Annual Report • Mar 24, 2017
Annual Report
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| 40 | 1 | EUR | ||||||
|---|---|---|---|---|---|---|---|---|
| NAT. | Date of the deposition | No. 0401.574.852 |
pp. | E. | D. | C 1 | ||
| ANNUAL ACCOUNTS AND OTHER DOCUMENTS TO BE DEPOSITED IN ACCORDANCE WITH THE COMPANIES CODE |
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| IDENTIFICATION | ||||||||
| NAME: | UMICORE | |||||||
| Legal form: | PLC | |||||||
| Address: | rue du marais | Nr.: 31 |
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| Postal Code: | 1000 | Gemeente: Brussel 1 |
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| Country: | Belgium | |||||||
| 1 Internet address : |
www.umicore.com | Register of Legal Persons (RLP) - Office of the commercial court at: | Brussel, Dutch-speaking | |||||
| Company number: | 0401.574.852 | |||||||
| DATE | 26/04/2016 | publication of the partnership deed and the act changing the articles of association. | of the deposition of the partnership deed OR of the most recent document mentioning the date of | |||||
| ANNUAL ACCOUNTS | IN EURO (2 decimals) | 2 | ||||||
| ANNUAL ACCOUNTS approved by by the General Meeting of | 25/04/2017 | |||||||
| concerning the financial year covering the period from | 1/01/2016 | till | 31/12/2016 | |||||
| Previous period from 1/01/2015 till 31/12/2015 |
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| 3 The amounts of the previous financial year are are not identical to those which have been previously published. / |
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Total number of pages deposited: Number of the pages of the standard form not deposited for not being of service: 50 6.1, 6.2.2, 6.2.4, 6.2.5, 6.5.2, 6.17, 6.18.2, 6.19, 7, 8, 9
Signature (name and position) PLATTEEUW Filip Chief Financial Officer
GRYNBERG Marc Chief Executive Officer Signature (name and position)
Optional statement. 1
If necessary, adjust the unit and currency in which the amounts are expressed 2
COMPLETE LIST WITH name, first name, profession, residence-address (address, number, postal code, municipality) and position with the enterprise
PricewaterhouseCoopers Reviseurs d'Entreprises SCCRL CALL 0429.501.944
Woluwedal 18, 1932 Sint-Stevens-Woluwe, Belgium
Title : Auditor, Membership number : B00009
Mandate : 29/04/2014- 25/04/2017
Represented by:
1.
DAELMAN Marc AUDITOR, Membership number : A01579 Woluwedal 18 , 1932 Sint-Stevens-Woluwe, Belgium
Title : President of the board of directors Mandate : 28/04/2015- 24/04/2018 ROSIER 21, 2000 Antwerpen, Belgium
Title : Director Mandate : 29/04/2014- 25/04/2017 Third Avenue 73, 2196 Inanda, South Africa
Title : Delegated director Mandate : 28/04/2015- 24/04/2018 AVENUE DE L'AVOCAT 5, 1410 Waterloo, Belgium
Title : Director Mandate : 28/04/2015- 24/04/2018 ALLEE DES PEUPLIERS 17, 6280 Gerpinnes, Belgium
Title : Director Mandate : 28/04/2015- 24/04/2018 BÜNDTENWEG 76, 4102 BINNINGEN, Switzerland
Title : Director Mandate : 29/04/2014- 25/04/2017 TRAUBINGER STRASSE 18, 82327 TUTZING, Germany
Title : Director Mandate : 1/01/2014- 25/04/2017 GUSTAV-GULL-PLATZ 4, 8004 ZÜRICH, Switzerland LIST OF DIRECTORS, MANAGERS AND AUDITORS (Continued from previous page)
Title : Director Mandate : 28/04/2015- 24/04/2018 AALSCHOLVERLAAN 80, box 102, 2050 Antwerpen 5, Belgium
Title : Director Mandate : 28/04/2015- 24/04/2018 HANGMOOR CALLOW HILL ., GU254LD VIRGINIA WATER, United Kingdom
Title : Director Mandate : 26/04/2016- 30/04/2019 BOEKTLAAN 14, 3550 Heusden-Zolder, Belgium
Title : Director Mandate : 26/04/2016- 30/04/2019 SELWOODPLACE 14, SW7 3HY LONDON, United Kingdom
The managing board declares that the assignment neither regarding auditing nor adjusting has been given to a person who was not authorised by law pursuant to art. 34 and 37 of the Law of 22nd April 1999 concerning the auditing and tax professions.
Yes / No Have the annual accounts been audited or adjusted by an external accountant or auditor who is not an statutory auditor ?
If YES, mention here after: name, first names, profession, residence-address of each external accountant or auditor, the number of membership with the professional Institute ad hoc and the nature of this engagement:
If the assignment mentioned either under A or B is performed by authorised accountants or authorised accountants-tax consultants, information will be given on: name, first names, profession and residence-address of each authorised accountant or accountant-tax consultant, his number of membership with the Professional Institute of Accountants and Tax consultants and the nature of this engagement.
| Name, first name, profession, residence-address | Number of membership |
Nature of the engagement (A, B, C and/or D) |
|---|---|---|
* Delete where appropriate.
** Optional disclosure.
| Notes | Codes | Period | Previous period | |
|---|---|---|---|---|
| ASSETS | ||||
| FORMATION EXPENSES |
6.1 | 20 | ||
FIXED ASSETS |
21/28 | 3.847.718.323,42 | 3.835.807.711,28 | |
Intangible fixed assets |
6.2 | 21 | 117.182.996,95 | 88.286.908,14 |
Tangible fixed assets |
6.3 | 22/27 | 365.507.297,66 | 353.973.712,86 |
| Land and buildings | 22 | 117.211.952,45 | 125.440.170,60 | |
| Plant, machinery and equipment | 23 | 171.751.521,15 | 165.842.552,92 | |
| Furniture and vehicles | 24 | 12.928.530,21 | 14.450.514,65 | |
| Leasing and other rights | 25 | 3.231.250,00 | ||
| Other tangible fixed assets | 26 | 325.306,98 | 337.726,77 | |
| Tangible assets under construction and advance payments made |
27 | 60.058.736,87 | 47.902.747,92 | |
| 6.4 / 6.5.1 |
||||
| Financial fixed assets |
28 | 3.365.028.028,81 | 3.393.547.090,28 | |
| Affiliated enterprises | 6.15 | 280/1 | 3.340.964.195,91 | 3.366.336.947,56 |
| Participating interests | 280 | 3.340.964.195,91 | 3.366.336.947,56 | |
| Amounts receivable | 281 | |||
| Other enterprises linked by participating interests | 6.15 | 282/3 | 128.765,19 | 130.439,19 |
