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PT Bank Rakyat Indonesia (Persero) Tbk Unsponsored ADR Class B (BKRKY)

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  • 8.710
  • +0.030+0.35%
15min DelayClose May 1 15:58 ET
26.40BMarket Cap8.05P/E (TTM)

PT Bank Rakyat Indonesia (Persero) Tbk Unsponsored ADR Class B (BKRKY) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
Assets
Cash cash equivalents and federal funds sold
-41.21%126.56T
-41.21%126.56T
-5.42%195.17T
41.95%210.77T
46.38%262.4T
-15.46%215.28T
-15.46%215.28T
11.98%206.36T
-28.56%148.48T
-23.84%179.27T
-Cash and cash equivalents
-36.26%126.39T
-36.26%126.39T
-0.90%194.25T
41.89%207T
41.27%252.39T
-10.30%198.28T
-10.30%198.28T
24.89%196.02T
-20.80%145.89T
-8.75%178.65T
-Money market investments
-99.85%24.45B
-99.85%24.45B
-92.40%768.16B
49.96%3.63T
3,230.24%9.86T
-49.86%16.85T
-49.86%16.85T
-62.15%10.11T
-89.41%2.42T
-99.23%296.09B
-Restricted cash and investments
-2.29%148.13B
-2.29%148.13B
-33.11%151.4B
-13.46%149.97B
-52.12%152.59B
-71.64%151.6B
-71.64%151.6B
-62.38%226.36B
-79.20%173.29B
-72.52%318.69B
Receivables
28.50%68.96T
28.50%68.96T
0.89%64.29T
-24.04%79.1T
-14.65%78.92T
1.80%53.67T
1.80%53.67T
-52.97%63.72T
-8.75%104.13T
-13.30%92.47T
Prepaid assets
22.34%15.89T
22.34%15.89T
-8.84%12.95T
-1.72%13.32T
26.30%16.85T
9.86%12.99T
9.86%12.99T
50.96%14.21T
73.91%13.55T
49.86%13.34T
Net loan
13.17%1,434.19T
13.17%1,434.19T
6.59%1,352.5T
6.37%1,329.96T
5.28%1,286.05T
8.02%1,267.31T
8.02%1,267.31T
14.69%1,268.85T
17.53%1,250.36T
17.82%1,221.58T
-Allowance for loans and lease losses
2.47%82.89T
2.47%82.89T
-4.45%80.75T
-6.07%81.17T
-6.31%81.58T
-5.15%80.9T
-5.15%80.9T
-3.83%84.5T
-2.07%86.41T
-8.52%87.08T
-Available for sale securities
14.72%347.68T
14.72%347.68T
30.07%351.92T
4.78%327.05T
-10.17%305.36T
-8.44%303.06T
-8.44%303.06T
-5.18%270.57T
7.83%312.12T
11.17%339.93T
Long term equity investment
9.39%8.83T
9.39%8.83T
13.78%8.78T
13.32%8.38T
10.62%8.25T
10.55%8.08T
10.55%8.08T
11.46%7.72T
9.15%7.39T
12.52%7.46T
Derivative assets
----
----
----
----
----
----
----
----
--780.33B
--761.27B
Net PPE
-2.15%29.91T
-2.15%29.91T
4.75%29.44T
9.51%29.97T
12.73%30.56T
15.96%30.57T
15.96%30.57T
4.42%28.1T
14.53%27.37T
18.63%27.11T
-Gross PPE
7.23%60.66T
7.23%60.66T
11.18%58.93T
13.11%58.22T
14.78%57.37T
17.49%56.57T
17.49%56.57T
10.79%53T
16.56%51.47T
17.89%49.98T
-Accumulated depreciation
-18.26%-30.75T
-18.26%-30.75T
-18.43%-29.49T
-17.19%-28.25T
-17.21%-26.81T
-19.35%-26T
-19.35%-26T
-18.98%-24.9T
-18.96%-24.1T
-17.03%-22.87T
Goodwill and other intangible assets
4.74%34.41T
4.74%34.41T
2.48%34.16T
0.23%33.39T
-1.17%32.89T
-1.40%32.85T
-1.40%32.85T
0.10%33.34T
0.13%33.32T
-0.15%33.28T
-Other intangible assets
4.74%34.41T
4.74%34.41T
2.48%34.16T
0.23%33.39T
-1.17%32.89T
-1.40%32.85T
-1.40%32.85T
0.10%33.34T
0.13%33.32T
