PT. Bank Bumiputera Indonesia Tbk.  
     
 
BABP
Bank Bumiputera Indonesia Tbk
Af          :
Sector Code : 81
Sector Name : BANK

(In thousand rupiah except Par Value, Closing Price and Ratios)

Financial Statement Date    : 30-Sep-2002
Fiscal Year Ends            : Dec
Months Covered in Income St : 9

Summary of Balance Sheet
  Receivables               :               0.00
  Inventories               :               0.00
  Current Assets            :               0.00
  Fixed Assets              :      23,723,148.11
  Other Asstes              :      10,903,451.72
  Total Assets              :   2,051,326,979.62
  Current Liabilities       :               0.00
  Longterm Liabiities       :               0.00
  Total Liabilities         :   1,823,070,274.07
  Authorized                :       5,000,000.00
  Paid-up Capital           :     200,000,000.00
  Par Value                 :                100
  Paid-up Capital Shares    :       2,000,000.00
  Retained Earnings         :      22,869,441.50
  Total Equity              :     228,256,705.56
  Minority Interest         :               0.00

Summary of Income Statement
  Total Sales               :     258,841,084.12
  Cost of Good Sold         :     243,880,985.55
  Gross Profit              :      14,960,098.58
  Operating Profit          :      14,960,098.58
  Other Income              :        -109,756.44
  Eearning Before Tax       :      14,850,342.14
  Tax                       :               0.00
  Net Income                :      14,850,342.14
  Closing Price             :             170.00

Per Share Data (Rp)
  Eps                       :               9.90
  Book Value                :             114.13

Financial Ratios
  Debt Equity Ratio (X)     :               7.99
  Roa (%)                   :                .97
  Roe (%)                   :               8.67
  Npm (%)                   :               7.65
  Opm (%)                   :               7.71

Cash Flow
  CF from Operating Activities                        :    -271,336,782.45
  CF from Investing Activities                        :     248,508,495.09
  CF from Financing Activities                        :      48,907,541.44
  Net Increase in Cash & Cash Equivalent              :      26,079,254.09
  Cash & Cash Equivalent at The Beginning of The Year :      76,590,832.40
  Cash & Cash Equivalent at The End of The Year       :     102,670,086.48