| Participating interests | 282 | 128.765,19 | 130.439,19 | |
| Amounts receivable | 283 | |||
| Other financial assets | 284/8 | 23.935.067,71 | 27.079.703,53 | |
| Shares | 284 | 23.848.810,93 | 26.993.446,75 | |
| Amounts receivable and cash guarantees | 285/8 | 86.256,78 | 86.256,78 | |
| Notes | Codes | Period | Previous period | |
|---|---|---|---|---|
| CURRENT ASSETS |
29/58 | 752.879.145,71 | 684.601.275,95 | |
| Amounts receivable after more than one year |
29 | 373.483,03 | 373.483,03 | |
Trade debtors |
290 | |||
| Other amounts receivable |
291 | 373.483,03 | 373.483,03 | |
Stocks and contracts in progress |
3 | 351.863.704,12 | 343.868.071,29 | |
Stocks |
30/36 | 351.863.704,12 | 343.868.071,29 | |
| Raw materials and consumables | 30/31 | 157.864.974,04 | 129.402.632,75 | |
| Work in progress | 32 | 51.600.774,55 | 62.636.427,68 | |
| Finished goods | 33 | 142.065.094,88 | 151.581.393,40 | |
| Goods purchased for resale | 34 | |||
| Immovable property intended for sale | 35 | |||
| Advance payments | 36 | 332.860,65 | 247.617,46 | |
| Contracts in progress | 37 | |||
| Amounts receivable within one year |
40/41 | 216.041.804,28 | 163.724.517,19 | |
Trade debtors |
40 | 200.242.555,84 | 149.442.323,39 | |
| Other amounts receivable | 41 | 15.799.248,44 | 14.282.193,80 | |
| Current investments |
6.5.1 / 6.6 |
50/53 | 164.808.841,14 | 162.043.282,82 |
Own shares |
50 | 89.616.372,65 | 129.912.779,15 | |
| Other investments and deposits | 51/53 | 75.192.468,49 | 32.130.503,67 | |
| Cash at bank and in hand |
54/58 | 1.900.586,33 | 951.199,49 | |
Deferred charges and accrued income |
6.6 | 490/1 | 17.890.726,81 | 13.640.722,13 |
TOTAL ASSETS |
20/58 | 4.600.597.469,13 | 4.520.408.987,23 |
| Notes | Codes | Period | Previous period | |
|---|---|---|---|---|
| EQUITY AND LIABILITIES | ||||
| EQUITY |
10/15 | 1.221.977.140,96 | 1.214.164.162,60 | |
Capital |
6.7.1 | 10 | 500.000.000,00 | 500.000.000,00 |
Issued capital |
100 | 500.000.000,00 | 500.000.000,00 | |
| 4 Uncalled capital |
101 | |||
| Share premium account |
11 | 6.609.765,90 | 6.609.765,90 | |
Revaluation surpluses |
12 | 90.952,00 | 90.952,00 | |
Reserves |
13 | 289.770.240,00 | 330.066.646,50 | |
Legal reserve |
130 | 50.000.000,00 | 50.000.000,00 | |
| Reserves not available | 131 | 89.616.372,65 | 129.912.779,15 | |
| In respect of own shares held | 1310 | 89.616.372,65 | 129.912.779,15 | |
| Others | 1311 | |||
| Untaxed reserves | 132 | 150.153.867,35 | 150.153.867,35 | |
| Available reserves | 133 | |||
| Accumulated profits (losses) (+)/(-) |
14 | 418.868.248,80 | 372.083.323,01 | |
| Investment grants |
15 | 6.637.934,26 | 5.313.475,19 | |
Advance to associates on the sharing 5 out of the assets |
19 | |||
PROVISIONS AND DEFERRED TAXES |
16 | 111.774.628,98 | 109.685.362,67 | |
Provisions for liabilities and charges |
160/5 | 111.774.628,98 | 109.685.362,67 | |
Pensions and similar obligations |
160 | 54.258.529,42 | 46.917.856,41 | |
Taxation |
161 | |||
| Major repairs and maintenance | 162 | 3.064.143,87 | 6.691.780,61 | |
| Environmental liabilities | 163 | 45.391.957,96 | 46.676.841,86 | |
| Other risks and costs | 6.8 | 164/5 | 9.059.997,73 | 9.398.883,79 |
| Deferred taxes |
168 |
4 Amount to be deducted from the issued capital.
5 Amount to be deducted from the other components of equity.
| Notes | Codes | Period | Previous period | |
|---|---|---|---|---|
| AMOUNTS PAYABLE |
17/49 | 3.266.845.699,19 | 3.196.559.461,96 | |
Amounts payable after more than one year |
6.9 | 17 | 1.981.248.828,40 | 1.572.000.000,00 |
Financial debts |
170/4 | 1.981.248.828,40 | 1.572.000.000,00 | |
Subordinated loans |
170 | |||
| Unsubordinated debentures | 171 | |||
| Leasing and other similar obligations | 172 | 3.248.828,40 | ||
| Credit institutions | 173 | |||
| Other loans | 174 | 1.978.000.000,00 | 1.572.000.000,00 | |
| Trade debts | 175 | |||
| Suppliers | 1750 | |||
| Bills of exchange payable | 1751 | |||
| Advances received on contracts in progress | 176 | |||
| Other amounts payable | 178/9 | |||
| Amounts payable within one year | 6.9 | 42/48 | 1.193.796.809,68 | 1.563.686.552,24 |
Current portion of amounts payable after more than one year falling due within one year |
42 | 50.000.000,00 | 560.000.000,00 | |
| Financial debts | 43 | 596.640.480,03 | 468.266.740,14 | |
| Credit institutions | 430/8 | |||
| Other loans | 439 | 596.640.480,03 | 468.266.740,14 | |
| Trade debts | 44 | 410.548.294,71 | 384.777.214,62 | |
| Suppliers | 440/4 | 409.865.028,04 | 384.276.952,62 | |
| Bills of exchange payable | 441 | 683.266,67 | 500.262,00 | |
| Advances received on contracts in progress | 46 | 3.004.681,38 | 3.864.696,43 | |
| Taxes, remuneration and social security | 6.9 | 45 | 45.390.733,23 | 62.419.476,90 |
| Taxes | 450/3 | 2.061.560,63 | 18.584.559,65 | |
| Remuneration and social security | 454/9 | 43.329.172,60 | 43.834.917,25 | |
| Other amounts payable | 47/48 | 88.212.620,33 | 84.358.424,15 | |
| Accrued charges and deferred income |
6.9 | 492/3 | 91.800.061,11 | 60.872.909,72 |
TOTAL LIABILITIES |
10/49 | 4.600.597.469,13 | 4.520.408.987,23 |
| Notes | Codes | Period | Previous period | |
|---|---|---|---|---|
| Operating income and charges |
70/76A | 2.415.676.232,67 | 2.961.093.096,61 | |
Turnover |
6.10 | 70 | 2.303.762.116,68 | 2.812.563.739,58 |
| Increase (decrease) in stocks of finished goods, work and contracts in progress (+)/(-) |
71 | -29.585.519,95 | 5.176.453,07 | |
| Own construction capitalised | 72 | 36.037.167,16 | 35.900.910,96 | |
| Other operating income | 6.10 | 74 | 105.462.468,78 | 107.129.503,85 |
| Non-recurring operating income | 6.12 | 76A | 322.489,15 | |
| Operating charges |
60/66A | 2.412.639.974,20 | 2.888.281.277,69 | |
Raw materials, consumables |
60 | 1.882.904.738,23 | 2.372.637.151,75 | |
| Purchases | 600/8 | 1.913.390.891,23 | 2.348.221.011,13 | |
| Decrease (increase) in stocks (+)/(-) | 609 | -30.486.153,00 | 24.416.140,62 | |
| Services and other goods | 61 | 181.699.950,49 | 179.026.066,41 | |
| Remuneration, social security costs and pensions (+)/(-) | 6.10 | 62 | 226.520.826,16 | 237.405.916,91 |
| Depreciation of and amounts written off formation expenses, intangible and tangible fixed assets |
630 | 81.832.709,67 | 75.485.043,43 | |
| Increase, Decrease in amounts written off stocks contracts in progress and trade debtors: Appropriations (write-backs) (+)/(-) |
631/4 | -5.442.010,54 | 12.116.059,58 | |
| Provisions for risks and charges - Appropriations (uses and write-backs) (+)/(-) |
6.10 | 635/8 | 2.146.583,27 | 891.207,46 |
| Other operating charges | 6.10 | 640/8 | 8.352.355,74 | 10.719.832,15 |
| Operation charges carried to assets as restructuring costs (-) |
649 | |||
| Non-recurring operating charges | 6.12 | 66A | 34.624.821,18 | |
| Operating profit (loss) (+)/(-) |
9901 | 3.036.258,47 | 72.811.818,92 |
| Notes | Codes | Period | Previous period | |
|---|---|---|---|---|
| Financial income |
75/76B | 258.001.868,23 | 182.294.698,08 | |
Recurring financial income |
75 | 245.810.842,75 | 179.178.419,76 | |
| Income from financial fixed assets | 750 | 239.746.429,91 | 175.588.134,40 | |
| Income from current assets | 751 | 214.455,81 | 251.979,77 | |
| Other financial income | 6.11 | 752/9 | 5.849.957,03 | 3.338.305,59 |
| Non-recurring financial income | 6.12 | 76B | 12.191.025,48 | 3.116.278,32 |
| Financial charges |
6.11 | 65/66B | 113.177.856,28 | 106.570.206,06 |
Recurring financial charges |
65 | 60.862.215,71 | 75.985.021,33 | |
Debt charges |
650 | 54.627.078,31 | 73.805.374,62 | |
| Amounts written down on current assets except stocks, contracts in progress and |
||||
| trade debtors (+)/(-) | 651 | -8.484,56 | -8.600,94 | |
| Other financial charges | 652/9 | 6.243.621,96 | 2.188.247,65 | |
| Non recurring financial charges | 6.12 | 66B | 52.315.640,57 | 30.585.184,73 |
| Profit (loss) for the period before taxes (+)/(-) |
9903 | 147.860.270,42 | 148.536.310,94 | |
| Transfer from postponed taxes | 780 | |||
Transfer to postponed taxes |
680 | |||
Income taxes (+)/(-) |
6.12 | 67/77 | -676.578,87 | 13.080.290,45 |
| Income taxes | 670/3 | 905.737,07 | 13.180.077,46 | |
| Adjustment of income taxes and write-back of tax provisions |
77 | 1.582.315,94 | 99.787,01 | |
| Profit (loss) for the period (+)/(-) |
9904 | 148.536.849,29 | 135.456.020,49 | |
| Transfer from untaxed reserves | 789 | |||
Transfer to untaxed reserves |
689 | |||
Profit (loss) for the period available for appropriation (+)/(-) |
9905 | 148.536.849,29 | 135.456.020,49 |
| Profit (loss) to be appropriated (+)/(-) | 9906 | |
|---|---|---|
| Gain (loss) to be appropriated (+)/(-) | (9905) | 148.536.849,29 |
| Profit (loss) to be carried forward (+)/(-) | 14P | 372.083.323,01 |
