NON-CONTROLLING INTERESTS IN NET ASSETS OF SUBSIDIARIES
PT Provident Agro Tbk • Laporan Tahunan
2016 Annual Report
248
These Consolidated Financial Statements are Originally Issued in Indonesian Language
Ekshibit E90 Exhibit E90
PT PROVIDENT AGRO Tbk DAN ENTITAS ANAKNYA
CATATAN ATAS LAPORAN KEUANGAN KONSOLIDASIAN UNTUK TAHUN YANG BERAKHIR PADA
31 DESEMBER 2016 Disajikan dalam ribuan Rupiah, kecuali dinyatakan lain
PT PROVIDENT AGRO Tbk AND ITS SUBSIDIARIES
NOTES TO CONSOLIDATED FINANCIAL STATEMENTS FOR THE YEAR ENDED
31 DECEMBER 2016 Expressed in thousands Rupiah, unless otherwise stated
23. TAMBAHAN MODAL DISETOR Lanjutan 23. ADDITIONAL PAID-IN CAPITAL Continued
Pada tanggal 5 Oktober 2012, Perusahaan telah menerima dana masyarakat seluruhnya atas
Penawaran Umum Saham Perdana sebesar Rp 296.617.950 dengan jumlah lembar saham
sebanyak 659.151.000 saham dan harga penawaran umum saham perdana sebesar Rp 450 angka penuh.
On 5 October 2012, the Company has received all public funds from Initial Public Offering amounting to
Rp 296,617,950 with number of shares of 659,151,000 shares and the initial public offering price of Rp 450
full amount.
Pada tanggal 16 Desember 2013, Perusahaan telah menerima dana masyarakat seluruhnya
atas Penawaran Umum Terbatas I sebesar Rp 887.037.480
dengan jumlah lembar saham sebanyak 2.111.994.000 saham dengan harga pelaksanaan
sebesar Rp 420 angka penuh. On 16 December 2013, the Company has received all
public funds from Limited Public Offering I amounting to Rp 887,037,480 with number of shares of
2,111,994,000 shares with the exercise price of Rp 420 full amount.
Pada tanggal 30 Juni 2014, Perusahaan telah mengeluarkan saham baru tanpa Hak Memesan Efek
Terlebih Dahulu “HMETD” sebanyak 79.560.356 saham dengan harga pelaksanaan sebesar Rp 420
angka penuh atau senilai Rp 33.415.350 dengan jumlah agio saham sebesar
Rp 6.406.764 setelah dikurangi dengan biaya lain-lain sebesar
Rp 19.052.550 sehubungan dengan konversi pinjaman Deira Equity S Pte. Ltd.
On 30 June 2014, the Company has issued new shares without Privilage Share Ordering Rights “HMETD” of
79,560,356 shares with exercise price of Rp 420 full amount or amounting to Rp 33,415,350 with
premium of paid-in capital amounting to Rp 6,406,764 after deducting other expenses amounting to
Rp 19,052,550 related the conversion of loan to Deira Equity S Pte. Ltd.
Rincian selisih nilai transaksi restrukturisasi entitas sepengendali adalah sebagai berikut:
Details of differences in restructuring transactions between entities under common control are as
follows:
2 0 1 6 Bagian proporsional
saham atas nilai buku aset bersih
Entitas anak Tanggal transaksi
Harga pengalihan Proportional share in
Selisih Subsidiaries
Date of transaction Transfer price
book value of net assets Difference
PT Alam Permai 31 Mei 2012
312.298.809 3.129.834
309.168.975 31 May 2012
PT Nusaraya Permai 31 Mei 2012
22.810.363 15.677.572
7.132.791 31 May 2012
PT Nakau 15 Juni 2012
239.125.000 191.785.638
47.339.362 15 June 2012
PT Sumatera Candi Kencana 15 Juni 2012
1.000.000 980.601
1.980.601 15 June 2012
PT Inti Global Laksana 18 Maret 2014
711.715 3.244.358
3.956.073 18 March 2014
PT Banyan Tumbuh Lestari 18 Maret 2014
55.212 1.299.876
1.355.088 18 March 2014
576.001.099 205.068.209
370.932.890
PT Provident Agro Tbk • Laporan Tahunan
2016 Annual Report
249
These Consolidated Financial Statements are Originally Issued in Indonesian Language
Ekshibit E91 Exhibit E91
PT PROVIDENT AGRO Tbk DAN ENTITAS ANAKNYA
CATATAN ATAS LAPORAN KEUANGAN KONSOLIDASIAN UNTUK TAHUN YANG BERAKHIR PADA
31 DESEMBER 2016 Disajikan dalam ribuan Rupiah, kecuali dinyatakan lain
PT PROVIDENT AGRO Tbk AND ITS SUBSIDIARIES
NOTES TO CONSOLIDATED FINANCIAL STATEMENTS FOR THE YEAR ENDED
31 DECEMBER 2016 Expressed in thousands Rupiah, unless otherwise stated
23. TAMBAHAN MODAL DISETOR Lanjutan 23. ADDITIONAL PAID-IN CAPITAL Continued
2 0 1 5 Bagian proporsional
saham atas nilai buku aset bersih
Entitas anak Tanggal transaksi
Harga pengalihan Proportional share in
Selisih Subsidiaries
Date of transaction Transfer price
book value of net assets Difference
PT Alam Permai 31 Mei 2012
312.299.488 3.130.513
309.168.975 31 May 2012
PT Nusaraya Permai 31 Mei 2012
22.810.363 15.677.572
7.132.791 31 May 2012
PT Nakau 15 Juni 2012
239.125.000 191.785.638
47.339.362 15 June 2012
PT Sumatera Candi Kencana 15 Juni 2012
1.000.000 980.601
1.980.601 15 June 2012
PT Inti Global Laksana 18 Maret 2014
2.386.339 5.260.351
7.646.690 18 March 2014
PT Banyan Tumbuh Lestari 18 Maret 2014
185.122 2.254.010
2.439.132 18 March 2014
577.806.312 202.098.761
375.707.551
24. SURPLUS REVALUASI 24. REVALUATION SURPLUS
2 0 1 6 2 0 1 5
Revaluation surplus of property, Surplus revaluasi aset tetap
2.072.716.756 1.076.129.778
plant and equipment Final tax on revaluation surplus of
Pajak final atas surplus revaluasi 37.791.380
- property, plant and equipment
Pajak tangguhan Deferred tax of revaluation surplus of
atas surplus revaluasi aset tetap 269.151.938
291.502.211 property, plant and equipment
Dekonsolidasi keuntungan atas Deconsolidation surplus revaluation
selisih nilai revaluasi aset of property, plant and equipment
pada entitas anak Catatan 1c 1.055.254.245
- subsidiaries Note 1c
J u m l a h
710.519.193 784.627.567
T o t a l 25. PENDAPATAN