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LONG-TERM LOANS AND OTHER BORROWINGS - Other borrowings agreements (Details)
Rp in Billions
12 Months Ended
Dec. 31, 2022
IDR (Rp)
Pt Sarana Multi Infrastructure Other Borrowings Issued On March 292019 [Member] | Minimum  
Borrowings and other credit facilities  
Net debt to EBITDA ratio 4.00%
The company | PT Sarana Multi Infrastruktur  
Borrowings and other credit facilities  
Maximum debt to equity ratio 2
Minimum debt service coverage 125.00%
Quarterly repayment of interest | The company | Pt Sarana Multi Infrastructure Other Borrowings Issued On March 292019 [Member] | Rupiah  
Borrowings and other credit facilities  
Interest rate adjustment (as a percent) 1.75%
Repayment of Interest, Semi Annually | Pt Sarana Multi Infrastructure Other Borrowings Issued On March 292019 [Member] | Rupiah | Telkomsat  
Borrowings and other credit facilities  
Total facility Rp 164.0
Current period payment Rp 23.5
Interest rate (as a percent) 1.75%
Repayment of Interest, Semi Annually | The company | Pt Sarana Multi Infrastructure Other Borrowings Issued On March 292019 [Member] | Rupiah  
Borrowings and other credit facilities  
Total facility Rp 2,836.0
Current period payment 700.0
Repayment of Interest, Semi Annually | The company | Pt Sarana Multi Infrastructure Other Borrowings Three Issued On November 142018 [Member] | Rupiah  
Borrowings and other credit facilities  
Total facility 1,000.0
Current period payment Rp 220.0
Interest rate (as a percent) 1.75%