| Transfers from capital and reserves |
791/2 | |
| from capital and share premium account | 791 | |
| from reserves | 792 | 40.296.406,50 |
| Transfers to capital and reserves | 691/2 | |
| to capital and share premium account | 691 | |
| to the legal reserve | 6920 | |
| to other reserves | 6921 | |
| Profit (loss) to be carried forward (+)/(-) |
(14) | |
| Owner's contribution in respect of losses | 794 | |
| Profit to be distributed |
694/7 | |
| Dividends | 694 | 142.048.330,00 |
| Director's or managers' entitlements | 695 | |
| Workers | 696 | |
| Other beneficiaries | 697 | |
| Codes | Boekjaar | Vorig boekjaar |
|---|---|---|
| 9906 | 520.620.172,30 | 511.064.876,07 |
| (9905) | 148.536.849,29 | 135.456.020,49 |
| 14P | 372.083.323,01 | 375.608.855,58 |
| 791/2 | 40.296.406,50 | |
| 791 | ||
| 792 | ||
| 691/2 | 8.481.541,36 | |
| 691 | ||
| 6920 | ||
| 6921 | 8.481.541,36 | |
| (14) | 418.868.248,80 | 372.083.323,01 |
| 794 | ||
| 694/7 | 142.048.330,00 | 130.500.011,70 |
| 694 | 142.048.330,00 | 130.500.011,70 |
| 695 | ||
| 696 | ||
| 697 | ||
| Codes | Period | Previous period | |
|---|---|---|---|
| DEVELOPMENT COSTS | |||
| Acquisition value at the end of the period |
8051P | xxxxxxxxxxxxxxx | 127.268.078,54 |
Movements during the period |
|||
| Acquisitions, including produced fixed assets | 8021 | 20.728.519,05 | |
| Sales and disposals | 8031 | ||
| Transfers from one heading to another (+)/(-) | 8041 | ||
| Acquisition value at the end of the period | 8051 | 147.996.597,59 | |
Depreciation and amounts written down at the end of the period |
8121P | xxxxxxxxxxxxxxx | 78.264.621,05 |
Movements during the period |
|||
Recorded |
8071 | 19.136.825,05 | |
Written back |
8081 | ||
| Acquisitions from third parties | 8091 | ||
| Cancelled owing to sales and disposals | 8101 | ||
| Transfers from one heading to another (+)/(-) | 8111 | ||
| Depreciation and amounts written down at the end of the period | 8121 | 97.401.446,10 | |
NET BOOK VALUE AT THE END OF THE PERIOD |
81311 | 50.595.151,49 |
| Codes | Period | Previous period | |
|---|---|---|---|
| CONCESSIONS, PATENTS, LICENCES, KNOWHOW, BRANDS AND SIMILAR RIGHTS |
|||
| Acquisition value at the end of the period | 8052P | xxxxxxxxxxxxxxx | 116.432.127,38 |
Movements during the period |
|||
| Acquisitions, including produced fixed assets | 8022 | 38.730.417,30 | |
| Sales and disposals | 8032 | 3.920.372,09 | |
| Transfers from one heading to another (+)/(-) | 8042 | ||
| Acquisition value at the end of the period | 8052 | 151.242.172,59 | |
Depreciation and amounts written down at the end of the period |
8122P | xxxxxxxxxxxxxxx | 77.148.676,73 |
Movements during the period |
|||
Recorded |
8072 | 8.587.213,01 | |
Written back |
8082 | ||
| Acquisitions from third parties | 8092 | ||
| Cancelled owing to sales and disposals | 8102 | 1.081.562,61 | |
| Transfers from one heading to another (+)/(-) | 8112 | ||
| Depreciation and amounts written down at the end of the period | 8122 | 84.654.327,13 | |
NET BOOK VALUE AT THE END OF THE PERIOD |
211 | 66.587.845,46 |
| Codes | Period | Previous period | |
|---|---|---|---|
| LAND AND BUILDINGS | |||
| Acquisition value at the end of the period |
8191P | xxxxxxxxxxxxxxx | 329.048.000,74 |
Movements during the period |
|||
| Acquisitions, including produced fixed assets | 8161 | 3.173.127,42 | |
| Sales and disposals | 8171 | 205.157,58 | |
| Transfers from one heading to another (+)/(-) | 8181 | 2.832.326,04 | |
| Acquisition value at the end of the period | 8191 | 334.848.296,62 | |
Revaluation surpluses at the end of the period |
8251P | xxxxxxxxxxxxxxx | 7.682.753,26 |
Movements during the period |
|||
| Recorded | 8211 | ||
| Acquisitions from third parties | 8221 | ||
| Cancelled | 8231 | ||
| Transfers from one heading to another (+)/(-) | 8241 | ||
| Revaluation surpluses at the end of the period |
8251 | 7.682.753,26 | |
| Depreciation and amounts written down at the end of the period | 8321P | xxxxxxxxxxxxxxx | 211.290.583,40 |
| Movements during the period | |||
| Recorded | 8271 | 14.233.671,61 | |
| Written back | 8281 | ||
| Acquisitions from third parties | 8291 | ||
| Cancelled owing to sales and disposals | 8301 | 205.157,58 | |
| Transfers from one heading to another (+)/(-) | 8311 | ||
| Depreciation and amounts written down at the end of the period | 8321 | 225.319.097,43 | |
NET BOOK VALUE AT THE END OF THE PERIOD |
(22) | 117.211.952,45 |
| Codes | Period | Previous period | |
|---|---|---|---|
| PLANT, MACHINERY AND EQUIPMENT | |||
| Acquisition value at the end of the period |
8192P | xxxxxxxxxxxxxxx | 703.640.940,78 |
Movements during the period |
|||
| Acquisitions, including produced fixed assets | 8162 | 16.086.703,04 | |
| Sales and disposals | 8172 | 1.782.417,31 | |
| Transfers from one heading to another (+)/(-) | 8182 | 24.036.516,03 | |
| Acquisition value at the end of the period | 8192 | 741.981.742,54 | |
Revaluation surpluses at the end of the period |
8252P | xxxxxxxxxxxxxxx | |
Movements during the period |
|||
| Recorded | 8212 | ||
| Acquisitions from third parties | 8222 | ||
| Cancelled | 8232 | ||
| Transfers from one heading to another (+)/(-) | 8242 | ||
| Revaluation surpluses at the end of the period |
8252 | ||
| Depreciation and amounts written down at the end of the period | 8322P | xxxxxxxxxxxxxxx | 537.798.387,86 |
| Movements during the period | |||
| Recorded | 8272 | 33.270.718,52 | |
| Written back | 8282 | ||
| Acquisitions from third parties | 8292 | ||
| Cancelled owing to sales and disposals | 8302 | 838.884,99 | |
| Transfers from one heading to another (+)/(-) | 8312 | ||
| Depreciation and amounts written down at the end of the period | 8322 | 570.230.221,39 | |
NET BOOK VALUE AT THE END OF THE PERIOD |
(23) | 171.751.521,15 |
| Codes | Period | Previous period | |
|---|---|---|---|
| FURNITURE AND VEHICLES | |||
| Acquisition value at the end of the period |
8193P | xxxxxxxxxxxxxxx | 52.814.370,99 |
Movements during the period |
|||
| Acquisitions, including produced fixed assets | 8163 | 4.486.677,42 | |
| Sales and disposals | 8173 | 3.650.108,64 | |
| Transfers from one heading to another (+)/(-) | 8183 | 617.453,18 | |
| Acquisition value at the end of the period | 8193 | 54.268.392,95 | |
Revaluation surpluses at the end of the period |
8253P | xxxxxxxxxxxxxxx | |
Movements during the period |
|||
| Recorded | 8213 | ||
| Acquisitions from third parties | 8223 | ||
| Cancelled | 8233 | ||
| Transfers from one heading to another (+)/(-) | 8243 | ||
| Revaluation surpluses at the end of the period |
8253 | ||
| Depreciation and amounts written down at the end of the period | 8323P | xxxxxxxxxxxxxxx | 38.363.856,34 |
| Movements during the period | |||
| Recorded | 8273 | 6.523.111,69 | |
| Written back | 8283 | ||
| Acquisitions from third parties | 8293 | ||
| Cancelled owing to sales and disposals | 8303 | 3.547.105,29 | |
| Transfers from one heading to another (+)/(-) | 8313 | ||
| Depreciation and amounts written down at the end of the period | 8323 | 41.339.862,74 | |
NET BOOK VALUE AT THE END OF THE PERIOD |
(24) | 12.928.530,21 |
| Codes | Period | Previous period | |
|---|---|---|---|
| LEASING AND SIMILAR RIGHTS | |||
| Acquisition value at the end of the period |
8194P | xxxxxxxxxxxxxxx | |
| Movements during the period | |||
| Acquisitions, including produced fixed assets | 8164 | 3.300.000,00 | |
| Sales and disposals | 8174 | ||
| Transfers from one heading to another (+)/(-) | 8184 | ||
| Acquisition value at the end of the period | 8194 | 3.300.000,00 | |
Revaluation surpluses at the end of the period |
8254P | xxxxxxxxxxxxxxx | |
Movements during the period |
|||
| Recorded | 8214 | ||
| Acquisitions from third parties | 8224 | ||
| Cancelled | 8234 | ||
| Transfers from one heading to another (+)/(-) | 8244 | ||
| Revaluation surpluses at the end of the period |
8254 | ||
| Depreciation and amounts written down at the end of the period | 8324P | xxxxxxxxxxxxxxx | |
| Movements during the period | |||
| Recorded | 8274 | 68.750,00 | |
| Written back | 8284 | ||
| Acquisitions from third parties | 8294 | ||
| Cancelled owing to sales and disposals | 8304 | ||
| Transfers from one heading to another (+)/(-) | 8314 | ||
| Depreciation and amounts written down at the end of the period | 8324 | 68.750,00 | |
NET BOOK VALUE AT THE END OF THE PERIOD |
(25) | 3.231.250,00 | |
WHEREOF |
|||
| Land and buildings |
250 | 3.231.250,00 | |
Plant, machinery and equipment |
251 | ||
Furniture and vehicles |
252 |
| Codes | Period | Previous period | |
|---|---|---|---|
| OTHER TANGIBLE FIXED ASSETS | |||
| Acquisition value at the end of the period |
8195P | xxxxxxxxxxxxxxx | 12.564.964,33 |
| Movements during the period | |||
