040.141)          280.173       3.834.976      (226.937)    115.140.244                 Total




                                                                   109
Page 364
PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                      PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                        NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                               STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                     As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                       for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)               (Expressed in full US Dollar amount, unless otherwise stated)


48. KONTIJENSI                                                         48. CONTINGENCIES

   Pada tanggal 20 Mei 2010, PDPDE menerima kuasa jual                   On May 20, 2010, PDPDE received the power of attorney to
   gas dari Perusahaan Daerah Pertambangan dan Energi                    sell gas from Perusahaan Daerah Pertambangan dan
   Sumatera Selatan yang saat ini namanya berubah menjadi                Energi Sumatera Selatan whose name has changed to PT
   PT Sumsel Energi Gemilang (Perseroda) ("SEG"),                        Sumsel Energi Gemilang (Perseroda) ("SEG"), PDPDE's
   pemegang saham PDPDE. Pada tahun 2014 terdapat                        shareholder. In 2014 there was sale and purchase
   perjanjian jual beli gas antara SEG dan PT PLN (Persero)              agreement of gas between SEG and PT PLN (Persero)
   ("PLN") dimana dalam perjanjian jual beli tersebut terdapat           ("PLN") wherein the sale and purchase agreement
   klausal tingkat penyerapan/pemakaian minimum (Take or                 contained a clause on the minimum absorption/utilization
   Pay ("TOP")) oleh PLN sebesar 4 BBTU/hari. Namun                      rate (Take or Pay ("TOP")) by PLN of 4 BBTU/day.
   selama kontrak berjalan, PLN tidak mampu menyerap                     However, as long as the contract is running, PLN is not
   jumlah minimum tersebut sehingga PLN diwajibkan untuk                 able to absorb the minimum requirement, so PLN is
   membayar jumlah minimum tersebut. SEG sebagai pihak                   required to pay the minimum amount. SEG as a contracting
   yang berkontrak dengan PLN mengajukan tuntutan senilai                party with PLN filed a claim amounting of US$27,021,871
   AS$27.021.871 atas tidak tercapainya penyerapan minimum               for not achieving the minimum absorption to PLN through
   kepada PLN melalui Badan Arbitrase Nasional Indonesia                 the Indonesian National Arbitration Board ("BANI") and
   ("BANI") dan PDPDE sebagai penerima kuasa penjualan                   PDPDE as the recipient of the power of attorney for gas
   gas berhak mendapatkan bagian atas tuntutan SEG kepada                sales is entitled to a share of SEG's claim to PLN.
   PLN tersebut.

   Pada tanggal 3 Mei 2021, tuntutan SEG tersebut dikabulkan             On May 3, 2021, SEG's claim was granted by BANI
   oleh BANI dimana PLN diwajibkan untuk membayar kepada                 whereby PLN was required to pay SEG the amount
   SEG sebesar jumlah yang dituntut yaitu AS$27.021.871.                 claimed, that is US$27,021,871. However PLN submitted
   Namun PLN mengajukan banding ke Pengadilan Negeri                     an appeal to the South Jakarta District Court ("PN") and on
   ("PN") Jakarta Selatan dan pada tanggal 11 Oktober 2021,              October 11, 2021, the PN granted PLN's appeal.
   PN mengabulkan banding PLN.

   Selanjutnya, pada tanggal 3 November 2021 SEG                         Subsequently, on November 3, 2021, SEG filed an appeal
   mengajukan kasasi ke Mahkamah Agung ("MA") dan pada                   to the Supreme Court ("MA") and on April 14, 2022, MA
   tanggal 14 April 2022 MA mengeluarkan putusannya yang                 issued its decision which granting SEG's appeal, canceling
   mengabulkan permohonan SEG, membatalkan putusan PN                    South Jakarta PN and punish PLN to pay to SEG 50% of
   Jakarta Selatan dan menghukum PLN untuk membayar                      BANI's decision, that is amounting of US$13,510,935,
   kepada SEG sebesar 50% dari putusan BANI yaitu menjadi                which can be paid in installments and paid off no later than
   sebesar AS$13.510.935, yang dapat dibayar secara                      10 (ten) years after the request for annulment was
   bertahap dan lunas paling lama 10 (sepuluh) tahun sejak               registered in court.
   permohonan pembatalan didaftarkan di pengadilan.

