Annual / Quarterly Financial Statement • Feb 13, 2018
Annual / Quarterly Financial Statement
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S.C. "ŞANTIERUL NAVAL ORŞOVA" S.A. Nr. RC J25/150/1991 CIF: RO 1614734 Capital social: - subscris 28.557.297,5 lei - varsat 28.557.297,5 lei Str. Tufări, nr. 4, Orşova, 225200, Mehedinţi Tel.: 0252/362.399; 0252/361.885; Fax: 0252/360.648 E-mail: [email protected]; [email protected] COD LEI: 254900UXAJ8TPIKLXG79 Cod IBAN: RO96RNCB0181022634120001- B.C.R. Orşova Cod IBAN: RO59BRDE260SV03176142600- B.R.D. Orşova
| Referința/ reference IAS 1.10(a), 113 |
Rand | 31.12.2017 | 01.01.2017 | |
|---|---|---|---|---|
| Active / Assets | (lei) | (lei) | ||
| Active Imobilizate/ Fixed assets | ||||
| IAS 1.54(a) | Imobilizări corporale/ Tangible assets | 01 | 35.283.844 | 36.351.595 |
| Terenuri şi amenajări la terenuri/ Lands and land arrangements |
02 | 1.201.941 | 1.220.578 | |
| Construcţii/ Constructions | 03 | 17.354.334 | 19.028.061 | |
| Instalaţii tehnice şi mijloace de transport/ Technical equipments and transport means |
04 | 16.477.745 | 15.343.289 | |
| Mobilier, aparatură birotică […]/ Furniture, office automation [] |
05 | 87.979 | 68.168 | |
| Imobilizări corporale în curs de execuţie/ Pending tangible assets |
06 | 161.845 | 691.499 | |
| IAS 1.54(c) | Imobilizări necorporale/ Intangible assets | 07 | 33.227 | 56.102 |
| Alte imobilizări necorporale/ Other intangible assets |
08 | 33.227 | 56.102 | |
| IAS 1.54(h) | Creanţe comerciale şi alte creanţe/ Trade receivables and other receivables |
09 | 101.243 | 70.550 |
| IAS 1.54(o), 56 | Creanţe privind impozitul amânat/ Receivables concerning the delayed taxation |
10 | 99.255 | 68.004 |
| IAS 1.60 | Total Active Imobilizate/ Total of Fixed Assets |
11 | 35.517.569 | 36.546.251 |
| Active curente / Current assets | ||||
| IAS 1.54 (g) | Stocuri/ Stocks | 12 | 42.194.575 | 38.953.852 |
| IAS 1.54(h) | Creanţe comerciale şi alte creanţe / Trade receivables and other receivables |
13 | 6.685.933 | 3.944.403 |
| IAS 1.55 | Cheltuieli înregistrate în avans/ Expenses recorded in advance |
14 | 23.394 | 42.990 |
| IAS 1.54(d) | Alte investiții pe termen scurt/Short term investments |
15 | 8.363.880 | 6.116.440 |
| IAS 1.54(i) | Numerar şi echivalente de numerar/ Cash and cash equivalents |
16 | 9.566.769 | 15.360.927 |
| IAS 1.60 | Total Active Curente/ Total of Current Assets |
17 | 66.834.551 | 64.418.612 |
| Total Active / Total of Assets | 18 | 102.352.120 | 100.964.863 | |
|---|---|---|---|---|
| Capitaluri Proprii/ Equity capital | ||||
| IAS 1.54(r), 78(e) | Capital social/ Share capital | 19 | 28.557.298 | 28.557.298 |
| Ajustari ale capitalului social/ Adjustment of the share capital |
20 | 0 | 23.496.414 | |
| IAS 1.55, 78(e) | Prime de capital/ Capital premiums | 21 | 8.862.843 | 8.862.843 |
| IAS 1.54(r), 78(e) | Rezerve/ Spares | 22 | 48.265.387 | 53.243.274 |
| Alte rezerve din aplizarea IAS 29/ Other spares from application of IAS 29 |
23 | 0 | 16.962.110 | |
| Rezultatul exerciţiului/ Result of the financial year |
24 | 2.721.336 | 2.792.859 | |
| IAS 1.55, 78(e) | Rezultatul reportat/ Reported result | 25 | 5.555.872 | (1.075.167) |
| Rezultatul reportat provenit din aplicarea pentru prima deata a IAS 29/ Reported result coming from the application of IAS 29 from the first time |
26 | 0 | (40.458.524) | |
| Repartizarea profitului/ Profit allotment | 27 | (823.621) | (178.216) | |
| Alte elemente de capitaluri proprii/ Other elements of Equity Capital |
28 | (3.718.330) | (3.721.670) | |
| Total Capitaluri Proprii/ Total Equity Capitals |
29 | 89.420.785 | 88.481.221 | |
| Datorii/ Debts | ||||
| Datorii pe Termen Lung / Long-term | ||||
| IAS 1.54(o), 56 | debts Datorii privind impozitul amânat/ Debts concerning the delayed taxation |
30 | 3.718.330 | 3.721.670 |
| IAS 1.60 | Total Datorii pe Termen Lung / Total of Long-term debts |
31 | 3.718.330 | 3.721.670 |
| Datorii Curente/ Current debts | ||||
| IAS 1.54(k) | Datorii comerciale şi alte datorii, inclusiv instrumente financiare derivate / Commercial debts and other debts, including derived financial instruments |
32 | 8.422.622 | 8.167.598 |
| Venituri inregistrate in avans/advance registered incomes |
33 | 3.309 | 0 | |