-0.15%33.28T
Deferred costs
-12.62%4.15T
-12.62%4.15T
-12.77%4.29T
-11.06%4.44T
-9.42%4.6T
-8.54%4.75T
-8.54%4.75T
-2.59%4.92T
1.48%4.99T
4.80%5.08T
Other assets
32.32%24.16T
32.32%24.16T
9.93%23.66T
27.16%28.37T
20.39%24.21T
-71.24%18.26T
-71.24%18.26T
40.69%21.52T
75.53%22.31T
7.31%20.11T
Total assets
7.19%2,135.37T
7.19%2,135.37T
8.23%2,123.45T
6.52%2,106.37T
5.49%2,098.23T
1.36%1,992.19T
1.36%1,992.19T
5.94%1,961.92T
9.54%1,977.37T
9.11%1,989.07T
Liabilities
Total deposits
7.64%1,496.65T
7.64%1,496.65T
9.18%1,506.13T
6.86%1,507.2T
1.23%1,447.78T
1.47%1,390.46T
1.47%1,390.46T
5.20%1,379.48T
11.10%1,410.4T
8.94%1,430.16T
Payables
22.83%32.16T
22.83%32.16T
3.28%6.91T
14.35%5.63T
532.85%38.2T
654.12%26.18T
654.12%26.18T
7.41%6.69T
1.95%4.93T
-5.37%6.04T
-Accounts payable
-6.92%1.96T
-6.92%1.96T
20.97%2.41T
37.55%2.47T
-31.91%2.66T
-2.19%2.11T
-2.19%2.11T
15.82%1.99T
-8.60%1.8T
103.27%3.91T
-Total tax payable
53.42%3.3T
53.42%3.3T
-26.10%2.65T
-18.35%2.56T
15.88%2.47T
-15.56%2.15T
-15.56%2.15T
55.59%3.58T
53.37%3.13T
-42.28%2.13T
-Dividends payable
1.45%20.63T
1.45%20.63T
--0
--0
--31.4T
60.57%20.34T
60.57%20.34T
--0
--0
----
-Other payable
295.26%6.27T
295.26%6.27T
65.70%1.86T
--607.18B
--1.68T
71.33%1.59T
71.33%1.59T
-49.29%1.12T
----
----
Long term debt and capital lease obligation
6.27%171.65T
6.27%171.65T
0.01%154.24T
12.86%174.75T
18.45%168.56T
8.41%161.52T
8.41%161.52T
17.61%154.22T
11.68%154.84T
2.72%142.3T
Derivative product liabilities
----
----
----
----
----
----
----
----
--2.13T
--1.36T
Other liabilities
11.46%51.05T
11.46%51.05T
55.94%68.32T
9.64%52.26T
43.91%94.96T
-52.61%45.8T
-52.61%45.8T
10.89%43.81T
4.03%47.67T
69.04%65.98T
Total liabilities
8.12%1,804.43T
8.12%1,804.43T
9.38%1,785.55T
7.12%1,784.3T
6.05%1,792.38T
1.23%1,668.87T
1.23%1,668.87T
5.97%1,632.44T
10.55%1,665.64T
9.86%1,690.18T
Shareholders'equity
Share capital
0.00%7.58T
0.00%7.58T
0.00%7.58T
0.00%7.58T
0.00%7.58T
0.00%7.58T
0.00%7.58T
0.00%7.58T
0.00%7.58T
0.00%7.58T
-common stock
0.00%7.58T
0.00%7.58T
0.00%7.58T
0.00%7.58T
0.00%7.58T
0.00%7.58T
0.00%7.58T
0.00%7.58T
0.00%7.58T
0.00%7.58T
Paid-in capital
0.09%75.95T
0.09%75.95T
0.01%75.89T
0.02%75.89T
0.05%75.89T
0.04%75.88T
0.04%75.88T
0.04%75.88T
0.04%75.88T
0.29%75.85T
Retained earnings
2.15%219.64T
2.15%219.64T
2.07%224.87T
2.64%210.36T
3.25%197.35T
1.98%215.01T
1.98%215.01T
6.31%220.32T
6.37%204.95T
6.93%191.14T
Less: Treasury stock
2.63%4.46T
2.63%4.46T
5.22%4.58T
22.76%4.58T
19.88%4.33T
20.33%4.35T
20.33%4.35T
32.46%4.35T
23.46%3.73T
19.71%3.61T
Other equity interest
-9.25%1.88T
-9.25%1.88T
4.79%2.1T
7.91%2.1T
10.89%2.08T
14.26%2.07T
14.26%2.07T
13.10%2.01T
9.45%1.94T
5.81%1.88T
Total stockholders'equity
2.21%324.03T
2.21%324.03T
2.42%331.19T
3.14%315.5T
2.26%299.61T
1.79%317.03T
1.79%317.03T
5.47%323.38T
4.22%305.9T
4.80%293T
Non controlling interests