   Berdasarkan notulen rapat antara PDPDE dan SEG tanggal                Based on minutes of meeting between PDPDE and SEG
   25 Januari 2024, SEG sepakat untuk membayarkan                        dated January 25, 2024, SEG agreed to pay the receipt of
   penerimaan uang yang diperoleh dari PLN kepada PDPDE                  money obtained from PLN to PDPDE in accordance with
   sesuai keputusan di atas setelah dikurangi US$0,1/MMBTU               the above decision after deducting US$0.1/MMBTU from
   dari volume TOP sebesar AS$189.964. Sampai dengan                     the TOP volume amounting of US$189,964. Up to the audit
   tanggal laporan audit, PLN belum melakukan pembayaran                 report date, PLN has not made any payment of its
   kewajibannya kepada SEG.                                              obligations to SEG.

   SEG telah mendapatkan pendapat hukum (Legal Opinion)                  SEG has obtained a legal opinion (Legal Opinion) from the
   Jaksa Pengacara Negara Kejaksaan Agung Republik                       State Attorney of the Attorney General’s Office of the
   Indonesia, terkait dengan proses pembayaran PDPDE                     Republic of Indonesia in relation to the payment process of
   Pasca Kemenangan Proses Arbitrase melawan PLN yang                    PDPDE following the successful arbitration proceedings
   diterbitkan pada tanggal 22 April 2025 dengan nomor R-                against PLN, dated April 22, 2025, under reference number
   35/G/Gph.1/04/2025. Pendapat Hukum tersebut menyatakan                R-35/G/Gph.1/04/2025. The Legal Opinion states that, in
   bahwa menurut pandangan Tim Jaksa Pengacara Negara                    the view of the State Attorney team, SEG is obliged to remit
   bahwa SEG berkewajiban untuk menyerahkan hasil                        the proceeds derived from PLN’s term of payment after first
   pendapatan dari term of payment PLN dengan terlebih                   reviewing the amount of payments that have been made by
   dahulu mereviu jumlah pembayaran yang telah dilakukan                 PDPDE to JOB PTJM, in comparison with the remuneration
   oleh PDPDE kepada JOB PTJM, dengan imbalan yang                       that should be received by PDPDE Sumsel in accordance
   seharusnya diterima oleh PDPDE Sumsel berdasarkan                     with Article 7 of the Gas Management Rights Agreement.
   Pasal 7 Perjanjian Hak Pengelolaan Gas. Namun demikian                Nevertheless, PDPDE may request reimbursement for
   PDPDE dapat meminta penggantian atas biaya yang telah                 costs incurred in relation to the handling by the other party.
   dikeluarkan untuk pengurusan pihak lain tersebut.




                                                                 110
Page 365
PT RUKUN RAHARJA TBK DAN ENTITAS ANAKNYA                                       PT RUKUN RAHARJA TBK AND ITS SUBSIDIARIES
CATATAN ATAS LAPORAN KEUANGAN                                                         NOTES TO THE CONSOLIDATED FINANCIAL
 KONSOLIDASIAN (Lanjutan)                                                                                STATEMENTS (Continued)
Tanggal 31 Desember 2025 dan 2024 serta untuk tahun-tahun                                      As at December 31, 2025 and 2024 and
 yang berakhir pada tanggal tersebut                                                                        for the years then ended
(Disajikan dalam Dolar AS penuh, kecuali dinyatakan lain)                (Expressed in full US Dollar amount, unless otherwise stated)


48. KONTIJENSI (Lanjutan)                                               48. CONTINGENCIES (Continued)

   Adapun pasal 7 tentang Imbalan dalam Perjanjian Hak                     Article 7 regarding remuneration in the Gas Management
   Pengelolaan Gas yaitu atas pengelolaan dan pemanfaatan                  Rights Agreement stipulates that, for the management and
   objek Perjanjian, maka PDPDE akan memberikan imbalan                    utilization of the object of the agreement, PDPDE shall
   kepada PDPDE Sumsel adalah sebesar AS$0,10/MMBTU                        provide remuneration to PDPDE Sumsel amounting to
   ditambahkan dengan pajak sesuai ketentuan yang berlaku                  US$0.10/MMBTU, plus applicable taxes, based on the
   dari jumlah gas yang terjual.                                           volume of gas sold.