| Acquisitions, including produced fixed assets | 8165 | ||
| Sales and disposals | 8175 | ||
| Transfers from one heading to another (+)/(-) | 8185 | ||
| Acquisition value at the end of the period | 8195 | 12.564.964,33 | |
Revaluation surpluses at the end of the period |
8255P | xxxxxxxxxxxxxxx | 601.049,73 |
Movements during the period |
|||
| Recorded | 8215 | ||
| Acquisitions from third parties | 8225 | ||
| Cancelled | 8235 | ||
| Transfers from one heading to another (+)/(-) | 8245 | ||
| Revaluation surpluses at the end of the period |
8255 | 601.049,73 | |
| Depreciation and amounts written down at the end of the period | 8325P | xxxxxxxxxxxxxxx | 12.828.287,29 |
| Movements during the period | |||
| Recorded | 8275 | 12.419,79 | |
| Written back | 8285 | ||
| Acquisitions from third parties | 8295 | ||
| Cancelled owing to sales and disposals | 8305 | ||
| Transfers from one heading to another (+)/(-) | 8315 | ||
| Depreciation and amounts written down at the end of the period | 8325 | 12.840.707,08 | |
NET BOOK VALUE AT THE END OF THE PERIOD |
(26) | 325.306,98 |
| Codes | Period | Previous period | |
|---|---|---|---|
| ASSETS UNDER CONSTRUCTION AND ADVANCED PAYMENTS | |||
| Acquisition value at the end of the period |
8196P | xxxxxxxxxxxxxxx | 47.902.747,92 |
Movements during the period |
|||
| Acquisitions, including produced fixed assets | 8166 | 39.563.061,73 | |
| Sales and disposals | 8176 | 1.072,71 | |
| Transfers from one heading to another (+)/(-) | 8186 | -27.406.000,07 | |
| Acquisition value at the end of the period | 8196 | 60.058.736,87 | |
Revaluation surpluses at the end of the period |
8256P | xxxxxxxxxxxxxxx | |
Movements during the period |
|||
| Recorded | 8216 | ||
| Acquisitions from third parties | 8226 | ||
| Cancelled | 8236 | ||
| Transfers from one heading to another (+)/(-) | 8246 | ||
| Revaluation surpluses at the end of the period | 8256 | ||
| Depreciation and amounts written down at the end of the period | 8326P | xxxxxxxxxxxxxxx | |
| Movements during the period | |||
| Recorded | 8276 | ||
| Written back | 8286 | ||
| Acquisitions from third parties | 8296 | ||
| Cancelled owing to sales and disposals | 8306 | ||
| Transfers from one heading to another (+)/(-) | 8316 | ||
| Depreciation and amounts written down at the end of the period | 8326 | ||
NET BOOK VALUE AT THE END OF THE PERIOD |
(27) | 60.058.736,87 |
| Codes | Period | Previous period | |
|---|---|---|---|
| AFFILIATED ENTERPRISES - PARTICIPATING INTERESTS AND SHARES |
|||
| Acquisition value at the end of the period |
8391P | xxxxxxxxxxxxxxx | 3.482.820.010,31 |
Movements during the period |
|||
| Acquisitions, including produced fixed assets | 8361 | 42.818.073,66 | |
| Sales and disposals | 8371 | 31.511.650,51 | |
| Transfers from one heading to another (+)/(-) | 8381 | ||
| Acquisition value at the end of the period | 8391 | 3.494.126.433,46 | |
Revaluation surpluses at the end of the period |
8451P | xxxxxxxxxxxxxxx | |
Movements during the period |
|||
| Recorded | 8411 | ||
| Acquisitions from third parties | 8421 | ||
| Cancelled | 8431 | ||
| Transfers from one heading to another (+)/(-) | 8441 | ||
| Revaluation surpluses at the end of the period |
8451 | ||
| Amounts written down at the end of the period |
8521P | xxxxxxxxxxxxxxx | 116.470.562,75 |
Movements during the period |
|||
| Recorded | 8471 | 44.706.232,28 | |
| Written back | 8481 | ||
| Acquisitions from third parties | 8491 | ||
| Cancelled owing to sales and disposals | 8501 | 8.027.057,48 | |
| Transfers from one heading to another (+)/(-) | 8511 | ||
| Amounts written down at the end of the period |
8521 | 153.149.737,55 | |
Uncalled amounts at the end of the period |
8551P | xxxxxxxxxxxxxxx | 12.500,00 |
Movements during the period (+)/(-) |
8541 | ||
| Uncalled amounts at the end of the period | 8551 | 12.500,00 | |
NET BOOK VALUE AT THE END OF THE PERIOD |
(280) | 3.340.964.195,91 | |
AFFILIATED ENTERPRISES - AMOUNTS RECEIVABLE |
|||
| NET BOOK VALUE AT THE END OF THE PERIOD | 281P | xxxxxxxxxxxxxxx | |
Movements during the period |
|||
| Additions | 8581 | ||
| Repayments | 8591 | ||
| Amounts written down | 8601 | ||
| Amounts written back | 8611 | ||
| Exchange differences (+)/(-) | 8621 | ||
| Other (+)/(-) | 8631 | ||
| NET BOOK VALUE AT THE END OF THE PERIOD |
(281) | ||
| ACCUMULATED AMOUNTS WRITTEN OFF ON AMOUNTS RECEIVABLE AT THE END OF THE PERIOD |
8651 |
| Codes | Period | Vorig boekjaar | |
|---|---|---|---|
| ENTERPRISES LINKED BY A PARTICIPATING INTEREST - PARTICIPATING INTERESTS AND SHARES |
|||
| Acquisition value at the end of the period |
8392P | xxxxxxxxxxxxxxx | 1.633.062,40 |
Movements during the period |
|||
| Acquisitions, including produced fixed assets | 8362 | ||
| Sales and disposals | 8372 | 1.674,00 | |
| Transfers from one heading to another (+)/(-) | 8382 | ||
| Acquisition value at the end of the period | 8392 | 1.631.388,40 | |
Revaluation surpluses at the end of the period |
8452P | xxxxxxxxxxxxxxx | |
Movements during the period |
|||
| Recorded | 8412 | ||
| Acquisitions from third parties | 8422 | ||
| Cancelled | 8432 | ||
| Transfers from one heading to another (+)/(-) | 8442 | ||
| Revaluation surpluses at the end of the period | 8452 | ||
Amounts written down at the end of the period |
8522P | xxxxxxxxxxxxxxx | 1.486.370,69 |
Movements during the period |
|||
| Recorded | 8472 | ||
| Written back | 8482 | ||
| Acquisitions from third parties | 8492 | ||
| Cancelled owing to sales and disposals | 8502 | ||
| Transfers from one heading to another (+)/(-) | 8512 | ||
| Amounts written down at the end of the period | 8522 | 1.486.370,69 | |
Uncalled amounts at the end of the period |
8552P | xxxxxxxxxxxxxxx | 16.252,52 |
Movements during the period (+)/(-) |
8542 | ||
| Uncalled amounts at the end of the period | 8552 | 16.252,52 | |
| NET BOOK VALUE AT THE END OF THE PERIOD |
(282) | 128.765,19 | |
ENTERPRISES LINKED BY A PARTICIPATING INTEREST - AMOUNTS RECEIVABLE |
|||
| NET BOOK VALUE AT THE END OF THE PERIOD | 283P | xxxxxxxxxxxxxxx | |
Movements during the period |
|||
| Additions | 8582 | ||
| Repayments | 8592 | ||
| Amounts written down | 8602 | ||
| Amounts written back | 8612 | ||
| Exchange differences (+)/(-) | 8622 | ||
| Other (+)/(-) | 8632 | ||
| NET BOOK VALUE AT THE END OF THE PERIOD |
(283) | ||
ACCUMULATED AMOUNTS WRITTEN OFF ON AMOUNTS RECEIVABLE AT THE END OF THE PERIOD |
8652 |
| Codes | Period | Previous period | |
|---|---|---|---|
| OTHER ENTERPRISES - PARTICIPATING INTERESTS AND SHARES |
|||
| Acquisition value at the end of the period |
8393P | xxxxxxxxxxxxxxx | 124.065.053,47 |
Movements during the period |
|||
| Acquisitions, including produced fixed assets | 8363 | 8.523.400,38 | |
| Sales and disposals | 8373 | 51.106.869,68 | |
| Transfers from one heading to another (+)/(-) | 8383 | ||
| Acquisition value at the end of the period | 8393 | 81.481.584,17 | |
Revaluation surpluses at the end of the period |
8453P | xxxxxxxxxxxxxxx | |
Movements during the period |
|||
| Recorded | 8413 | ||
| Acquisitions from third parties | 8423 | ||
| Cancelled | 8433 | ||
| Transfers from one heading to another (+)/(-) | 8443 | ||
| Revaluation surpluses at the end of the period |
8453 | ||
| Amounts written down at the end of the period | 8523P | xxxxxxxxxxxxxxx | 97.063.199,39 |
Movements during the period |
|||
| Recorded | 8473 | 1.948.779,00 | |
| Written back | 8483 | ||
| Acquisitions from third parties | 8493 | ||
| Cancelled owing to sales and disposals | 8503 | 41.387.612,48 | |
| Transfers from one heading to another (+)/(-) | 8513 | ||
| Amounts written down at the end of the period |
8523 | 57.624.365,91 | |
Uncalled amounts at the end of the period |
8553P | xxxxxxxxxxxxxxx | 8.407,33 |
Movements during the period (+)/(-) |
8543 | ||
| Uncalled amounts at the end of the period | 8553 | 8.407,33 | |
NET BOOK VALUE AT THE END OF THE PERIOD |
(284) | 23.848.810,93 | |
OTHER ENTERPRISES - AMOUNTS RECEIVABLE |
|||
| NET BOOK VALUE AT THE END OF THE PERIOD | 285/8P | xxxxxxxxxxxxxxx | 86.256,78 |
Movements during the period |
|||
| Additions | 8583 | ||
| Repayments | 8593 | ||
| Amounts written down | 8603 | ||
| Amounts written back | 8613 | ||
| Exchange differences (+)/(-) | 8623 | ||
| Other (+)/(-) | 8633 | ||
| NET BOOK VALUE AT THE END OF THE PERIOD |
(285/8) | 86.256,78 | |
ACCUMULATED AMOUNTS WRITTEN OFF ON AMOUNTS RECEIVABLE AT THE END OF THE PERIOD |
8653 |
List of both enterprises in wich the enterprise holds a participating interest (recorded in the headings 280 and 282 of assets) and other enterprises in which the enterprise holds rights (recorded in the headings 284 and 51/53 of assets) in the amount of at least 10% of the capital issued.