9.88%6.91T
9.88%6.91T
10.08%6.71T
12.63%6.57T
5.77%6.24T
16.57%6.29T
16.57%6.29T
23.54%6.09T
17.31%5.83T
21.28%5.9T
Total equity
2.36%330.94T
2.36%330.94T
2.56%337.9T
3.32%322.07T
2.33%305.85T
2.04%323.32T
2.04%323.32T
5.76%329.47T
4.44%311.73T
5.08%298.9T
Currency Unit
IDR
IDR
IDR
IDR
IDR
IDR
IDR
IDR
IDR
IDR
(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024
Assets
Cash cash equivalents and federal funds sold -41.21%126.56T-41.21%126.56T-5.42%195.17T41.95%210.77T46.38%262.4T-15.46%215.28T-15.46%215.28T11.98%206.36T-28.56%148.48T-23.84%179.27T
-Cash and cash equivalents -36.26%126.39T-36.26%126.39T-0.90%194.25T41.89%207T41.27%252.39T-10.30%198.28T-10.30%198.28T24.89%196.02T-20.80%145.89T-8.75%178.65T
-Money market investments -99.85%24.45B-99.85%24.45B-92.40%768.16B49.96%3.63T3,230.24%9.86T-49.86%16.85T-49.86%16.85T-62.15%10.11T-89.41%2.42T-99.23%296.09B
-Restricted cash and investments -2.29%148.13B-2.29%148.13B-33.11%151.4B-13.46%149.97B-52.12%152.59B-71.64%151.6B-71.64%151.6B-62.38%226.36B-79.20%173.29B-72.52%318.69B
Receivables 28.50%68.96T28.50%68.96T0.89%64.29T-24.04%79.1T-14.65%78.92T1.80%53.67T1.80%53.67T-52.97%63.72T-8.75%104.13T-13.30%92.47T
Prepaid assets 22.34%15.89T22.34%15.89T-8.84%12.95T-1.72%13.32T26.30%16.85T9.86%12.99T9.86%12.99T50.96%14.21T73.91%13.55T49.86%13.34T
Net loan 13.17%1,434.19T13.17%1,434.19T6.59%1,352.5T6.37%1,329.96T5.28%1,286.05T8.02%1,267.31T8.02%1,267.31T14.69%1,268.85T17.53%1,250.36T17.82%1,221.58T
-Allowance for loans and lease losses 2.47%82.89T2.47%82.89T-4.45%80.75T-6.07%81.17T-6.31%81.58T-5.15%80.9T-5.15%80.9T-3.83%84.5T-2.07%86.41T-8.52%87.08T
-Available for sale securities 14.72%347.68T14.72%347.68T30.07%351.92T4.78%327.05T-10.17%305.36T-8.44%303.06T-8.44%303.06T-5.18%270.57T7.83%312.12T11.17%339.93T
Long term equity investment 9.39%8.83T9.39%8.83T13.78%8.78T13.32%8.38T10.62%8.25T10.55%8.08T10.55%8.08T11.46%7.72T9.15%7.39T12.52%7.46T
Derivative assets ----------------------------------780.33B--761.27B
Net PPE -2.15%29.91T-2.15%29.91T4.75%29.44T9.51%29.97T12.73%30.56T15.96%30.57T15.96%30.57T4.42%28.1T14.53%27.37T18.63%27.11T
-Gross PPE 7.23%60.66T7.23%60.66T11.18%58.93T13.11%58.22T14.78%57.37T17.49%56.57T17.49%56.57T10.79%53T16.56%51.47T17.89%49.98T
-Accumulated depreciation -18.26%-30.75T-18.26%-30.75T-18.43%-29.49T-17.19%-28.25T-17.21%-26.81T-19.35%-26T-19.35%-26T-18.98%-24.9T-18.96%-24.1T-17.03%-22.87T
Goodwill and other intangible assets 4.74%34.41T4.74%34.41T2.48%34.16T0.23%33.39T-1.17%32.89T-1.40%32.85T-1.40%32.85T0.10%33.34T0.13%33.32T-0.15%33.28T
-Other intangible assets 4.74%34.41T4.74%34.41T2.48%34.16T0.23%33.39T-1.17%32.89T-1.40%32.85T-1.40%32.85T0.10%33.34T0.13%33.32T-0.15%33.28T
Deferred costs -12.62%4.15T-12.62%4.15T-12.77%4.29T-11.06%4.44T-9.42%4.6T-8.54%4.75T-8.54%4.75T-2.59%4.92T1.48%4.99T4.80%5.08T