49. ESTIMASI   CADANGAN       MINYAK     DAN    GAS    (TIDAK           49. ESTIMATED OIL AND GAS RESERVE (UNAUDITED)
    DIAUDIT)

   Grup tidak mempunyai hak kepemilikan atas cadangan                      The Group has no ownership in the oil an gas reserves, but
   minyak dan gas, tetapi mempunyai hak untuk menerima                     have the right to receive production and/or revenues from
   hasil produksi dan/atau pendapatan dari penjualan minyak                the sales of oil and gas in accordance with its production
   dan gas sesuai dengan kontrak bagi hasil.                               sharing contracts.

   Jumlah cadangan terbukti (proved reserves ) hanya                       The quantity of proved reserves is only an estimation and is
   merupakan estimasi dan tidak dimaksudkan untuk                          not intended to illustrate the realizable values or fair values
   menggambarkan nilai yang dapat direalisasikan atau nilai                of reserves attributable to the Group. This estimation is
   wajar dari cadangan Grup. Estimasi ini dapat berubah bilai              subject to change whenever new information is available in
   tersedia informasi baru di kemudian hari. Terdapat berbagai             the future. There are many inherent uncertainties in
   ketidakpastian inheren dalam mengestimasi cadangan                      estimating oil and gas reserves, including factors beyond
   minyak dan gas, termasuk faktor-faktor yang berada di luar              the control of the Group.
   kendali Grup.

   Manajemen berkeyakinan bahwa kuantitas cadangan                         Management is of the opinion that the reserves quantities,
   termasuk bagian Pemerintah merupakan estimasi yang                      which include the Government's shares are reasonable
   wajar berdasarkan data geologi dan teknik yang tersedia                 based on available geological and technical data.
   saat ini.

   Angka cadangan terbukti (proved ) dan probable sebesar                  The figures of proved and probable reserves is 24.68
   24,68 MMBBLS untuk minyak, 40,44 MMBBLS untuk                           MMBBLS for oil, 40.44 MMBBLS for condensate, 124.21
   kondensat, 124,21 MMBOE untuk gas dan 71,95 MMBBLS                      MMBOE for gas, and 71.95 MMBBLS for LPG (Liquefied
   untuk LPG (Liquefied Petroleum Gas ), serta nilai deplesi               Petroleum Gas), as well as the recognized and recorded
   yang diakui dan dicatat berasal dari perhitungan internal               depletion values are derived from internal calculation of
   PetroChina International Jabung Ltd., operator, pada tanggal            PetroChina International Jabung Ltd., operator dated
   1 Januari 2025, yang salah satu dasar perhitungannya                    January 1, 2025, with one of the bases for the calculations
   menggunakan laporan dari pihak independen.                              is from a report from an independent party.

50. PERISTIWA SETELAH PERIODE PELAPORAN                                 50. EVENTS AFTER REPORTING PERIOD

   Pada tanggal 13 Maret 2026, RATU mendapatkan Surat                      On March 13, 2026, RATU obtained Notification Letter from
   Pemberitahuan Efektifnya Pernyataan Pendaftaran No. S-                  OJK of Effective Statement of Registration No. S-
   11/D.04/2026 atas Penawaran Umum Obligasi I Raharja                     11/D.04/2026 regarding Public Offering of Raharja Energi
   Energi Cepu Tahun 2026 Sukuk Wakalah I Raharja Energi                   Cepu Bond I Year 2026 and Sukuk Wakalah I Year 2026
   Cepu Tahun 2026 dari Otoritas Jasa Keuangan (“OJK”).                    from Financial Services Authority (“OJK”).

51. PENYELESAIAN             LAPORAN              KEUANGAN              51. COMPLETION OF THE CONSOLIDATED FINANCIAL
    KONSOLIDASIAN                                                           STATEMENTS

   Dewan direksi telah menyelesaikan laporan keuangan                      The board of directors completed the consolidated financial
   konsolidasian PT Rukun Raharja Tbk dan Entitas Anaknya                  statements of PT Rukun Raharja Tbk and Its Subsidiaries
   per tanggal dan untuk tahun yang berakhir pada 31                       as at and for the year ended December 31, 2025 on March
   Desember 2025 pada tanggal 31 Maret 2026 serta                          31, 2026 and was responsible for the consolidated financial
   bertanggung jawab atas laporan keuangan konsolidasian                   statements.
   tersebut.