| NAME, full address of the REGISTERED | Shares held by | Information from the most recent period for which annual accounts are available |
|||||||
|---|---|---|---|---|---|---|---|---|---|
| OFFICE and for the enterprise governed by |
directly | subsi diaries |
Primary | Mone | Capital and reserves | Net result | |||
| Belgian law, the COMPANY NUMBER | Nature | Number | % | % | financial tary statement unit |
(+) of (-) (in units) |
|||
| Umicore France FC Les Mercuriales tour du ponant r J Jaures 40 93176 BAGNOLET CEDEX France 10342965001 |
Shares | 1.520.000 | 100,00 | 0,00 | 31/12/2015 | EUR | 30.916.210 | -743.945 | |
| Umicore Financial Services PLC Rue du Marais / Broekstraat 31 1000 Brussel 1 Belgium 0428.179.081 |
Shares | 3 | 0,00 | 100,00 | 31/12/2015 | EUR | 477.033.317 | 1.699.965 | |
| Umicore MS Lusitana FC Travessa do Padrao Freguessia de Perafita 4455524 Perafita(Concelho de Matosinhos) Portugal 505683155 |
Shares | 3.501 | 1,72 | 98,28 | 31/12/2015 | EUR | -49.525 | -89.366 | |
| Umicore USA FC Zinc Plant Road 1800 37041- 1104 Claksvillle-Tennessee United States of America |
Shares | 483 | 100,00 | 0,00 | 31/12/2015 | USD | 218.000.065 | -6.156.403 | |
| Umicore Building Products Scandinavia FC Lysbrohogen 5 8600 Silkeborg Denmark |
Shares | 1.499 | 99,93 | 0,07 | 31/12/2015 | DKK | 12.786.570 | 3.632.956 | |
| Umicore Building Products Polska FC nl Ludwiki 4 01-226 Warsaw Poland |
Shares | 3.500 | 100,00 | 0,00 | 31/12/2015 | PLN | 1.996.098 | 139.067 | |
| Umicore MS Taiwan FC Keelung Road Sec 2 -16F-2 189 Taipei Taiwan |
Shares | 500.000 | 100,00 | 0,00 | 31/12/2015 | TWD | 7.699.232 | 475.922 | |
| Umicore Korea Limited FC Chaam-Dong 410 330-200 Cheonan - Ciry Chungnam South Korea |
Shares | 5.250.000 | 100,00 | 0,00 | 31/12/2015 | KRW | 89.911.004.183 | 4.505.481.136 | |
| Umicore Australia FC Somerville Road 414 3012 Tottenham - Victoria Australia |
Shares | 10.000 | 100,00 | 0,00 | 31/12/2015 | AUD | 8.353.736 | 1.764.132 |
SHARE IN THE CAPITAL AND OTHER RIGHTS IN OTHER COMPANIES
| NAME, full address of the REGISTERED | Shares held by | Information from the most recent period for which annual accounts are available |
||||||
|---|---|---|---|---|---|---|---|---|
| OFFICE and for the enterprise governed by |
directly | subsi diaries |
Primary | Capital and reserves Mone |
Net result | |||
| Belgian law, the COMPANY NUMBER | Nature | Number | % | % | financial statement |
tary unit |
(+) of (-) (in units) |
|
| Umicore Holdings Philippines FC Sitio malinta Asinan Proper 1044 Subic - Zambales Philippines |
Shares | 1.536.562 | 99,99 | 0,01 | 31/12/2015 | PHP | 155.344.254 | 83.230 |
| Umicore Building Products Iberica FC calle Juan Gris - Ed. Torres Cerda, 4 , box 6C 08014 Barcelona Spain |
Shares | 320.000 | 100,00 | 0,00 | 31/12/2015 | EUR | 472.131 | 100.270 |
| Umicore Holding 1 Germany Gmbh FC Rodenbacker chaussee 4 63457 Hanau - Wolfgang Germany |
Shares | 90.025.000 | 100,00 | 0,00 | 31/12/2015 | EUR | 277.872.849 | -543.015 |
| Umicore Holding 2 Germany Gmbh FC Rodenbacker chaussee 4 63457 Hanau - Wolfgang Germany |
Shares | 10.025.000 | 100,00 | 0,00 | 31/12/2015 | EUR | 31.261.002 | -68.018 |
| Umicore International PLC Rue Bommel 5 4940 Bascharage Luxembourg |
Shares | 23.407.989 | 100,00 | 0,00 | 31/12/2015 | EUR | 2.764.010.152 | 137.051.222 |
| Umicore Building Products CZ FC Pod Visöovkou 1661 , box 31 140 00 Prague 4 Czech Republic |
Shares | 100 | 100,00 | 0,00 | 31/12/2015 | CZK | 1.038.000 | 48.000 |
| Umicore MS Australia PTY LTD FC St Kilda Road Towers-level 5 606 3004 Melbourne - Victoria Australia |
Shares | 2.000.100 | 100,00 | 0,00 | 31/12/2015 | AUD | 97.449 | -31.685 |
| Umicore Finance Norway FC Hoffsgate 10 3262 LARVIK Norway |
Shares | 12.242 | 100,00 | 0,00 | 31/12/2015 | NOK | 91.580.913 | 602.176 |
| Umicore Specialty Materials Brugge PLC Kleine Pathoekeweg 82 8000 Brugge Belgium 0405.150.984 |
ordinary shares |
21.499 | 99,99 | 0,01 | 31/12/2015 | EUR | 3.216.642 | 5.694.964 |
SHARE IN THE CAPITAL AND OTHER RIGHTS IN OTHER COMPANIES
| NAME, full address of the REGISTERED | Shares held by | Information from the most recent period for which annual accounts are available |
||||||||
|---|---|---|---|---|---|---|---|---|---|---|
| OFFICE and for the enterprise governed by |
directly | subsi diaries |
Primary | Mone | Capital and reserves | Net result | ||||
| Belgian law, the COMPANY NUMBER | Nature | Number | % | % | financial statement |
tary unit |
(+) of (-) (in units) |
|||
| Umicore Argentina FC Avenida Roque Sáenz Pena 651 8° piso Oficina 139, Buenos Aires Argentina |
Shares | 9.753.768 | 98,03 | 1,97 | 31/12/2015 | ARS | 102.219.775 | -48.181.112 | ||
| 1.603.638 Industrias Electro Quimicas SA FC Avenida Elmer Faucett 1920 Callao 1 Peru |
Shares | 18.464.806 | 40,00 | 0,00 | 31/12/2015 | PEN | 121.022.000 | 2.613.000 | ||
| UMICORE ELECTRO-OPTIC MATERIALS EUROPE PLC RUE DU MARAIS 31 1000 Brussel 1 Belgium |
Shares | 99 | 99,00 | 1,00 | 31/12/2015 | EUR | 57.634 | -3.866 | ||
| 0631.891.355 VMZINC BENELUX & UK PLC RUE DU MARAIS 31 1000 Brussel 1 Belgium |
Shares | 1.625 | 99,94 | 0,06 | 31/12/2015 | EUR | 1.008.846 | 8.846 | ||
| 0631.891.256 UMICORE AUTOCAT CANADA CORP. FC MAINWAY DRIVE 4261 L7L5N9 BURLINGTON - ONTARIO Canada |
Shares | 176.700.00 1 |
100,00 | 0,00 | 31/12/2015 | CAD | 220.479.093 | 2.111.599 | ||
| Codes | Period | Previous period | |
|---|---|---|---|
| INVESTMENTS: OTHER INVESTMENTS AND DEPOSITS | |||
| Shares and current investments other than fixed income investments |
51 | ||
Shares - Book value increased with the uncalled amount |
8681 | ||
| Shares - Uncalled amount |
8682 | ||
Precious metals and works of art |
8683 | ||
Fixed income securities |
52 | ||
Fixed income securities issued by credit institutions |
8684 | ||
Fixed term accounts with credit institutions |
53 | 75.192.468,49 | 32.130.503,67 |
With residual term or notice of withdrawal |
|||
| up to one month |
8686 | 75.192.468,49 | 32.130.503,67 |
between one month and one year |
8687 | ||
| over one year |
8688 | ||
Other investments not mentioned above |
8689 |
.. GAINS ON MARKING TO MARKET OF CURRENCY COMMITMENSTS 9.221.414,54 PROFIT ON HEDGING FOR METALS 5.795.724,10
OTHER DEFERRED CHARGES 2.873.588,17
Period
| STATEMENT OF CAPITAL | Codes | Period | Previous period |
|---|---|---|---|
| Social capital | |||
| Issued capital at the end of the period | 100P | XXXXXXXXXXXXXX | 500.000.000,00 |
| Issued capital at the end of the period | (100) | 500.000.000,00 | |
| Codes | Amounts | Number of shares | |
| Changes during the period | |||
| Structure of the capital Different categories of shares |
|||
| Ordinary Shares | 500.000.000,00 | 112.000.000 | |
| Registered shares | 8702 | XXXXXXXXXXXXXX | 21.294.861 |
| Shares dematerialized | 8703 | XXXXXXXXXXXXXX | 90.705.139 |
| Codes | Uncalled capital | Capital called, but not paid |
|
|---|---|---|---|
| Capital not paid | |||
| Uncalled capital | (101) | XXXXXXXXXXXXXX | |
| Capital called, but not paid | 8712 | XXXXXXXXXXXXXX | |
| Shareholders having yet to pay up in full | |||
| Codes | Period | |
|---|---|---|
| OWN SHARES | ||
| Held by the company itself | ||
| Amount of capital held |
8721 | 11.933.705,36 |
Number of shares held |
8722 | 2.673.150 |
Held by the subsidiaries |
||
| Amount of capital held |
8731 | |
Number of shares held |
8732 | |
| Commitments to issue shares | ||
| Owing to the exercise of conversion rights | ||
| Amount of outstanding convertible loans |
8740 | |
Amount of capital to be subscribed |
8741 | |
Corresponding maximum number of shares to be issued |
8742 | |
Owing to the exercise of subscription rights |
||
| Number of outstanding subscription rights |
8745 | |
Amount of capital to be subscribed |
8746 | |
Corresponding maximum number of shares to be issued |
8747 | |
Authorized capital, not issued |
8751 | 50.000.000,00 |
| Codes | Period | |
|---|---|---|
| Shared issued, not representing capital | ||
| Distribution | ||
| Number of shares held |
8761 | |
Number of voting rights attached thereto |
8762 | |
Allocation by shareholder |
||
| Number of shares held by the company itself |
8771 | |
Number of shares held by its subsidairies |
8781 | |
as shown by the notifications received by the company in accordance with the Companies Code, Article 631 §2, final paragraph, and Article 632 §2, final paragraph; the act of 2 May 2007 on the disclosure of major holdings, Article 14, paragraph four; and the Royal Decree of 21 August 2008 comprising further rules on certain multilateral trading facilities, Article 5.
