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2009 - Ciputra Development

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The original consolidated financial statements included herein are in<br />

the Indonesian language.<br />

PT CIPUTRA DEVELOPMENT Tbk<br />

DAN ANAK PERUSAHAAN<br />

LAPORAN ARUS KAS KONSOLIDASI (lanjutan)<br />

Tahun yang Berakhir pada Tanggal-tanggal<br />

31 Desember 2010 dan <strong>2009</strong><br />

(Disajikan dalam ribuan rupiah, kecuali dinyatakan lain)<br />

PT CIPUTRA DEVELOPMENT Tbk<br />

AND SUBSIDIARIES<br />

CONSOLIDATED STATEMENTS OF<br />

CASH FLOWS (continued)<br />

Years Ended December 31,2010 and <strong>2009</strong><br />

(Expressed in rupiah, unless otherwise stated)<br />

Catatan/<br />

2010 Notes <strong>2009</strong><br />

ARUS KAS DARI AKTIVITAS<br />

CASH FLOWS FROM FINANCING<br />

PENDANAAN<br />

ACTIVITIES<br />

Penerimaan dari hutang bank 179.930.520.207 11 49.692.380.773 Proceeds of loans from banks<br />

Setoran modal hak minoritas<br />

Capital contribution of minority<br />

pada Anak Perusahaan 20.821.862.429 19 - interest in Subsidiary<br />

Pembayaran hutang bank (22.799.333.981) 11 (100.492.581.555) Repayment of loan from bank<br />

Pembayaran dividen oleh<br />

Anak Perusahaan (13.461.751.984) - Payments of dividends by Subsidiary<br />

Hasil pelaksanaan waran - 20 513.079.541.000 Proceeds from exercise of warrants<br />

Kas bersih yang diperoleh dari<br />

Net cash provided by<br />

aktivitas pendanaan 164.491.296.671 462.279.340.218 financing activities<br />

KENAIKAN (PENURUNAN) BERSIH<br />

NET INCREASE (DECREASE) IN<br />

KAS DAN SETARA KAS 231.309.815.426 (372.653.358.020) CASH AND CASH EQUIVALENTS<br />

KAS DAN SETARA KAS AWAL<br />

CASH AND CASH EQUIVALENTS AT<br />

TAHUN 2.009.261.897.754 3 2.464.341.405.339 BEGINNING OF YEAR<br />

PENGARUH PERUBAHAN SELISIH<br />

EFFECTS OF FOREIGN EXCHANGE<br />

KURS TERHADAP KAS DAN<br />

RATE CHANGES ON CASH AND<br />

SETARA KAS (4.633.567.953) (82.426.149.565) CASH EQUIVALENTS<br />

KAS DAN SETARA KAS AKHIR<br />

CASH AND CASH EQUIVALENTS<br />

TAHUN 2.235.938.145.227 3 2.009.261.897.754 AT END OF YEAR<br />

Aktivitas yang tidak mempengaruhi<br />

arus kas:<br />

Activities not affecting cash flows:<br />

Alokasi selisih antara nilai aset<br />

Allocation of excess of the acquired<br />

bersih yang diakuisisi<br />

net assets value over the<br />

dengan biaya perolehan<br />

cost of investments<br />

Anak Perusahaan ke:<br />

in Subsidiaries to:<br />

Persediaan - 1c,3 35.949.017.898 Inventories<br />

1c,3,<br />

Tanah untuk pengembangan 1.096.127.973 1c.6,1c.8 8.192.210.861 Land for development<br />

Fixed assets and investment<br />

Aset tetap dan properti investasi 18.829.582.313 1c.1,1c.6 4.893.739.974 properties<br />

Kapitalisasi bunga<br />

Capitalization of interest<br />

ke persediaan dan aset tetap 20.892.942.188 6,8 10.651.805.131 to inventories and fixed assets<br />

Catatan atas laporan keuangan konsolidasi terlampir merupakan<br />

bagian yang tidak terpisahkan dari laporan keuangan konsolidasi<br />

secara keseluruhan.<br />

The accompanying notes form an integral part of these<br />

consolidated financial statements.<br />

6

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