Active imobilizate |
525.12 |
511.83 |
505.72 |
499.57 |
492.76 |
Imobilizari necorporale |
0.57 |
0.46 |
|
0.21 |
0.18 |
Imobilizari corporale |
524.55 |
511.37 |
505.36 |
499.36 |
492.58 |
Imobilizari financiare |
0 |
0 |
0 |
0 |
0 |
Active circulante |
726.33 |
683.77 |
691.87 |
716.19 |
699.12 |
Stocuri |
557.84 |
551.8 |
544.8 |
550.25 |
569.7 |
Creante |
166.93 |
126.51 |
142.69 |
161.57 |
119.95 |
Cheltuieli inregistrate in avans |
0 |
0.07 |
0.06 |
0 |
0 |
Investitii financiare pe termen scurt |
0 |
0 |
0 |
0 |
0 |
Casa si conturi la banci |
1.56 |
5.39 |
4.38 |
4.37 |
9.46 |
Alte active circulante |
0 |
0 |
|
0 |
0 |
Active detinute in vederea vanzarii |
0 |
0 |
|
0 |
0 |
Total Activ |
1251.45 |
1195.6 |
1197.64 |
1215.76 |
1191.87 |
Datorii |
656.63 |
671.73 |
|
707.65 |
750.8 |
Datorii pe termen scurt |
510.88 |
512.03 |
96.35 |
147.05 |
163.95 |
Datorii comerciale |
188.49 |
170.7 |
18.03 |
21.48 |
17.79 |
Datorii financiare |
122.48 |
113.46 |
0 |
0 |
0 |
Alte datorii pe termen scurt |
117.24 |
141.44 |
|
85.33 |
99.11 |
Provizioane (termen scurt) |
0 |
0 |
|
0 |
0 |
Venituri in avans (termen scurt) |
82.67 |
86.42 |
13.64 |
40.24 |
47.05 |
Datorii pe termen lung |
145.75 |
159.71 |
557.55 |
560.6 |
586.85 |
Datorii comerciale |
47.45 |
64.96 |
|
447.18 |
223.13 |
Datorii financiare |
0.31 |
0 |
110.37 |
110.37 |
109.26 |
Alte datorii pe termen lung |
81.91 |
91.6 |
|
0 |
240.02 |
Provizioane (termen lung) |
3.17 |
3.14 |
|
3.05 |
2.99 |
Venituri in avans (termen lung) |
12.91 |
0 |
|
0 |
11.46 |
Datorii asociate activelor detinute pentru vanzare |
0 |
0 |
|
0 |
0 |
Capitaluri proprii |
594.82 |
523.86 |
527.02 |
508.11 |
441.07 |
Capital social |
198.41 |
198.41 |
198.41 |
198.41 |
198.41 |
Prime de capital |
0 |
0 |
|
0 |
0 |
Rezerve din reevaluare |
0 |
432.75 |
|
0 |
0 |
Rezultatul reportat |
-133.49 |
-197.33 |
|
-213.08 |
-280.12 |
Alte rezerve |
478.81 |
38.94 |
|
471.69 |
471.69 |
Alte elemente de capital |
51.09 |
51.09 |
|
51.09 |
51.09 |
Total Pasiv |
1251.45 |
1195.6 |
1197.64 |
1215.76 |
1191.87 |
Nr. mediu angajati (numai angajati permanenti) |
293 |
|
236 |
|
|
Rezultat din exploatare |
-114.98 |
-68.18 |
-63.09 |
-81.22 |
-133.42 |
Venituri din exploatare |
635.31 |
85.51 |
230.11 |
357.25 |
436.51 |
Cifra de afaceri |
644.42 |
88.55 |
230.18 |
346.32 |
420.42 |
Productia capitalizata |
0 |
0 |
|
0 |
0 |
Variatia stocurilor |
-12.68 |
-10.96 |
|
-6.59 |
-1.85 |
Alte venituri din exploatare |
3.57 |
7.91 |
|
17.52 |
17.94 |
Cheltuieli de exploatare |
750.28 |
153.69 |
293.2 |
438.48 |
569.93 |
Costul marfurilor vandute |
0 |
0 |
|
0 |
0 |
Cheltuieli cu materiile prime si consumabilele |
277.96 |
36.51 |
|
121.35 |
162.94 |
Amortizare si depreciere |
26.27 |
6.16 |
|
18.42 |
24.5 |
Cheltuieli cu personalul |
359.82 |
77.58 |
|
222.13 |
288.36 |
Alte cheltuieli de exploatare |
86.23 |
33.44 |
|
76.58 |
94.13 |
Rezultat financiar |
-16.91 |
-2.78 |
-4.71 |
-5.49 |
-5.72 |
Venituri din dobanzi |
0 |
0 |
0.1 |
0 |
0 |
Cheltuieli cu dobanzile |
0 |
0 |
5.52 |
0 |
0 |
Alte venituri si cheltuieli financiare - net |
-16.91 |
-2.78 |
0.7 |
-5.49 |
-5.72 |
Rezultatul extraordinar - net |
0 |
0 |
|
0 |
0 |
Rezultatul brut |
-131.89 |
-70.96 |
-67.8 |
-86.71 |
-139.15 |
Total Venituri |
635.31 |
85.51 |
234.12 |
357.25 |
436.51 |
Total Cheltuieli |
767.2 |
156.47 |
301.92 |
443.96 |
575.65 |
Impozit pe profit |
0 |
0 |
|
0 |
0 |
Alte impozite |
0 |
0 |
|
0 |
0 |
Rezultatul net |
-131.89 |
-70.96 |
-67.8 |
-86.71 |
-139.15 |