| AREHOLDER BASE | (EUR thousand) | |
|---|---|---|
| % capital | Number of shares |
|
| BlackRock Investment Management | 5.03% | 5.638.752 |
| APG Asset Management | 3.00% | 3.364.389 |
| Family Trust Desmarais, Albert Frère and Groupe Bruxelles Lambert S.A. | 15.00% | 16.802.836 |
| Others | 74.57% | 83.520.873 |
| Own shares held by Umicore | 2.39% | 2.673.150 |
| 100,00 | 112.000.000 | |
| 100,00 | 112.000.000 | |
SUNDRY LITIGATIONS AND SUNDRY RISKS 6.909.946,19 PREMIUM 25 & 35 YEARS SERVICE 2.150.051,54
Period
| Codes | Period | |
|---|---|---|
| AMOUNTS PAYABLE GUARANTEED (headings 17 and 42/48 of liabilities) |
||
| Amounts payable guaranteed by Belgian public authorities | ||
| Financial debts | 8921 | |
| Subordinated loans | 8931 | |
| Unsubordinated debentures | 8941 | |
| Leasing and other similar obligations | 8951 | |
| Credit institutions | 8961 | |
| Other loans | 8971 | |
| Trade debts | 8981 | |
| Suppliers | 8991 | |
| Bills of exchange payable | 9001 | |
| Advance payments received on contracts in progress | 9011 | |
| Remuneration and social security | 9021 | |
| Other amounts payable | 9051 | |
| Total amounts payable guaranteed by Belgian public authorities |
9061 | |
Amounts payable guaranteed by real guarantees given or irrevocably promised by the enterprise on its own assets |
||
| Financial debts | 8922 | |
| Subordinated loans | 8932 | |
| Unsubordinated debentures | 8942 | |
| Leasing and other similar obligations | 8952 | |
| Credit institutions | 8962 | |
| Other loans | 8972 | |
| Trade debts | 8982 | |
| Suppliers | 8992 | |
| Bills of exchange payable | 9002 | |
| Advance payments received on contracts in progress | 9012 | |
| Taxes, remuneration and social security | 9022 | |
| Taxes | 9032 | |
| Remuneration and social security | 9042 | |
Other amounts payable |
9052 | |
| Total amounts payable guaranteed by real guarantees given or irrevocably promised by the enterprise on its own assets |
9062 |
| Codes | Period | |
|---|---|---|
| AMOUNTS PAYABLE FOR TAXES, REMUNERATION AND SOCIAL SECURITY | ||
| (headings 450/3 and 178/9 of the labilities) Taxes |
||
| Expired taxes payable | 9072 | |
| Non expired taxes payable | 9073 | 2.061.560,63 |
| Estimated taxes payable | 450 | |
| Remuneration and social security (headings 454/9 and 178/9 of the liabilities) | ||
| Amount due to the National Office of Social Security | 9076 | |
| Other amounts payable relating to remuneration and social security | 9077 | 43.329.172,60 |
| ACCRUED CHARGES AND DEFERRED INCOME | Period |
|---|---|
| Allocation of heading 492/3 of liabilities if the amount is significant | |
| OTHER ACCRUED CHARGES | 11.134.401,47 |
| TREATMENT CHARGES | 27.451.227,74 |
| DEFERRED INCOME | 43.071.694,60 |
| LOSSES CURRENCY | 10.142.737,30 |
| Codes | Period | Previous period | |
|---|---|---|---|
| OPERATING INCOME | |||
| Net turnover | |||
| Broken down by categories of activity | |||
| Allocation into geographical markets | |||
| Other operating income | |||
| Operating subsidies and compensatory amounts received from public authorities |
740 | 2.628.704,91 | 6.058.050,14 |
| OPERATING COSTS | |||
| Employees for whom the company has submitted a DIMONA declaration or are recorded in the general personnel register |
|||
| Total number at the closing date | 9086 | 2.744 | 2.733 |
| Gemiddeld personeelsbestand berekend in voltijdse equivalenten | 9087 | 2.644,1 | 2.745,2 |
| Number of actual worked hours | 9088 | 4.601.866 | 4.810.513 |
| Personnel costs | |||
| Remuneration and direct social benefits | 620 | 150.134.965,42 | 157.138.140,95 |
| Employers' social security contributions | 621 | 52.292.924,69 | 56.601.915,93 |
| Employers' premiums for extra statutory insurances | 622 | 12.841.648,70 | 11.971.346,23 |
| Other personnel costs | 623 | 8.826.273,08 | 9.066.327,28 |
| Old-age and widows' pensions | 624 | 2.425.014,27 | 2.628.186,52 |
| Codes | Period | Previous period | |
|---|---|---|---|
| Provisions for pensions | |||
| Additions (uses and write-back) (+)/(-) | 635 | 7.340.673,01 | -3.554.992,29 |
| Amounts written off | |||
| Stocks and contracts in progress | |||
| Recorded | 9110 | 558.494,93 | 12.423.611,26 |
| Written back | 9111 | 6.142.862,21 | 304.684,44 |
| Trade debtors | |||
| Recorded | 9112 | 142.356,74 | |
| Written back | 9113 | 2.867,24 | |
| Provisions for risks and charges | |||
| Additions | 9115 | 48.065.502,85 | 41.852.557,10 |
| Uses and write-back | 9116 | 45.918.919,58 | 40.961.349,64 |
| Other operating charges | |||
| Taxes related to operation | 640 | 5.107.169,62 | 6.462.362,71 |
| Other charges | 641/8 | 3.245.186,12 | 4.257.469,44 |
| Hired temporary staff and persons placed at the enterprise's disposal |
|||
| Total number at the closing date | 9096 | 22 | 22 |
| Average number calculated as full-time equivalents | 9097 | 22,2 | 17,8 |
| Number of actual worked hours | 9098 | 43.960 | 34.284 |
| Charges to the enterprise | 617 | 1.501.879,37 | 1.221.519,44 |
| Codes | Period | Previous period | |
|---|---|---|---|
| RECURRING FINANCIAL INCOME | |||
| Other financial income | |||
| Subsidies granted by public authorities and recorded as income for the period |
|||
| Capital subsidies | 9125 | 2.522.155,65 | 2.105.936,90 |
| Interest subsidies |
9126 | ||
| Allocation of other financial income | |||
| Exchange variances and differences | 3.130.592,16 | 1.078.164,03 | |
| Sundry financial income | 178.481,92 | 164.600,20 | |
| Financ.customers and int. for late payment | 19.204,46 | 1.181,67 | |
| RECURRING FINANCIAL CHARGES | |||
| Depreciation of loan issue expenses |
6501 | ||
Capitalized Interests |
6503 | ||
Amounts written off current assets |
|||
| Recorded | 6510 | ||
| Written back | 6511 | 8.484,56 | 8.600,94 |
| Other financial charges | |||
| Amount of the discount borne by the enterprise, as a result of negotiating amounts receivable |
653 | 610.192,15 | 1.312.272,59 |
| Provisions of a financial nature | |||
| Appropriations | 6560 | ||
| Uses and write-backs | 6561 | ||
| Allocation of other financial charges | |||
| Exchange variances and differences | 3.497.523,82 | 1.019.665,48 | |
| Sundry financial costs | 1.849.679,58 | 553.259,54 | |
| Codes | Period | Previous period | |
|---|---|---|---|
| NON-RECURRING INCOME |
76 | 12.191.025,48 | 3.438.767,47 |
| Non-recurring operating income |
(76A) | 322.489,15 | |
Write-back of depreciation and of amounts written off intangible and tangible fixed assets |
760 | 306.981,15 | |
| Write-back of provisions for extraordinary operating liabilities and charges |
7620 | 15.508,00 | |
| Capital gains on disposal of intangible and tangible fixed asset | 7630 | ||
| Other non-recurring operating income | 764/8 | ||
| Non-recurring financial income |
(76B) | 12.191.025,48 | 3.116.278,32 |
Write-back of amounts written down financial fixed assets |
761 | 3.116.278,32 | |
| Write-back of provisions for extraordinary financial liabilities and charges |
7621 | ||
| Capital gains on disposal of financial fixed assets | 7631 | 12.191.024,48 | |
Other non-recurring financial income |
769 | 1,00 | |
| NON-RECURRING EXPENSES |
66 | 86.940.461,75 | 30.585.184,73 |
Non-recurring operating charges |
(66A) | 34.624.821,18 | |
Non-recurring depreciation of and amounts written off formation expenses, intangible and tangible fixed assets |
660 | ||
| Provisions for extraordinary operating liabilities and charges: Appropriations (uses) (+)/(-) |
6620 | ||
| Capital losses on disposal of intangible and tangible fixed assets | 6630 | 3.321,18 | |
| Other non-recurring operating charges | 664/7 | 34.621.500,00 | |
| Non-recurring operating charges carried to assets as restructuring costs (-) |
6690 | ||
| Non-recurring financial charges |
(66B) | 52.315.640,57 | 30.585.184,73 |
Amounts written off financial fixed assets |
661 | 46.655.011,28 | 30.585.184,73 |
| Provisions for extraordinary financial liabilities and charges - Appropriations (uses) (+)/(-) |
6621 | ||
| Capital losses on disposal of financial fixed assets | 6631 | 5.660.629,29 | |
| Other non-recurring financial charges | 668 | ||
| Non-recurring financial charges carried to assets as restructuring costs (-) |
6691 |
| Codes | Period | |
|---|---|---|
| INCOME TAXES | ||
| Income taxes on the result of the period |
9134 | 905.737,07 |
Income taxes paid and withholding taxes due or paid |
9135 | 905.737,07 |
| Excess of income tax prepayments and withholding taxes paid recorded under assets | 9136 | |