                                                                  111
Page 366
Kantor Pusat
Head Office

Office Park Thamrin Residences Blok A 01-05 Jl.
Thamrin Boulevard, Kel. Kebon Melati, Kec. Tanah
Abang Jakarta Pusat, 10220


   (+6221) 2929 1053
   (+6221) 2357 9803
   corsec@raja.co.id

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Names mentioned 263 people and organisations named in the text · linked when the evidence is strong

linked org Rukun Raharja Tbk · Nama Perusahaan p.1 ×585
linked org PT Raharja Energi Cepu p.24 ×85
linked person M. Arsjad Rasjid PM · Komisaris p.31 ×15
linked person Orias Petrus Moedak · Komisaris Independen p.31 ×8
linked person D. Andhi Nirwanto · Komisaris Independen p.31 ×17
linked person Djauhar Maulidi · Direktur Utama p.34 ×26
linked person Ogi Rulino · Direktur p.40 ×26
linked org PT Sentosa Bersama Mitra p.46 ×7
linked org PT Basis Utama Prima p.46 ×3
linked org PT Raharja Energi Tanjung Jabung p.55 ×10
linked org PT Petrogas Jatim Utama Cendana p.55 ×6
linked org PT Raharja Energi Negeri p.55 ×2
linked person Praba Diwangkara p.59
linked org XL Axiata Tbk p.61 ×5
linked — Ooredoo Hutchison p.61 ×2
linked org Indika Energy Tbk p.62 ×15
linked org PT Bukit Asam p.66 ×2
linked org Pelindo Multi p.70 ×2
linked org Nusantara Infrastructure Tbk p.70 ×5
linked org Dana Pensiun p.77
linked org Tokyo Gas Asia Pte Ltd p.83
linked person Alen Galfani p.108
possible org Petrosea Tbk p.24 ×12
possible org Bursa Efek Indonesia p.31 ×4
possible person Rudiantara · Komisaris Utama p.31 ×6
possible person Sumantri · Direktur p.40 ×3
possible person Ir. Rusli p.46 ×3
possible org Semen Indonesia (Persero) Tbk p.61 ×5
possible org Vale Indonesia Tbk p.61 ×4
possible org Indosat Tbk p.64 ×4
possible org Krakatau Steel (Persero) Tbk p.70 ×11
possible person Syarifudin p.84 ×2
possible person Taufik Ahmad p.88
possible person Alexandra Sinta p.88 ×2
possible person Adrian Hartadi p.88 ×6
possible org DBS Bank p.114
possible person Prof. Dr. Satrio p.114
possible person Gatot Subroto p.115
unresolved org PT Energasindo Heksa Karya p.23 ×20
unresolved org PT Triguna Internusa Pratama p.24 ×24
unresolved org Pty. Ltd. p.24 ×2
unresolved org Indonesia Stock Exchange p.31 ×2
unresolved person Rachmat Gobel · Komisaris Independen p.31 ×6
unresolved org Pusat Statistik p.35
unresolved org Ministry of Energy Daya Mineral p.36
unresolved org Menteri Kehakiman Republik Indonesia No. C p.46
unresolved person Notary Ir. Rusli p.46
unresolved org Minister of Justice p.46
unresolved person H. Thamrin Boulevard p.47 ×2
unresolved org PT Panji Raya Alamindo p.50 ×32
unresolved org PT Triguna Internusa p.50 ×4
unresolved org PT Karya Mineral Jaya p.50 ×9
unresolved org PT Hafar Daya Konstruksi p.50
unresolved org PT Hafar Daya Samudera p.50 ×2
unresolved org PT Raharja Energi p.50 ×10
unresolved org Kampung Baru Cepu Tbk p.50
unresolved org PT Hafar p.50
unresolved org Kampung Tbk p.50
unresolved org PT Panji Raya p.51 ×3
unresolved org Holdings Pte Ltd p.51
unresolved org PT Panji p.51
unresolved org PT Majuko p.51
unresolved org PT Bravo Delta p.51 ×2
unresolved org PT Artha Prima Energy p.51 ×7
unresolved org PT Banggai Ammonia Indonesia p.51 ×2
