Financial Services » Insurance | Asuransi Jasa Tania

Asuransi Jasa Tania | Cash Flow

Fiscal year is January-December. All values IDR Millions.
2013
2014
2015
2016
2017
2018
Funds from Operations
23,246
47,012
15,142
31,427
19,185
1,554
Net Operating Cash Flow
23,246
47,012
15,142
31,427
19,185
1,554
Capital Expenditures
1,244
909
5,692
2,158
927
Sale of Fixed Assets & Businesses
846
9,576
3,494
-
-
Purchase/Sale of Investments
15,450
7,284
1,861
28,103
30,141
Net Investing Cash Flow
15,849
44,629
4,059
30,261
29,214
Cash Dividends Paid - Total
3,738
-
5,263
6,234
7,110
Net Financing Cash Flow
3,738
-
5,263
6,234
7,110
Net Change in Cash
3,660
2,383
5,821
5,068
2,919
Free Cash Flow
22,002
46,104
9,451
29,269
20,112
Other Sources
-
242,623
-
-
-
Other Uses
-
303,203
-
-
-

About Asuransi Jasa Tania

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Address
Agro, Lt 9. Plaza
Jakarta JK 12950
Indonesia
Employees -
Website http://www.jastan.co.id
Updated 07/08/2019
PT Asuransi Jasa Tania Tbk engages in the provision of general insurance services. It operates through the following segments: Property, Motor Vehicle, Marine Cargo, Engineering, and Others. Its products include JT Oto, JT Griya, livestock insurance, plantation insurance, JT Care Cash Plan, and JT Care Micro, hospital health care liability insurance.