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Armatura S.A. Interim / Quarterly Report 2012

Nov 15, 2012

2333_10-q_2012-11-15_38dd73f7-862b-469a-a89d-1fbd974acd7e.pdf

Interim / Quarterly Report

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CONTUL DE PROFIT SI PIERDERE o1.o1.2012-30.09.20 1 2

01.01.2012-
01.01.2011-
30.09.2012
30.09.2011
Denumirea indicatorului
{r.rd
2
B
A
1
14.530.704
Oifra de afaceri neta (rd. 02 + 03 - 0+ + 05 + 06)
15.732.207
01
1
13.389,454
13.978,1 19
02
P rod uctia vanduta (ct. 7 0 1 +7 02+7 03+7 04+7 05+706+70!)
ffirilor(ct.7o7)
1,241,251
1,754,088
03
0
0
04
Reduceri comerciale acordate (ct. 709)
Veniiuri dinTobanzi inregistrate de entitatile radiate din Registrul
oeneral si care mai au in derulare contracte de leasing (ct.766)
05
frei de afaceri nete (ct
0
0
06
7411\
Venituri aferente costului productiei in curs de executie (d.711+712)
145,955
07
Sold creditor
2.
314,838
0
08
Sold debitor
Produatia realirata de'entitate pentru scopurile sale proprii si
capitalizata (d.721+722)
0
09
0
3.
117,699
68,691
10
Alte venituri din exploatare rcL.7417+7 58+7815)
4.
-
lin care venituri din fondul comercial neqativ
11
ffiE-
14.845.350
15.535,068
TOTAL ((RD.01+07 - 08+09+10)
12
@aterialele
consumabile (ct. 601 +602'
4,572,424
5.752.732
13
7412\
5.
165.812
183,639
qne cnenuieti materiale (ct. 603+604+606+608)
14
2,833,725
0) Rtte cheltuieli externe (cu energie siape ct€9!-711!L
2,468,390
15
1,152,309
1 .614,863
16
c) Cheltuieli privind marfurile (ct. 607)
0
0
Reduceri comerciale primite (ct. 609)
17
4.594,870
4,640,456
18
Cheltuieli cu personalul(rd. 1 9+20)
).
3,488,530
3,515,760
19
a) salarii (ct. 641 +642+643+644-7 41 4)^^
1,124,696
1 ,106,340
20
blTFeftuieli cu asisurarile si protectia sociala (ct. 645-7415)
Porale si necorPorale (rd'
794,158
866.691
21
22-23\
7.
794,158
22
866,691
a.1) Cheltuieli (ct.681 1+681 3)
0
rD Venituri (ct. 7813)
23
0
-127,016
7 SlTluatailde valoare privind activele circulante (rd 25 '26)
24
151,231
577.511
25
b.1 ) Cheltuieli (ct. 654+6814)
C
704.527
151,231
26
b.2) Venituri (ct.7 54+7 81 4)
1,028,324
1,065,288
Alte cheltuielide exploatare (rd 28la 31)
27
8.
8.1. Cheltuieli privind prestatiile externe
862,502
kjt.6 1 1 + 6 1 2+6 1 3 + 6 1 4 +621 + 622+ 623 +624 +625 +626 +621j628:ry1 6)-
852,291
28
99,638
129,952
8.2. Cheltuielicu alte impozite, taxe sivarsaminte asimilate (ct. 635)
29
66,184
83,045
30
8.3. Alte cheltuieli (ct. 652+ 658)
G-Atuieli-ulobanzile de refi nantare inregistrate de entitatile radiate
din Registrul general si care mai au in derulare contracte de leasing
(ct.666-)
31
ffi
169,920
pentru riscuri si cheltuieli (rd. 33 - 34)
-301,871
32
0
33
0
Cheltuieli (ct. 6812)
169,920
301,871
34
Venituri (ct.7812)
ffiE
-TorAL (rd.131a16-
EE
16.138,957
14.844,687
17+18+21+24+27+321
PNONTUI SAU PIERDEREA DIN EXPLOATARE
PTOfit
664
0
( rd 12-35)
36
603,890
37
Pierdere (rd 35 - 12)
0
0
0
38
Venituri din interese de participare (ct.761 1+7613)
9.
39
Exercitiul financiar
aln car{veniturile obtinute de la entitatile afiliate
</a<>
Ventturi din alte investitii financiare si creante care fac parte din activele 0
10. imobilizate(ct. 763) 40 0
din care, veniturile obtinute de la entitatile afiliate 41 18,467
1 Venituridin dobanzi (ct. 766) 42 20,178.00
din care, veniturile obtinute de la entitatile aflliate 43 872.248
Alte venituri fi nanciare (ct. 7 62+7 64+7 65+7 67 +7 68) 44 1,458,359 890,715
vENITUR! FINANCIARE - TOTAL (RD. 38+40+42+441 45 1.478.537
Ajustari de valoare privind imobilizarile financiare si a investltille 0
12. financiare detinute ca active circulante (rd.47 '48) 46 0 0
3heltuieli (ct.686) 47 0
Venituri (ct.786) 48 0 0
tJ. -hEliuieli oiiUnd dobanzile (ct. 666.-7418) 49 524,580 489,759
iin-ere;ahettuietite obtinute de la entitatile afiliate 5C
Alte cheltuieli financiare (ct. 663+664+665+667+668) 51 1,808,147 1,987,396
eH eLnl tEt-t FINANCIARE - TOTAL (RD. 46+49+51 ) 52 2,332,727 2,477,155
Ro F ITU L SAU P I ERDE REA F I NAN C IAR(A)
Profit ( rd 45-52) 53 0 0
-P
Pierdere (rd 52 - 45)
54 854.190 1,586,440
14 PRoTITUI SAU PIERDEREA CURENT(A)
Profit I rcl 1?+45-35-52\ 55 0 0
Pierdere 0d 35+ 52- 1 2-4 5\ 55 1,458,079 1.585.776
15. y'enituri extraordinare (ct. 77 1) 57 0 0
16. 3heltuieli extraordinare (ct.67 1 58 0 0
17 PROFITUL SAU PIERDEREA DIN ACTIVITATEA EXTRAORIJINAT <a< td="">
Profit ( rd 57 - 58) 59 0 0
Pierdere (rd 58 - 57) 60 0 0
VENITUR! TOTALE (rd 12+45+571 61 17.013,605 15.736.065
cHELTUIELI TOTALE (rd. 35+52+58) 62 18.471.685 17.321.842
18 PRoFITULSAUTIERoEREI BRUT(A)
Prorit
(rr1 61 -62\ 63 0 0
Pierdere ftd 62-61 64 1,458,079 1,585,776
19. IMPOZITUL PE PROFIT (Ct. 691) 65 0 0
elementele de mai sus (ct'
20. 698) 66 0 0
21 ) A EXERCITIULU! FINANCIAR
Profit (rd. 63-64-65-66) 67 0 0
Pierdere (64+65+66-63) 68 1.458,079 1.585.776

.iNTOCM!T,

Ec. Bunea Diana Florentina \$ef Birou Financiar Contabilitate