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SHORT-TERM BANK LOANS AND CURRENT MATURITIES OF LONG-TERM BORROWINGS - Other significant information (Details)
Rp in Millions, $ in Millions
Dec. 31, 2019
USD ($)
Dec. 31, 2019
IDR (Rp)
Nov. 21, 2019
IDR (Rp)
Oct. 29, 2019
IDR (Rp)
Aug. 30, 2019
IDR (Rp)
Jun. 24, 2019
IDR (Rp)
Apr. 08, 2019
IDR (Rp)
Mar. 21, 2018
IDR (Rp)
Feb. 26, 2018
IDR (Rp)
DBS Credit Agreements                  
Borrowings and other credit facilities                  
Total facility                 Rp 600,000
Unused facilities   Rp 125,000              
MUFG Credit Agreement                  
Borrowings and other credit facilities                  
Total facility               Rp 600,000  
Unused facilities   180,000              
Company, Metra, MD Media and Metranet | HSBC Credit Agreement                  
Borrowings and other credit facilities                  
Total facility             Rp 1,000,000    
Unused facilities   582,000              
Company, Infomedia, MD Media, and Telkom Infratel | MUFG Credit Agreement                  
Borrowings and other credit facilities                  
Total facility           Rp 1,560,000      
Unused facilities   400,000              
Company, Sigma and Melon | HSBC Credit Agreement                  
Borrowings and other credit facilities                  
Total facility         Rp 500,000        
Unused facilities   216,000              
Company, GSD | MUFG Credit Agreement                  
Borrowings and other credit facilities                  
Total facility       Rp 900,000          
Unused facilities   814,000              
Company, Dayamitra, GSD | Bank Mandiri Credit Agreement                  
Borrowings and other credit facilities                  
Total facility     Rp 2,400,000            
USD | HSBC maturing on July 31, 2020                  
Borrowings and other credit facilities                  
Total facility   Rp 4              
Interest rate (as a percent) 4.12% 4.12%              
USD | DBS maturing on July 31, 2020                  
Borrowings and other credit facilities                  
Total facility | $ $ 20                
Interest rate (as a percent) 3.25% 3.25%              
Rupiah | Mandiri maturing on November 21, 2020                  
Borrowings and other credit facilities                  
Total facility   Rp 2,400,000              
Interest rate adjustment (as a percent) 0.60% 0.60%              
Rupiah | BNI maturing on November 08, 2020                  
Borrowings and other credit facilities                  
Total facility   Rp 525,000              
Rupiah | BNI maturing on December 19, 2020                  
Borrowings and other credit facilities                  
Total facility   3,160,000              
Rupiah | HSBC maturing on July 31, 2020                  
Borrowings and other credit facilities                  
Total facility   Rp 600,000              
Interest rate (as a percent) 6.74% 6.74%              
Rupiah | HSBC maturing on August 30, 2020                  
Borrowings and other credit facilities                  
Total facility   Rp 1,484,000              
Rupiah | Mufg maturing on October 29, 2020                  
Borrowings and other credit facilities                  
Total facility   2,360,000              
Rupiah | DBS maturing on February 26, 2020                  
Borrowings and other credit facilities                  
Total facility   Rp 600,000              
Interest rate adjustment (as a percent) 0.70% 0.70%              
Rupiah | DBS maturing on October 18, 2020                  
Borrowings and other credit facilities                  
Total facility   Rp 4,000              
Interest rate (as a percent) 10.50% 10.50%              
Rupiah | DBS maturing on July 31, 2020                  
Borrowings and other credit facilities                  
Interest rate (as a percent) 10.75% 10.75%              
Rupiah | UOB Maturing on December 20, 2020                  
Borrowings and other credit facilities                  
Total facility   Rp 500,000              
Interest rate adjustment (as a percent) 2.00% 2.00%              
Rupiah | SCB maturing on April 16, 2020                  
Borrowings and other credit facilities                  
Total facility   Rp 150,000              
Interest rate adjustment (as a percent) 2.50% 2.50%              
Rupiah | BCA maturing on May 22, 2020                  
Borrowings and other credit facilities                  
Total facility   Rp 600,000              
Interest rate adjustment (as a percent) 1.75% 1.75%              
Rupiah | Bank Cimb Niaga maturing on January 01, 2020                  
Borrowings and other credit facilities                  
Total facility   Rp 85,000              
Rupiah | Minimum | BNI maturing on November 08, 2020                  
Borrowings and other credit facilities                  
Interest rate (as a percent) 8.41% 8.41%              
Rupiah | Minimum | BNI maturing on December 19, 2020                  
Borrowings and other credit facilities                  
Interest rate adjustment (as a percent) 2.20% 2.20%              
Rupiah | Minimum | Bank Cimb Niaga maturing on January 01, 2020                  
Borrowings and other credit facilities                  
Interest rate (as a percent) 10.90% 10.90%              
Rupiah | Maximum | BNI maturing on November 08, 2020                  
Borrowings and other credit facilities                  
Interest rate (as a percent) 9.00% 9.00%              
Rupiah | Maximum | BNI maturing on December 19, 2020                  
Borrowings and other credit facilities                  
Interest rate adjustment (as a percent) 2.50% 2.50%              
Rupiah | Maximum | Bank Cimb Niaga maturing on January 01, 2020                  
Borrowings and other credit facilities                  
Interest rate (as a percent) 11.50% 11.50%              
Monthly Repayment of Interest | Rupiah | Minimum | HSBC maturing on August 30, 2020                  
Borrowings and other credit facilities                  
Interest rate adjustment (as a percent) 0.60% 0.60%              
Monthly Repayment of Interest | Rupiah | Minimum | Mufg maturing on October 29, 2020                  
Borrowings and other credit facilities                  
Interest rate adjustment (as a percent) 0.70% 0.70%              
Monthly Repayment of Interest | Rupiah | Maximum | HSBC maturing on August 30, 2020                  
Borrowings and other credit facilities                  
Interest rate adjustment (as a percent) 0.70% 0.70%              
Monthly Repayment of Interest | Rupiah | Maximum | Mufg maturing on October 29, 2020                  
Borrowings and other credit facilities                  
Interest rate adjustment (as a percent) 0.95% 0.95%              
Quarterly repayment of interest | Rupiah | HSBC maturing on August 30, 2020                  
Borrowings and other credit facilities                  
Interest rate adjustment (as a percent) 1.00% 1.00%              
Quarterly repayment of interest | Rupiah | Mufg maturing on October 29, 2020                  
Borrowings and other credit facilities                  
Interest rate adjustment (as a percent) 1.00% 1.00%