Annual / Quarterly Financial Statement • Feb 18, 2013
Annual / Quarterly Financial Statement
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| Situatia pozitiei financiare | ||||||||||
|---|---|---|---|---|---|---|---|---|---|---|
| Reglementari OMFP 3055/2009 |
Reglementari IFRS |
Ajustari | ||||||||
| Denumire indicator | 31.12.2012 | Valoare indicator Valoare indicator / 31.12.2011 |
Valoare indicator 01.12.2011 |
Valoare indicator 31.12.2012 |
Valoare indicator 31.12.2011 |
Valoare indicator 01.12.2011 |
Valoare indicator |
Valoare indicator |
Valoare indicator |
Exp |
| Active | 31.12.2012 31.12.2011 01.12.2011 / | |||||||||
| Terenuri si constructii | 243.378.130 | 248.452.351 | 254.353.389 | 240.971.526 | 240.320.305 | 254.353.389 | 2.406.604 | |||
| Instalatii tehnice si masini | 4.399.486 | 6.237.909 | 8.439.942 | 4.399.486 | 6.237,909 | 8.439.942 | 8.132.046 | O DIF. PROVINE DE LA INVES | ||
| Alte instalatii, utilaje si mobilier | 48.545 | 13.381 | 22.098 | 48.545 | 13.381 | 22.098 | ||||
| Investitii imobilare | 2.406.604 | 8.132.046 | $-2.406.604$ | |||||||
| Imobilizari corporale in curs de executie | 1.805.617 | 939.809 | 761.281 | 1.805.617 | 939.809 | 761.281 | $-8.132.046$ | ODIF. PROVINE DE LA INVES | ||
| Investitii imobilare in curs de executie | ||||||||||
| Imobilizari corporale total | 249.631.778 | 255.643.450 | 263.576.710 | 249.631.778 | 255.643.450 | 263.576.710 | ||||
| Imobilizari necorporale | 26.939 | 10.373 | 32.288 | 26.939 | 10.373 | 32.288 | ||||
| Creante privind impozitul amanat | ||||||||||
| Active financiare disponibile pentru vanzare | 8.123.544 | 8.123.544 | 8.123.544 | 8.123.544 | 8.123.544 | 8.123.544 | ||||
| Alte active financiare imobilizate | 88.888 | 87.134 | 65.420 | 88.888 | 87.134 | 65.420 | ||||
| Total active imobilizate | 257.871.149 | 263.864.501 | 271.797.962 | 257.871.149 | 263.864.501 | 271.797.962 | ||||
| Creante comerciale si alte creante, curente | 8.386.703 | 8.302.504 | 10.488.884 | 8.386.703 | 8.302.504 | 10.488.884 | ||||
| Stocuri | 2.136.492 | 1.374.052 | 12.183.088 | 1.985.149 | .146.525 | 11.094.210 | 151.343 | 227.527 | ||
| Plati in avans | .663.211 | 1.630.858 | 1.621.087 | 1.814.554 | 1.858.385 | 2.709.965 | $-151.343$ | 1.088.878 DIF. PLATI IN AVANS FURNI | ||
| Numerar si echivalente de numerar | .005.479 | 1.482.873 | 162.799 | 1.005.479 | 1.482.873 | 162.799 | $-227.527$ | -1.088.878 DIF. PLATI IN AVANS FURNI | ||
| Total active curente | 13.191.885 | 12.790.287 | 24,455,858 | 13.191.885 | 12.790.287 | |||||
| Total active | 271.063.034 | 276,654,788 | 296.253.820 | 271.063.034 | 276.654.788 | 24.455.858 296.253.820 |
||||
| Capitaluri proprii | ||||||||||
| Capital social | 23.631.668 | 23.631.668 | 23.631.668 | |||||||
| Rezerve | 241.734.210 | 235.296.783 | 248.692.694 | 23.631.668 241.734.210 |
23.631.668 | 23.631.668 | ||||
| Rezultatul exercitiului | 2.867.130 | 1.139.891 | $-3.236.239$ | 2.867.130 | 235.296.783 | 248.692.694 | ||||
| Rezultat reportat | $-2.498.642$ | 5.966.457 | 5.966.457 | $-2.498.642$ | 1.139.891 | $-3.236.239$ | ||||