| IAS 1.54(l) | Provizioane/ Provisions | 34 | 787.074 | 594.374 |
| IAS 1.60 | Total Datorii Curente/ Total Current Debts |
35 | 9.213.005 | 8.761.972 |
| Total Datorii/ Total of debts | 36 | 12.931.335 | 12.483.642 | |
| Total Capitaluri Proprii şi Datorii/ Total Equity Capitals and Debts |
37 | 102.352.120 | 100.964.863 |
| IAS 1.10(b), | Rand | 31.12.2017 | 31.12.2016 | |
|---|---|---|---|---|
| 81(a) | lei | lei | ||
| Activităţi Continue / Permanent Activities | ||||
| IAS 1. 82(a) | Venituri / Incomes | 01 | 46.446.178 | 64.898.033 |
| IAS 1.99,103 | Alte venituri/ Other incomes | 02 | 8.252.582 | 10.943.414 |
| Total Venituri Operaţionale/ Total Operational Incomes |
03 | 54.698.760 | 75.841.447 | |
| Cheltuieli privind stocurile/ Expenses concerning the stocks |
04 | (18.403.244) | (30.076.624) | |
| Cheltuieli privind utilităţile/ Expenses concerning the utilities |
05 | (963.108) | (1.410.957) | |
| Cheltuieli cu beneficiile angajaţilor/ Expenses with the benefits of the employees |
06 | (18.369.572) | (20.718.145) | |
| Cheltuieli cu amortizarea şi deprecierea imobilizărilor/ Expenses with the depreciation and impairment of the immobilisations |
07 | (4.722.484) | (6.545.276) | |
| Câştiguri / pierderi din cedarea imobilizărilor/ Profit / loss from the immobilisations' disposals |
08 | 2.891 | 0 | |
| Ajustarea valorii activelor curente/ Value adjustment of the current assets |
09 | (162.901) | (27.652) | |
| Ajustări privind provizioanele/ Adjustment of commissions |
10 | (192.700) | (145.691) | |
| IAS 1.99, 103 | Alte cheltuieli/ Other expenses | 11 | (9.102.734) | (13.439.450) |
| Total Cheltuieli Operaţionale/ Total Operational Expenses |
12 | (51.913.852) | (72.363.795) | |
| Rezultatul Activităţilor Operaţionale / Result of the Operational Activities |
13 | 2.784.908 | 3.477.652 | |
| Venituri financiare/ Financial Incomes | 14 | 1.109.734 | 1.140.542 | |
| IAS 1.82(b) | Cheltuieli financiare/ Financial expenses | 15 | (586.577) | (1.053.540) |
| Rezultatul Financiar Net/ Net Fiscal Result/ Net Fiscal Result |
16 | 523.157 | 87.002 | |
| IAS 1.85 | Rezultatul înainte de impozitare/ Result before Taxation |
17 | 3.308.065 | 3.564.654 |
| Cheltuieli cu impozitul pe profit curent / Expenses with the tax on the current profit |
18 | (604.309) | (803.514) | |
| Cheltuieli cu impozitul pe profit amânat/ Expenses with the tax on the delayed profit |
19 | (314.242) | (34.790) | |
| Cheltuieli cu impozitul specific/specific tax expense | 20 | (13.671) | 0 | |
| Venituri aferente impozitului pe profit amânat/ Incomes corresponding to the tax on the delayed profit |
21 | 345.493 | 66.509 | |
| IAS 1.85 | Rezultatul din Activităţi Continue/ Result from Permanent Activities |
22 | 2.721.336 | 2.792.859 |
| IAS 1.82(f) | Rezultatul Perioadei/ Result of the Period | 23 | 2.721.336 | 2.792.859 |
| Alte Elemente ale Rezultatului Global/ Other parts of |
the Global Result
| IAS 1.82(g) | Reevaluarea imobilizărilor corporale/ Re-assessment of the tangible assets |
24 | (246.652) | (206.024) |
|---|---|---|---|---|
| IAS 1.85 | Alte Elemente ale Rezultatului Global, după impozitare/ Other elements of the Global Result, after Taxation |
25 | (246.652) | (206.024) |
| IAS 1.82 (i) | Total Rezultat global aferent perioadei/ Total of the Global Result corresponding to the Period |
26 | 2.474.684 | 2.586.835 |
| Profit atribuibil/ Profit assigned | ||||
| IAS 1.83(b)(ii) | Acţionarilor Societăţii/ To the company's Shareholders |
27 | 2.721.336 | 2.792.859 |
| Profitul perioadei/ Profit of the period | 28 | 2.721.336 | 2.792.859 | |
| Total rezultat global atribuibil / Total assigned global result |
||||
| IAS 1.83(b)(ii) | Acţionarilor Societăţii/ To the company's shareholders | 29 | 2.474.684 | 2.586.835 |
| Rezultatul pe acţiune/ Result per action/ Result per action |
||||
| IAS 33.66 | Rezultatul pe acţiune de bază/ Result per main action | 30 | 0,24 | 0,24 |
| IAS 33.66 | Rezultatul pe acţiune diluat/ Result per action attenuated | 31 | 0,24 | 0,24 |
| Activităţi continue/ Permanent activities | ||||
| IAS 33.66 | Rezultatul pe acţiune de bază / Result per main action | 32 | 0,24 | 0,24 |
Administrator, Dr. Ec. Mihai Fercală Director Economic, Ec. Gheorghe Caraiman
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