unresolved org PT Petrotech Penta Nusa p.51 ×11
unresolved org PT Gavi Sejahtera Nusantara. p.51 ×2
unresolved org PT Artifisial Teknologi p.51 ×2
unresolved org PT Heksa Energi Mitraniaga p.51 ×7
unresolved org PT Energasindo Hexa Karya p.51 ×3
unresolved org PT Bravo p.51
unresolved org PT Majuko Utama p.51 ×3
unresolved org PT Artha Prima p.51 ×2
unresolved org PT Hexa Energi Mitraniaga p.51 ×2
unresolved org PT Gavi Sejahtera p.51
unresolved org PT Artifisial Teknologi Persada p.51 ×5
unresolved org PT Raharja Energi Sentosa p.55
unresolved org PT Bumi Karya Artha p.55 ×2
unresolved org PT Raharja Energi Indonesia p.55 ×3
unresolved org PT Raharja Energi Madura p.55
unresolved org PT Raharja Energi Bohorok Infrastruktur p.55
unresolved org PT Triguna Internusa Pratama Construction p.55
unresolved org PT Trimitra Cipta Mandiri Infrastructure p.55
unresolved org PT Bravo Delta Persada Construction p.55
unresolved org PT Sarana Infrastruktur Sejahtera Usaha Penunjang Kegiatan p.55
unresolved org PT Petrotech Penta Nusa Minyak p.55
unresolved org PT Artifisial Teknologi Persada Oil p.55
unresolved org PT Heksa Energi Mitraniaga Minyak p.55
unresolved org PT Energasindo Heksa Karya Gas Distribution p.55
unresolved org PT Majuko Utama Indonesia p.55 ×8
unresolved org PT Prima Energi Raharja p.55 ×3
unresolved org PT PDPDE Gas p.55 ×8
unresolved org PT Banawa Rezeki Optima Pembangkit Listrik p.55
unresolved org PT Raharja Daya Energi Power Plant p.55
unresolved org PT Adidaya Bismawisesa Internasional Petrokimia p.55
unresolved org PT Banggai Ammonia Indonesia Petrochemichals Offshore Construction p.55
unresolved org PT Hafar Daya Konstruksi Shipping p.55
unresolved org PT Hafar Daya Samudera Offshore Construction p.55
unresolved org PT Hafar Capitol Nusantara Shipping p.55
unresolved org Menteri Komunikasi dan Informatika Republik Indonesia p.61
unresolved org PT PLN (Persero) p.61 ×2
unresolved org Semen Gresik (Persero) Tbk p.61 ×4
unresolved org PT Telkomsel p.61 ×2
unresolved org Telekomunikasi Indonesia Tbk p.61 ×4
unresolved org Indosat Oredoo Tbk p.61 ×4
unresolved org Minister of Communication and Information p.61
unresolved org Indosat Ooredoo Hutchison Tbk p.61 ×4
unresolved org PT Amartha Nusantara Raya p.61 ×2
unresolved org PT Kitabisa Indonesia p.61 ×2
unresolved org PT Elang Andalan Nusantara p.61 ×2
unresolved org PT Indika Infrastruktur Investindo p.62 ×4
unresolved org PT Indika Inti Corpindo p.62 ×4
unresolved org PT Grab Teknologi Indonesia p.62 ×4
unresolved org PT Indika Multi Properti p.62 ×4
unresolved org PT Indika Energy Infrastructure p.62 ×4
unresolved org Menteri Perdagangan Republik Indonesia p.64
unresolved org Smart Tbk p.64 ×4
unresolved org Minister of Trade p.64
unresolved org PT Global Panasonic p.64 ×2
unresolved org PT Pelabuhan Indonesia II p.65 ×5
unresolved org PT Pupuk Kaltim p.65 ×2
unresolved org PT Mahakam Sumber Jaya p.65 ×2
unresolved org PT Freeport Indonesia p.66
unresolved org PT Indonesia Asahan Aluminium (Persero) p.66
unresolved org PT Bukit Asam Transpacific Railways p.66
unresolved org PT Pelabuhan Indonesia III (Persero) p.66
unresolved org PT Berlian Jasa Terminal Indonesia p.66
unresolved org PT Rumah Sakit Pelabuhan p.66
