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LONG-TERM LOANS AND OTHER BORROWINGS - Other significant information relating to bank loans (Details)
Rp in Millions, $ in Millions
12 Months Ended
Dec. 31, 2022
IDR (Rp)
Dec. 31, 2022
USD ($)
Dec. 31, 2021
IDR (Rp)
Dec. 31, 2020
IDR (Rp)
Borrowings and other credit facilities        
Proceeds from borrowings, classified as financing activities Rp 35,958,000 $ 2,310 Rp 46,612,000 Rp 24,469,000
BNI 2018 | Rupiah        
Borrowings and other credit facilities        
Total facility 182,000      
Current period payment 32,000      
BNI 2013 - 2021 | Rupiah        
Borrowings and other credit facilities        
Total facility 8,175,000      
Current period payment 1,384,000      
Bank Mandiri 2017 - 2020 | Rupiah        
Borrowings and other credit facilities        
Total facility 6,693,000      
Current period payment 1,128,000      
BSI 2019 | Rupiah        
Borrowings and other credit facilities        
Total facility 55,000      
Current period payment 11,000      
BCA 2020 - 2021        
Borrowings and other credit facilities        
Total facility 15,986,000      
Current period payment 2,880,000      
Bank CIMB Niaga 2019 - 2022 | Rupiah        
Borrowings and other credit facilities        
Total facility 2,500,000      
Current period payment 65,000      
Bank CIMB Niaga 2021 - 2022 (Telin) | United States Dollar        
Borrowings and other credit facilities        
Total facility 0      
DBS 2021 | Rupiah        
Borrowings and other credit facilities        
Total facility 3,500,000      
Current period payment 2,000,000      
Bank Permata 2020 - 2021 | Rupiah        
Borrowings and other credit facilities        
Total facility 1,500,000      
Current period payment 167,000      
Bank of china 2019 | Rupiah        
Borrowings and other credit facilities        
Total facility 1,000,000      
Current period payment 900,000      
Syndication of Banks - 2018 | United States Dollar        
Borrowings and other credit facilities        
Total facility 0      
Current period payment 0      
Syndication of Banks - 2022 | Rupiah        
Borrowings and other credit facilities        
Total facility 2,500,000      
HSBC 2021 | Rupiah        
Borrowings and other credit facilities        
Total facility 750,000      
MUFG Bank 2021 | Rupiah        
Borrowings and other credit facilities        
Total facility 500,000      
Bank Danamon | Rupiah        
Borrowings and other credit facilities        
Total facility 636,000      
Current period payment 182,000      
UOB Singapore - 2018 | United States Dollar        
Borrowings and other credit facilities        
Total facility 0      
Current period payment 0      
ANZ 2015 | Rupiah        
Borrowings and other credit facilities        
Total facility 740,000      
Current period payment Rp 88,000      
Monthly Repayment of Interest | BNI 2018 | Rupiah        
Borrowings and other credit facilities        
Interest rate (as a percent) 8.75%      
Monthly Repayment of Interest | BNI 2013 - 2021 | Rupiah | Minimum        
Borrowings and other credit facilities        
Interest rate adjustment (as a percent) 2.25%      
Monthly Repayment of Interest | BSI 2019 | Rupiah | Minimum        
Borrowings and other credit facilities        
Interest rate (as a percent) 7.50%      
Monthly Repayment of Interest | BNI 2018 - 2019 | Rupiah        
Borrowings and other credit facilities        
Interest rate (as a percent) 8.75%      
Quarterly repayment of interest | BNI 2013 - 2021 | Rupiah | Minimum        
Borrowings and other credit facilities        
Interest rate adjustment (as a percent) 1.70%      
Quarterly repayment of interest | BNI 2013 - 2021 | Rupiah | Maximum        
Borrowings and other credit facilities        
Interest rate adjustment (as a percent) 1.85%      
Quarterly repayment of interest | Bank Mandiri 2017 - 2020 | Rupiah | Minimum        
Borrowings and other credit facilities        
Interest rate adjustment (as a percent) 1.50%      
Quarterly repayment of interest | Bank Mandiri 2017 - 2020 | Rupiah | Maximum        
Borrowings and other credit facilities        
Interest rate adjustment (as a percent) 1.85%      
Quarterly repayment of interest | BRI 2017 - 2019 | Rupiah        
Borrowings and other credit facilities        
Total facility Rp 2,500,000      
Current period payment Rp 455,000      
Quarterly repayment of interest | BRI 2017 - 2019 | Rupiah | Minimum        
Borrowings and other credit facilities        
Interest rate adjustment (as a percent) 1.70%      
Quarterly repayment of interest | BRI 2017 - 2019 | Rupiah | Maximum        
Borrowings and other credit facilities        
Interest rate adjustment (as a percent) (1.85%)      
Quarterly repayment of interest | Bank CIMB Niaga 2019 - 2022 | Rupiah | Minimum        
Borrowings and other credit facilities        
Interest rate adjustment (as a percent) 1.30%      
Quarterly repayment of interest | Bank CIMB Niaga 2019 - 2022 | Rupiah | Maximum        
Borrowings and other credit facilities        
Interest rate adjustment (as a percent) 1.95%      
Quarterly repayment of interest | Bank of china 2019 | Rupiah        
Borrowings and other credit facilities        
Interest rate adjustment (as a percent) 2.00%      
Quarterly repayment of interest | MUFG Bank 2021 | Rupiah        
Borrowings and other credit facilities        
Interest rate adjustment (as a percent) 1.60%      
Quarterly repayment of interest | MUFG Bank 2021 | Rupiah | Minimum        
Borrowings and other credit facilities        
Interest rate adjustment (as a percent) 1.50%      
Quarterly repayment of interest | MUFG Bank 2021 | Rupiah | Maximum        
Borrowings and other credit facilities        
Interest rate adjustment (as a percent) 2.40%      
Quarterly repayment of interest | Bank Danamon | Rupiah        
Borrowings and other credit facilities        
Interest rate adjustment (as a percent) 1.50%      
Quarterly repayment of interest | ANZ 2015 | Rupiah | Minimum        
Borrowings and other credit facilities        
Interest rate adjustment (as a percent) 1.40%      
Quarterly repayment of interest | ANZ 2015 | Rupiah | Maximum        
Borrowings and other credit facilities        
Interest rate adjustment (as a percent) 2.00%      
Repayment of Interest, Semi Annually | BCA 2020 - 2021 | Rupiah        
Borrowings and other credit facilities        
Interest rate adjustment (as a percent) 1.50%      
Repayment of Interest, Semi Annually | Bank CIMB Niaga 2021 - 2022 (Telin) | United States Dollar        
Borrowings and other credit facilities        
Interest rate adjustment (as a percent) 1.82%      
Repayment of Interest, Semi Annually | DBS 2021 | Rupiah        
Borrowings and other credit facilities        
Interest rate adjustment (as a percent) 1.70%      
Repayment of Interest, Semi Annually | Syndication of Banks - 2018 | United States Dollar        
Borrowings and other credit facilities        
Interest rate adjustment (as a percent) 1.25%      
Repayment of Interest, Semi Annually | Syndication of Banks - 2022 | Rupiah        
Borrowings and other credit facilities        
Interest rate adjustment (as a percent) 7.68%      
Repayment of Interest, Semi Annually | HSBC 2021 | United States Dollar        
Borrowings and other credit facilities        
Interest rate adjustment (as a percent) 1.50%      
Annually Repayment of Interest | UOB Singapore - 2018 | Rupiah        
Borrowings and other credit facilities        
Interest rate adjustment (as a percent) 1.25%