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Comcm SA Constanta

Annual / Quarterly Financial Statement Feb 18, 2013

2347_er_2013-02-18_336c3ac6-b591-47e2-99f3-e261609075b0.pdf

Annual / Quarterly Financial Statement

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S.C. COMCM S.A. CONSTANTA CIF:RO 1868287 RC: J13/613/1991

Situatia cuprinzand rezultatele, in baza IFRS, a informatiilor din contabilitatea organizata
in baza Reglementarilor contabile conforme cu Directiva a IV-a a Comunitatilor Economice Europene, aprobate prin OMFP 3055/2009 c

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

S.C. COMCM S.A RC:J13/613/1991 A. CONSTANTA

3

Denumire Ξ. Lei ind licator

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
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,
Q
tuatia
ď,

baza Reglementarilor contabile conforme cu Directiva a IV-a a Comunitatilor Economice Europene, aprobate prin OMFP 3055/200 in baza IFRS, a informatiilor din contabilitatea organizata si completarile ulterioare G modificarile

Situatia cuprinzand rezultatele,

Director economic,
ec. MANOLESCU FLORIN

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