unresolved org Indonesia Coverage Daiwa Capital Markets Singapore Limited p.66
unresolved person Rangkap · Komisaris Utama p.66
unresolved org PT Toha Sittah Salam p.69 ×2
unresolved org PT Bumi Hasta Mukti p.69 ×2
unresolved org PT Petrosea Infrastruktur Nusantara p.69 ×2
unresolved org PT Pelabuhan Tanjung Priok p.70 ×2
unresolved org PT Mitsui OSK Lines Indonesia p.70 ×2
unresolved org PT Inter Admark Dentsu p.70 ×2
unresolved org Co. Ltd. p.70 ×2
unresolved org PT Petrotech Pentanusa p.70 ×2
unresolved org PT BRI Multi Finance p.71 ×2
unresolved org PT Karya Bumi Baratama p.71 ×2
unresolved org PT Sarana Patra Hulu Cepu p.71 ×2
unresolved org PT Usahatama Mandiri Nusantara p.71 ×2
unresolved org PT IPC Terminal Petikemas p.71 ×2
unresolved org PT Trimitra Cipta Mandiri p.72 ×6
unresolved org PT Bravo Delta Persada p.72 ×5
unresolved org PT Raharja Energi Tanjung p.74
unresolved org PT Energasindo p.74 ×3
unresolved org PT Sentosa p.76
unresolved org PT Ficomindo Buana Registrar p.77 ×2
unresolved org PT Raharja p.78 ×7
unresolved org PT Triguna p.78
unresolved org PT Heksa p.78
unresolved org PT Banggai p.78
unresolved org PT Petrotech p.78
unresolved org Raharja Daya Energi Cepu Tbk p.78 ×2
unresolved org Alamindo Tbk p.78 ×2
unresolved org PT Petrogas p.78
unresolved org PT Adidaya Jatim Utama p.78
unresolved org PT Trimitra p.78
unresolved org PT Artifisial p.78 ×2
unresolved org PT Bravo Jabung p.78
unresolved org PT Sarana Infrastruktur p.78
unresolved org PT Artha p.78
unresolved org PT Hafar Daya p.78 ×4
unresolved org PT Bumi Karya p.78
unresolved org PT Prima p.78
unresolved org PT Hafar Capitol p.78 ×2
unresolved org PT Banawa Rezeki p.78
unresolved org PT Karya Optima p.78
unresolved org PT Petrotech Penta p.79
unresolved org PT Raharja Daya p.79
unresolved org Cepu Tbk p.79
unresolved org PT Rukun Prima p.79
unresolved org PT Heksa Energi p.79
unresolved org PT Karya Mineral p.79
unresolved org PT Banawa Rezeki Angkutan p.79
unresolved org PT Triguna Internusa Pratama Indirect Subsidiaries Through p.79
unresolved org PT Trimitra Cipta p.79
unresolved org PT Sarana Treatment p.79
unresolved org PT Prima Energi p.79
unresolved org PT Energasindo Heksa Karya Indirect Subsidiaries Through p.80
unresolved org PT Energasindo Heksa Karya Jasa p.80
unresolved org PT Raharja Daya Energi Indirect Subsidiaries Through p.80
unresolved org PT Raharja Daya Energi p.80 ×3
unresolved org PT Adidaya p.80
unresolved org PT Petrotech Penta Nusa Indirect Subsidiaries Through p.80
unresolved org PT Petrotech Penta Nusa Perdagangan p.80
unresolved org PT Raharja Energi Indonesia Associated Entities Belum Beroperasi p.80
unresolved org PT Petrogas Jatim p.80
unresolved org PT Banggai Basic Organic p.80
unresolved org PT Triguna Internusa Pratama Kedudukan p.82
unresolved person Dradjat Darmadji p.82 ×2
unresolved org Menteri Kehakiman dan Hak Asasi Manusia Republik Indonesia No. C- p.82
unresolved org Minister of Justice and Human Rights p.82
unresolved person Ninuk Kartini p.83 ×2
unresolved org Menteri p.83 ×3
unresolved org Minister of Law and Human Rights p.83 ×5
unresolved org PT PDPDE Gas Kedudukan p.84
unresolved org Menteri Legal Basis of Establishment p.84 ×2
unresolved person Notary Syarifudin p.84 ×2
