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SHORT-TERM BANK LOANS - Other significant information (Details)
Rp in Billions
Dec. 31, 2024
IDR (Rp)
Bank Mandir Maturing On April 28, 2025  
Borrowings and other credit facilities  
Total facility Rp 600
Bank Mandir Maturing On September 27, 2025  
Borrowings and other credit facilities  
Total facility 3,550
BNI Maturing on January 9, 2026  
Borrowings and other credit facilities  
Total facility 1,350
BNI maturing on June 6, 2025  
Borrowings and other credit facilities  
Total facility 1,135
MUFG maturing on October 31, 2025  
Borrowings and other credit facilities  
Total facility 2,176
HSBC maturing on November 6, 2024  
Borrowings and other credit facilities  
Total facility 400
HSBC maturing on October 4, 2025  
Borrowings and other credit facilities  
Total facility 2,723
Bank Of China maturing on October 23, 2025  
Borrowings and other credit facilities  
Total facility 1,000
DBS maturing on July 31 2025  
Borrowings and other credit facilities  
Total facility Rp 440
Bank Maspion maturing on January 26, 2025  
Borrowings and other credit facilities  
Interest rate (as a percent) 170.00%
UOB Indonesia maturing on July 31, 2025  
Borrowings and other credit facilities  
Total facility Rp 500
PT Bank HSBC Indonesia ("HSBC") | Sigma  
Borrowings and other credit facilities  
Waiver for loan amount Rp 758
Maximum | MUFG maturing on October 31, 2025  
Borrowings and other credit facilities  
Interest rate adjustment (as a percent) (0.80%)
Monthly Repayment of Interest  
Borrowings and other credit facilities  
Interest rate (as a percent) 7.25%
Monthly Repayment of Interest | Bank Mandir Maturing On April 28, 2025  
Borrowings and other credit facilities  
Interest rate adjustment (as a percent) 1.30%
Monthly Repayment of Interest | HSBC maturing on November 6, 2024  
Borrowings and other credit facilities  
Interest rate (as a percent) 7.40%
Monthly Repayment of Interest | DBS maturing on July 31 2025  
Borrowings and other credit facilities  
Interest rate adjustment (as a percent) 1.20%
Monthly Repayment of Interest | UOB Indonesia maturing on July 31, 2025  
Borrowings and other credit facilities  
Interest rate adjustment (as a percent) 1.75%
Monthly Repayment of Interest | Minimum | Bank Mandir Maturing On September 27, 2025  
Borrowings and other credit facilities  
Interest rate (as a percent) 6.00%
Monthly Repayment of Interest | Minimum | BNI Maturing on January 9, 2026  
Borrowings and other credit facilities  
Interest rate (as a percent) 6.00%
Monthly Repayment of Interest | Minimum | BNI maturing on June 6, 2025  
Borrowings and other credit facilities  
Interest rate adjustment (as a percent) 1.75%
Monthly Repayment of Interest | Minimum | MUFG maturing on October 31, 2025  
Borrowings and other credit facilities  
Interest rate adjustment (as a percent) 0.25%
Monthly Repayment of Interest | Minimum | HSBC maturing on October 4, 2025  
Borrowings and other credit facilities  
Interest rate adjustment (as a percent) 0.35%
Monthly Repayment of Interest | Maximum | Bank Mandir Maturing On September 27, 2025  
Borrowings and other credit facilities  
Interest rate (as a percent) 9.00%
Monthly Repayment of Interest | Maximum | BNI Maturing on January 9, 2026  
Borrowings and other credit facilities  
Interest rate (as a percent) 8.50%
Monthly Repayment of Interest | Maximum | BNI maturing on June 6, 2025  
Borrowings and other credit facilities  
Interest rate adjustment (as a percent) 2.50%
Monthly Repayment of Interest | Maximum | MUFG maturing on October 31, 2025  
Borrowings and other credit facilities  
Interest rate adjustment (as a percent) 0.80%
Monthly Repayment of Interest | Maximum | HSBC maturing on October 4, 2025  
Borrowings and other credit facilities  
Interest rate adjustment (as a percent) 0.80%
Quarterly repayment of interest | Bank Mandir Maturing On April 28, 2025  
Borrowings and other credit facilities  
Interest rate adjustment (as a percent) 1.25%
Quarterly repayment of interest | MUFG maturing on October 31, 2025  
Borrowings and other credit facilities  
Interest rate adjustment (as a percent) 0.25%
Quarterly repayment of interest | HSBC maturing on October 4, 2025  
Borrowings and other credit facilities  
Interest rate adjustment (as a percent) 2.00%
Quarterly repayment of interest | Bank Of China maturing on October 23, 2025  
Borrowings and other credit facilities  
Interest rate (as a percent) 4.90%