| Estimated additional taxes | 9137 | |
| Income taxes on the result of prior periods |
9138 | |
Additional income taxes due or paid |
9139 | |
| Additional income taxes estimated or provided for | 9140 | |
| In so far as taxes of the period are materially affected by differences between the profit before taxes as stated in annual accounts and the estimated taxable profit |
||
| TAXABLE PROVISIONS AND HIDDEN RESERVES | 2.089.266,31 | |
| GAIN & LOSS ON FINANCIAL ASSETS | -12.191.024,48 | |
| NON DEDUCTIBLE ITEMS | 40.829.158,28 | |
| ALREADY TAXED ITEMS | -227.744.514,20 | |
| WRITE-OFF ON FINANCIAL ASSETS | 52.315.640,57 | |
| CAPITAL SUBSIDIES EXEMPT | -530.840,00 | |
| REVERSALS OF WRITE DOWNS ON SHARES | ||
| INVESTMENT DEDUCTIONS | -1.577.142,08 | |
Impact of non recurring results on the amount of the income taxes relating to the current period
| Codes | Period | |
|---|---|---|
| Status of deferred taxes | ||
| Deferred taxes representing assets | 9141 | 115.429.884,16 |
| Accumulated tax losses deductible from future taxable profits | 9142 | |
| Other deferred taxes representing assets | ||
| TAXABLE PROVISIONS AND HIDDEN RESERVES | 111.774.628,98 | |
| R&D TAX CREDIT | 3.655.255,18 | |
| Passieve latenties | 9144 | |
| Allocation of deferred taxes representing liabilities | ||
| TAXFREE RESERVES | 150.153.867,35 |
Period
| Codes | Period | Previous period | |
|---|---|---|---|
| VALUE ADDED TAXES AND OTHER TAXES BORNE BY THIRD PARTIES |
|||
| Value added taxes charged | |||
| To the enterprise (deductible) | 9145 | 154.642.978,64 | 237.303.847,00 |
| By the enterprise | 9146 | 130.493.941,82 | 225.428.526,00 |
| Amounts withheld on behalf of third party | |||
| For payroll withholding taxes | 9147 | 34.760.788,48 | 38.108.071,00 |
| For withholding taxes on investment income | 9148 | 24.602.860,48 | 20.861.499,00 |
| Codes | Period | |
|---|---|---|
| PERSONAL GUARANTEES PROVIDED OR IRREVOCABLY PROMISED BY THE ENTERPRISE AS SECURITY FOR DEBTS AND COMMITMENTS OF THIRD PARTIES |
9149 | |
Of which |
||
Bills of exchange in circulation endorsed by the enterprise |
9150 | |
| Bills of exchange in circulation drawn or guaranteed by the enterprise | 9151 | |
| Maximum amount for which other debts or commitments of third parties are guaranteed by the enterprise |
9153 | |
| REAL GUARANTEES | ||
| Real guarantees provided or irrevocably promised by the enterprise on its own assets as security of debts and commitments of the enterprise |
||
| Mortgages | ||
| Book value of the immovable properties mortgaged | 9161 | |
| Amount of registration | 9171 | |
| Pledging of goodwill - Amount of the registration | 9181 | |
| Pledging of other assets - Book value of other assets pledged | 9191 | |
| Guarantees provided on future assets - Amount of assets involved | 9201 | |
| Real guarantees provided or irrevocably promised by the enterprise on its own assets as security of debts and commitments of third parties |
||
| Mortgages | ||
| Book value of the immovable properties mortgaged | 9162 | |
| Amount of registration | 9172 | |
| Pledging of goodwill - Amount of the registration | 9182 | |
| Pledging of other assets - Book value of other assets pledged | 9192 | |
| Guarantees provided on future assets - Amount of assets involved | 9202 |
| Codes | Period | |
|---|---|---|
| GOODS AND VALUES, NOT DISCLOSED IN THE BALANCE SHEET, HELD BY THIRD PARTIES IN THEIR OWN NAME BUT AT RISK TO AND FOR THE BENEFIT OF THE ENTERPRISE |
||
| SUBSTANTIAL COMMITMENTS TO ACQUIRE FIXED ASSETS | ||
| SUBSTANTIAL COMMITMENTS TO DISPOSE OF FIXED ASSETS | ||
| FORWARD TRANSACTIONS | ||
| Goods purchased (to be received) |
9213 | 96.677.743,00 |
Goods sold (to be delivered) |
9214 | 179.090.078,00 |
Currencies purchased (to be received) |
9215 | 1.333.105.559,00 |
Currencies sold (to be delivered) |
9216 | 1.332.634.404,00 |
41/50
| Nr. | 0401.574.852 | C 6.14 | |
|---|---|---|---|
COMMITMENTS RELATING TO TECHNICAL GUARANTEES IN RESPECT OF SALES OR SERVICES
| Metals owned by parties for tolling | 317.357.168,00 |
|---|---|
| Lease-in metals | 184.499.583,00 |
| Metals owned by Umicore for tolling | 121.133.430,00 |
| Bankguarantees | 29.290.686,00 |
| Personal guarantees given | 84.545.697,00 |
Brief description
Measures taken by the enterprise to cover the resulting charges
| Code | Period | |
|---|---|---|
| PENSIONS FUNDED BY THE ENTERPRISE | ||
| Estimated amount of the commitments resulting from past services | 9220 | |
| Methods of estimation | ||
| Period | ||
| NATURE AND FINANCIAL IMPACT OF SIGNIFICANT EVENTS AFTER THE CLOSING DATE NOT INCLUDED IN THE BALANCE SHEET OR THE INCOME STATEMENT |
||
| Period | ||
| COMMITMENTS TO PURCHASE OR SALE AVAILABLE TO THE COMPANY AS ISSUER OF OPTIONS FOR SALE OR PURCHASE |
Period
Period Lease-out metals 139.724.916,00 NATURE AND COMMERCIAL OBJECTIVE OF TRANSACTIONS NOT REFLECTED IN THE BALANCE SHEET
Provided that the risks or advantages coming from these transactions are significant and if the disclosure of the risks or advantages is necessary to appreciate the financial situation of the company
OTHER RIGHTS AND COMMITMENTS NOT REFLECTED IN THE BALANCE SHEET (including those which can not be quantified)
| Period | ||
|---|---|---|
| Codes | Period | Previous period | |
|---|---|---|---|
| AFFILIATED ENTERPRISES | |||
| Financial fixed assets |
(280/1) | 3.340.964.195,91 | 3.366.336.947,56 |
Participating interests |
(280) | 3.340.964.195,91 | 3.366.336.947,56 |
| Subordinated amounts receivable | 9271 | ||
| Other amounts receivable | 9281 | ||
| Amounts receivable | 9291 | 91.625.254,72 | 74.023.542,67 |
Over one year |
9301 | 363.483,03 | 363.483,03 |
| Within one year | 9311 | 91.261.771,69 | 73.660.059,64 |
Current investments |
9321 | 75.192.468,49 | 32.130.503,67 |
Shares |
9331 | ||
| Amounts receivable | 9341 | 75.192.468,49 | 32.130.503,67 |
| Amounts payable | 9351 | 2.684.945.066,38 | 2.608.269.311,75 |
Over one year |
9361 | 1.978.000.000,00 | 1.522.000.000,00 |
| Within one year | 9371 | 706.945.066,38 | 1.086.269.311,75 |
Personal and real guarantees |
|||
| Provided or irrevocably promised by the enterprise as security for debts or commitments of affiliated enterprises |
9381 | ||
| Provided or irrevocably promised by affiliated enterprises as security for debts or commitments of the enterprise |
9391 | ||
| Other significant financial commitments | 9401 | ||
Financial results |
|||
| Income from financial fixed assets | 9421 | 239.731.067,58 | 175.572.527,38 |
Income from current assets |
9431 | 214.280,53 | 82.551,08 |
Other financial income |
9441 | ||
Debt charges |
9461 | 53.082.711,07 | 72.349.214,50 |
Other financial charges |
9471 | ||
Disposal of fixed assets |
|||
| Capital gains obtained |
9481 | ||
Capital losses suffered |
9491 | ||
| Codes | Period | Previous period | |
|---|---|---|---|
| ASSOCIATED ENTERPRISES | |||
| Financial fixed assets |
9253 | ||
Participating interests |
9263 | ||
| Subordinated amounts receivable | 9273 | ||
| Other amounts receivable | 9283 | ||
| Amounts receivable | 9293 | ||
Over one year |
9303 | ||
| Within one year | 9313 | ||
Amounts payable |
9353 | ||
Over one year |
9363 | ||
| Within one year | 9373 | ||
Personal and real guarantees |
|||
| Provided or irrevocably promised by the enterprise as security for debts or commitments of associated enterprises |
9383 | ||
| Provided or irrevocably promised by associated enterprises as security for debts or commitments of the enterprise |
9393 | ||
| Other significant financial commitments |
9403 | ||
OTHER ENTERPRISES LINKED BY PARTICIPATING INTERESTS |
|||
| Financial fixed assets |
9252 | 128.765,19 | 130.439,19 |
Participating interests |
9262 | 128.765,19 | 130.439,19 |
| Subordinated amounts receivable | 9272 | ||
| Other amounts receivable | 9282 | ||
| Amounts receivable | 9292 | ||
Over one year |
9302 | ||
| Within one year | 9312 | ||
Amounts payable |
9352 | ||
Over one year |
9362 | ||
| Within one year | 9372 | ||
Mention of these transactions if they are significant, including the amount of the transactions, the nature of the link, and all information about the transactions which should be necessary to get a better understanding of the situation of the company
| Period | |
|---|---|
| Codes | Period | |
|---|---|---|
| DIRECTORS, MANAGERS, INDIVIDUALS OR BODIES CORPORATE WHO CONTROL THE ENTERPRISE WITHOUT BEING ASSOCIATED THEREWITH OR OTHER ENTERPRISES CONTROLLED BY THESE PERSONS |
||
| Amounts receivable from these persons |