unresolved org PT Sumsel Energi Gemilang p.84
unresolved person H.M Zulkarnain p.84
unresolved org PT Petrotech Penta Nusa Kedudukan p.85
unresolved person Notary FX Budi Santoso Isbandi p.85 ×4
unresolved org Minister of Law p.85 ×2
unresolved org PT Rukun Prima Sarana p.85 ×7
unresolved org PT Raharja Daya Energi Kedudukan p.86
unresolved org Menteri Hukum dan Hak Asasi Manusia p.86
unresolved person Indah Setyaningsih p.88 ×2
unresolved org PT Rukun Prima Sarana Kedudukan p.89
unresolved org PT Raharja Energi Sentosa Kedudukan p.90
unresolved org PT Raharja Energi Sentosa Susunan Direksi p.91
unresolved org PT Heksa Energi Mitraniaga Kedudukan p.92
unresolved person Notary Mohammad Turman p.92 ×2
unresolved org PT Raharja Energi Bohorok Kedudukan p.93
unresolved person Notary Rini Yulianti p.93 ×21
unresolved org PT Karya Mineral Jaya Kedudukan p.94
unresolved person Yulia p.94
unresolved person Notary Yulia p.94
unresolved org PT Mitra Sukses p.94
unresolved org PT Cemerlang Indah Sentosa p.94
unresolved person Ir. Iriawan Yulianto p.94
unresolved org PT Banawa Rezeki Optima Kedudukan p.95
unresolved org PT Triguna Internusa Pratama Indirect Ownership Through p.96
unresolved org PT Trimitra Cipta Mandiri Kedudukan p.96
unresolved person Masneri p.96
unresolved person Notary Masneri p.96
unresolved org PT Bravo Delta Persada Kedudukan p.98
unresolved person Notary Betty Sri Ismartini Djokopranoto p.98 ×2
unresolved org PT Sarana Infrastruktur Sejahtera Kedudukan p.99
unresolved org PT Energasindo Heksa Karya Kedudukan p.101 ×2
unresolved person Notary Syaril Mamora Siregar p.101 ×2
unresolved org PT Prima Energi Raharja Kedudukan p.102
unresolved org PT Energasindo Heksa Karya Indirect Ownership Through p.104
unresolved person Rosliana p.104
unresolved person Notary Rosliana p.104
unresolved org PT Artha Prima Energy Kedudukan p.105
unresolved person Notary Refki Ridwan p.105 ×2
unresolved person Dee Valent p.105
unresolved org PT Bumi Karya Artha Kedudukan p.106
unresolved person Notary Achmad Sulomo p.106 ×2
unresolved org PT Raharja Daya Energi Indirect Ownership Through p.107
unresolved org PT Adidaya Bismawisesa Internasional Kedudukan p.107
unresolved org PT Petrotech Penta Nusa Indirect Ownership Through p.108
unresolved org PT Artifisial Teknologi Persada Kedudukan p.108
unresolved person Ir. Arief Riyanto p.108
unresolved org PT Raharja Energi Tanjung Jabung Kedudukan p.109
unresolved org PT Raharja Energi Indonesia Kedudukan p.110
unresolved org PT Raharja Energi Negeri Kedudukan p.111
unresolved org PT Raharja Energi Indonesia Kepemilikan Tidak Langsung Melalui p.112
unresolved org PT Raharja Energi Madura Kedudukan p.112
unresolved person Muhammad Hanafi p.112 ×2
unresolved org PT Petro Indo Pasifik p.112
unresolved org PT Petrogas Jatim Utama Cendana Kedudukan p.113
unresolved person Rosida p.113
unresolved person Notary Rosida p.113
unresolved org PT Banggai Ammonia Indonesia Kedudukan p.114
unresolved person Devia Buniarto p.114 ×2
unresolved org PT Hafar Daya Konstruksi Kedudukan p.115
unresolved person Hizmelina p.115 ×2
unresolved org PT Pertosea Engineering Procurement Construction p.115

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