Financial Services » Insurance | Asuransi Bina Dana Artha

Asuransi Bina Dana Artha | Cash Flow

Fiscal year is January-December. All values IDR Millions.
2013
2014
2015
2016
2017
2018
Funds from Operations
291,322
329,464
416,433
229,792
188,387
112,895
Net Operating Cash Flow
291,322
329,464
416,433
229,792
188,387
112,895
Capital Expenditures
16,955
17,819
9,676
5,478
2,908
Sale of Fixed Assets & Businesses
1,749
3,127
178
79
49
Purchase/Sale of Investments
114,419
32,165
317,141
352,262
486,682
Net Investing Cash Flow
26,661
46,857
326,639
357,661
489,541
Cash Dividends Paid - Total
24,832
46,561
52,769
80,705
55,873
Net Financing Cash Flow
24,832
46,561
52,769
80,705
55,873
Net Change in Cash
293,151
236,047
37,025
208,574
357,026
Free Cash Flow
274,367
311,646
406,756
224,314
185,479
Other Sources
156,286
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About Asuransi Bina Dana Artha

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Address
Plaza ABDA, 27th Floor
Jakarta JK 12190
Indonesia
Employees -
Website http://www.abdainsurance.co.id
Updated 07/08/2019
PT Asuransi Bina Dana Arta Tbk engages in the provision of general insurance services. The firm operates through the following business segments: Fire, Motor Vehicle, Marine Cargo, Accident and Health, and Miscellaneous. Its insurance products include heavy equipment, property, business interruption, electronic equipment, fidelity guarantee, liability, shipping, surety bond, health, and accident.