9500 | |
| Conditions on amounts receivable, rate, duration, possibly reimbursed amounts, canceled amounts or renounced amounts |
||
| Guarantees provided in their favour |
9501 | |
Other significant commitments undertaken in their favour |
9502 | |
Amount of direct and indirect remunerations and pensions, included in the income statement, as long as this disclosure does not concern exclusively or mainly, the situation of a single identifiable person |
||
| To directors and managers | 9503 | |
| To former directors and former managers | 9504 |
| Codes | Period | |
|---|---|---|
| AUDITORS OR PEOPLE THEY ARE LINKED TO | ||
| Auditor's fees |
9505 | 493.994,00 |
| Fees for exceptional services or special missions executed in the company by the auditor | ||
| Other attestation missions |
95061 | 395.809,00 |
Tax consultancy |
95062 | |
Other missions external to the audit |
95063 | 54.653,00 |
| Fees for exceptional services or special missions executed in the company by people they are linked to |
||
| Other attestation missions |
95081 | |
Tax consultancy |
95082 | 97.976,00 |
Other missions external to the audit |
95083 | 726.290,00 |
Mentions related to article 133, paragraph 6 from the Companies Code
The enterprise has drawn up published a consolidated annual statement of accounts and a management report*
The enterprise has not published a consolidated annual statement of accounts and a management report, since it is exempt for this obligation for the following reason*
The enterprise and its subsidiaries on consolidated basis exceed not more than one of limits mentioned in art. 16 of Company Law*
The enterprise only has subsidiaries which, considering the assessment of the consolidated assets, consolidated financial position or consolidated results, individual or together, are of a negligible size* (Art. 110 of Company Law)
The enterprise itself is a subsidiary of an enterprise which does prepare and publish consolidated accounts in which annual accounts of the enterprise are included*
If yes, justification of the compliance with all conditions for exemption set out in art. 113 par. 2 and 3 of Company Law:
Name, full address of registered office and, for an enterprise governed by Belgian Law, the V. A. T. or national number of the parent company preparing and publishing the consolidated accounts required
Name, full address of the registered office and, for an enterprise governed by Belgian Law, the company number of the parent company(ies) and the specification whether the parent company(ies) prepare(s) and publish(es) consolidated annual accounts in which the annual accounts of the enterprise are included**
If the parent company(ies) is (are) (an) enterprise(s) governed by foreign law disclose where the consolidated accounts can be obtained**
* Delete where no appropriate.
** Where the accounts of the enterprise are consolidated at different levels, the information should be given for the consolidated aggregate at the highest level on the one hand and the lowest level on the other hand of which the enterprise is a subsidiary and for which consolidated accounts are prepared and published.
Number of joint industrial committee:
| During the current period | Codes Total |
1. Men | 2. Women | ||
|---|---|---|---|---|---|
| Average number of employees | |||||
| Full-time |
1001 | 2.360,4 | 2.111,8 | 248,6 | |
| Part-time |
1002 | 369,6 | 219,4 | 150,2 | |
| Total in full-time equivalents |
1003 | 2.644,1 | 2.281,3 | 362,8 | |
| Number of hours actually worked | |||||
| Full-time |
1011 | 4.111.755 | 3.643.649 | 468.106 | |
| Part-time |
1012 | 490.111 | 272.120 | 217.991 | |
| Total |
1013 | 4.601.866 | 3.915.769 | 686.097 | |
| Personnel costs | |||||
| Full-time |
1021 | 203.075.068,53 | 179.990.422,56 | 23.084.645,97 | |
| Part-time |
1022 | 21.020.743,36 | 11.855.856,60 | 9.164.886,76 | |
| Total | 1023 | 224.095.811,89 | 191.846.279,16 | 32.249.532,73 | |
| Advantages in addition to wages |
1033 |
| During the preceding period | Codes | P. Total | 1P. Men | 2P. Women |
|---|---|---|---|---|
| Average number of employees in FTE Number of hours actually worked Personnel costs Advantages in addition to wages |
1003 1013 1023 1033 |
2.745,2 4.810.513 234.777.730,39 |
2.363,5 4.086.641 201.578.653,84 |
381,7 723.872 33.199.076,55 |
| Codes | 1. Full-time | 2. Part-time | 3. Total full-time equivalents |
|
|---|---|---|---|---|
| At the closing date of the period | ||||
| Number of employees |
105 | 2.384 | 360 | 2.660,7 |
By nature of the employment contract |
||||
| Contract for an indefinite period | 110 | 2.313 | 360 | 2.589,7 |
| Contract for a definite period | 111 | 71 | 71,0 | |
| Contract for the execution of a specifically assigned work | 112 | |||
| Replacement contract | 113 | |||
| According to gender and study level | ||||
| Men | 120 | 2.132 | 215 | 2.298,8 |
| primary education | 1200 | 442 | 68 | 494,2 |
| secondary education | 1201 | 1.094 | 111 | 1.180,5 |
| higher non-university education | 1202 | 270 | 27 | 291,0 |
| university education | 1203 | 326 | 9 | 333,1 |
| Women | 121 | 252 | 145 | 361,9 |
| primary education | 1210 | 7 | 7 | 12,2 |
| secondary education | 1211 | 41 | 29 | 63,0 |
| higher non-university education | 1212 | 106 | 79 | 164,9 |
| university education | 1213 | 98 | 30 | 121,8 |
| By professional category | ||||
| Management staff | 130 | 390 | 23 | 408,4 |
| Employees | 134 | 729 | 191 | 874,5 |
| Workers | 132 | 1.265 | 146 | 1.377,8 |
| Others | 133 |
| During the period | Codes | 1. Hired temporary staff |
2. Persons placed at the enterprise's disposal |
|---|---|---|---|
| Average number of persons employed |
150 | 22,2 | |
Number of hours actually worked |
151 | 43.960 | |
Costs for the enterprise |
152 | 1.501.879,37 |
| ENTRIES | Codes | 1. Full-time | 2. Part-time | 3. Total full-time equivalents |
|---|---|---|---|---|
| Number of employees for whom the entreprise submitted a DIMONA declaration or who have been recorded in the general personnel register during the financial year |
205 | 174 |
1 | 174,9 |
| By nature of employment contract | ||||
| Contract for an indefinite period | 210 | 167 | 167,0 | |
| Contract for a definite period | 211 | 7 | 1 | 7,9 |
| Contract for the execution of a specifically assigned work | 212 | |||
| Replacement contract | 213 |
| DEPARTURES | Codes | 1. Full-time | 2. Part-time | 3. Total full-time equivalents |
|---|---|---|---|---|
| Number of employees whose contract-termination date has been entered in DIMONA declaration or in the general personnel register during the financial year |
305 | 139 | 25 | 157,8 |
By nature of employment contract |
||||
| Contract for an indefinite period | 310 | 135 | 25 | 153,8 |
| Contract for a definite period | 311 | 4 | 4,0 | |
| Contract for the execution of a specifically assigned work | 312 | |||
| Replacement contract | 313 | |||
| By reason of termination of contract | ||||
| Retirement | 340 | 18 | 7 | 23,0 |
| Unemployment with extra allowance from enterprise | 341 | 26 | 11 | 34,5 |
| Dismissal | 342 | 36 | 3 | 38,1 |
| Other reason | 343 | 59 | 4 | 62,2 |
| Of which the number of persons who continue to render services to the enterprise at least half-time on a self-employed basis |
350 |
| Total of initiatives of formal professional training at the expense of the employer |
Codes | Men | Codes | Women |
|---|---|---|---|---|
| Number of employees involved | 5801 | 2.132 | 5811 | 345 |
| Number of actual training hours | 5802 | 37.018 | 5812 | 6.264 |
| Net costs for the enterprise | 5803 | 4.053.804,39 | 5813 | 858.242,72 |
| of which gross costs directly linked to training | 58031 | 4.078.736,69 | 58131 | 862.326,38 |
| of which fees paid and paiments to collective funds | 58032 | 117.976,25 | 58132 | 19.041,79 |
| of which grants and other financial advantages received (to deduct) | 58033 | 142.908,55 | 58133 | 23.125,45 |
| Total of initiatives of less formal or informal professional training at the expense of the employer |
||||
| Number of employees involved | 5821 | 1.413 | 5831 | 391 |
| Number of actual training hours | 5822 | 80.591 | 5832 | 11.658 |
| Net costs for the enterprise | 5823 | 3.921.833,33 | 5833 | 713.932,54 |
| Total of initiatives of initial professional training at the expense of the employer |
||||
| Number of employees involved | 5841 | 5851 | ||
| Number of actual training hours | 5842 | 5852 | ||
| Net costs for the enterprise | 5843 | 5853 |
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