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Investor Presentaiton

Sarana Menara Nusantara (SMN) Group Abridged consolidated statement of cashflows (3 months ended March 2023). in Rp Bn 309 2,640 (1,733) (738) 477 593 822 (249) Cash Beginning Collection* Capex+Opex** Interest Cash Surplus from Operations Loan Proceed (Payment) Acquisition*** Cash Ending ** Numbers included VAT Including ground lease *** ATMI Acquisition 18 @2023 PT Sarana Menara Nusantara Tbk
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