| Repartizare profit | $-167.935$ | $-3.317.710$ | $-10.471$ | $-167.935$ | 5.966.457 | 5.966.457 | ||||
| Total capitaluri proprii | 265.566.431 | 262.717.089 | 275.044.109 | 265.566.431 | $-3.317.710$ 262.717.089 |
$-10.471$ 275.044.109 |
||||
| Provizioane | ||||||||||
| Datorii | 75.992 | $-75.992$ | O DIF. PRIV. PROVIZIOANE CON | |||||||
| Total datorii pe termen lung | 731.471 | 6.443.536 | 8.248.141 | |||||||
| 731.471 | 6.443.536 | 8.248.141 | ||||||||
| Datorii comerciale si alte datorii | 4.215.457 | 6.945.341 | 12.410.058 | 4.215.457 | 6.945.341 | 12.410.058 | ||||
| Total datorii curente | 4.215.457 | 6,945.341 | 12.410.058 | 4.215.457 | 6.945.341 | 12.410.058 | ||||
| Total datorii Total capitaluri proprii si datorii |
4.946.928 | 13.388.877 | 20.658.199 | 4.946.928 | 13.388.877 | 20.658.199 | ||||
| 270.513.359 | 276.105.966 | 295.702.308 | 270.513.359 | 276.105.966 | 295.702.308 |
| licatii |
|---|
| TITII IMOBILIARE |
| TITII IMOBILIARE |
| ZORI DE NAT.STOCURILOR |
| ZORI DE NAT.STOCURILOR |
| CEDII NEEFECTUATE |
Venituri din productia si marfa vanduta
Cheltuieli materiale Alte venituri
Cheltuieli cu personalul
Deprecieri si provizioane
Alte cheltuieli
Rezultatul activitatilor de exploatare
enituri financiare
Cheltuieli financiare Ajustari pentru aprecierea activelor financiar
enituri/cheltuieli financiare nete
Profit inainte de impozitare
(Cheltuiala)/Venitul net(a) cu Intizoquil be
Profitul/pierderea perioadei
Total rezultat global aferent perioadei
Rezultatul pe actiune de baza
Rezultatul pe actiune diluat
cn. $\mathbf{z}$ DIRECTOR GENERAL
| 0,004824 | 0,012133 | 0,004824 | 10,0 $\overline{c}$ I 33 |
|||
|---|---|---|---|---|---|---|
| 0,004824 | 0,012133 | 0,004824 | 0,012133 | |||
| 1.139.891 | 2.867.130 | ▀ ≕ 39.891 |
2.867. ۰ $\overline{}$ $\mathbf{e}$ |
|||
| ÷. 139.891 |
2.867.130 | خسم ٠ 139.891 |
2.867.1 $\mathbf{30}$ |
|||
| $\begin{array}{ c c c c c c c c c c c c c c c c c c c$ | 280.103 | 491.564 | в. 280.103 |
16 1 .564 |
profit | |
| $\bullet$ | 1.419.994 | 3.358.694 | Ī 419.994 |
3.358.694 | ||
| 13.418 | 491.542 | 13.418 | 491 .542 |
|||
| $\circ$ $\circ$ | -959.717 | $-387.838$ | л. 129.71 ┙ |
$-382$ .838 |
||
| $\circ$ | $\circ$ | 0 | ЛG | |||
| 973.135 | 879.380 | 973.135 | 879.380 | |||
| $\circ$ $\circ$ $\circ$ | .406.576 | 2.867.152 | .406.576 | 2.867 .152 |
||
| $\circ$ $\circ$ | 7.769.765 | مسبو Į .493.580 |
ٺ .769.765 |
- ┙ 103 580 |
||
| $\circ$ | 4.987.359 | 1.561.493 | 4.987.359 | ∸ 561.493 |
||
| $\circ$ | $\circ$ | 4.386.714 | $\tilde{\epsilon}$ 922.158 |
4.386.714 | ىيا 225 ю. 158 |
|
| $\circ$ | $\circ$ | ٠ 17.320.046 |
13.848.536 | LI .320.046 |
ىي 848.536 |
|
| 6.495.705 | 13.398.314 | 6.495.705 | اسمح ىي 398.314 |
|||
| $\circ$ | 29.374.7 55 |
20.294.605 | 29.374. 755 |
20.294.605 | ||
| 31.12.2011 | ಲ loare 31.12.2012 indica |
ndicator Valoare 12.2011 |
$\tilde{\mathbf{z}}$ ndicator Valoare 12.2012 |
Jaloare 31.12.2011 indicator |
σ, loare 31.12.2012 indicator |
|
| Ajustari | Reglementari FRS |
OMFP 3055/2009 Reglementari |
||||
| ledoll | nz b. EU E, IЮ |
Q tuatia ď, |
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