Other assets 32.32%24.16T32.32%24.16T9.93%23.66T27.16%28.37T20.39%24.21T-71.24%18.26T-71.24%18.26T40.69%21.52T75.53%22.31T7.31%20.11T
Total assets 7.19%2,135.37T7.19%2,135.37T8.23%2,123.45T6.52%2,106.37T5.49%2,098.23T1.36%1,992.19T1.36%1,992.19T5.94%1,961.92T9.54%1,977.37T9.11%1,989.07T
Liabilities
Total deposits 7.64%1,496.65T7.64%1,496.65T9.18%1,506.13T6.86%1,507.2T1.23%1,447.78T1.47%1,390.46T1.47%1,390.46T5.20%1,379.48T11.10%1,410.4T8.94%1,430.16T
Payables 22.83%32.16T22.83%32.16T3.28%6.91T14.35%5.63T532.85%38.2T654.12%26.18T654.12%26.18T7.41%6.69T1.95%4.93T-5.37%6.04T
-Accounts payable -6.92%1.96T-6.92%1.96T20.97%2.41T37.55%2.47T-31.91%2.66T-2.19%2.11T-2.19%2.11T15.82%1.99T-8.60%1.8T103.27%3.91T
-Total tax payable 53.42%3.3T53.42%3.3T-26.10%2.65T-18.35%2.56T15.88%2.47T-15.56%2.15T-15.56%2.15T55.59%3.58T53.37%3.13T-42.28%2.13T
-Dividends payable 1.45%20.63T1.45%20.63T--0--0--31.4T60.57%20.34T60.57%20.34T--0--0----
-Other payable 295.26%6.27T295.26%6.27T65.70%1.86T--607.18B--1.68T71.33%1.59T71.33%1.59T-49.29%1.12T--------
Long term debt and capital lease obligation 6.27%171.65T6.27%171.65T0.01%154.24T12.86%174.75T18.45%168.56T8.41%161.52T8.41%161.52T17.61%154.22T11.68%154.84T2.72%142.3T
Derivative product liabilities ----------------------------------2.13T--1.36T
Other liabilities 11.46%51.05T11.46%51.05T55.94%68.32T9.64%52.26T43.91%94.96T-52.61%45.8T-52.61%45.8T10.89%43.81T4.03%47.67T69.04%65.98T
Total liabilities 8.12%1,804.43T8.12%1,804.43T9.38%1,785.55T7.12%1,784.3T6.05%1,792.38T1.23%1,668.87T1.23%1,668.87T5.97%1,632.44T10.55%1,665.64T9.86%1,690.18T
Shareholders'equity
Share capital 0.00%7.58T0.00%7.58T0.00%7.58T0.00%7.58T0.00%7.58T0.00%7.58T0.00%7.58T0.00%7.58T0.00%7.58T0.00%7.58T
-common stock 0.00%7.58T0.00%7.58T0.00%7.58T0.00%7.58T0.00%7.58T0.00%7.58T0.00%7.58T0.00%7.58T0.00%7.58T0.00%7.58T
Paid-in capital 0.09%75.95T0.09%75.95T0.01%75.89T0.02%75.89T0.05%75.89T0.04%75.88T0.04%75.88T0.04%75.88T0.04%75.88T0.29%75.85T
Retained earnings 2.15%219.64T2.15%219.64T2.07%224.87T2.64%210.36T3.25%197.35T1.98%215.01T1.98%215.01T6.31%220.32T6.37%204.95T6.93%191.14T
Less: Treasury stock 2.63%4.46T2.63%4.46T5.22%4.58T22.76%4.58T19.88%4.33T20.33%4.35T20.33%4.35T32.46%4.35T23.46%3.73T19.71%3.61T
Other equity interest -9.25%1.88T-9.25%1.88T4.79%2.1T7.91%2.1T10.89%2.08T14.26%2.07T14.26%2.07T13.10%2.01T9.45%1.94T5.81%1.88T
Total stockholders'equity 2.21%324.03T2.21%324.03T2.42%331.19T3.14%315.5T2.26%299.61T1.79%317.03T1.79%317.03T5.47%323.38T4.22%305.9T4.80%293T
Non controlling interests 9.88%6.91T9.88%6.91T10.08%6.71T12.63%6.57T5.77%6.24T16.57%6.29T16.57%6.29T23.54%6.09T17.31%5.83T21.28%5.9T
Total equity 2.36%330.94T2.36%330.94T2.56%337.9T3.32%322.07T2.33%305.85T2.04%323.32T2.04%323.32T5.76%329.47T4.44%311.73T5.08%298.9T
Currency Unit IDRIDRIDRIDRIDRIDRIDRIDRIDRIDR
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