Powered By Blogger

viernes, 31 de diciembre de 2010

ANALISIS FINANCIERO EMPRESA COLOMBIA

COLOMBIA
BALANCE GENERAL
Expresado en miles de pesos

2007
%
2008
%
2009
%
ACTIVO













Activo Corriente













Disponible
                    2.244.142
4,54%
                   1.633.502
3%
                  2.530.621
4,35%
Inversiones temporales
                    1.316.253
2,66%
                      377.386
1%
                         7.662
0,01%
Clientes
                    9.676.732
19,57%
                 11.811.160
22%
                12.377.604
21,27%
Deudores
                    1.394.288
2,82%
                   1.443.972
3%
                  2.977.645
5,12%
Inventarios
                    7.695.633
15,56%
                   9.287.818
18%
                  9.988.225
17,16%
Pagos por anticipado
                       184.392
0,37%
                      101.414
0%
                  1.249.311
2,15%
TOTAL ACTIVO CORRIENTE
                  22.511.440
45,52%
                 24.655.252
46%
                29.131.068
50,06%
INVERSIONES PERMANENTES
                       184.145
0,37%
                      168.292
0%
                     252.685
0,43%
Activos Fijos

0,00%

0%

0,00%
    No depreciables

0,00%

0%

0,00%
       Terrenos
                    4.000.952
8,09%
                   4.625.714
8,72%
                  5.141.294
8,84%
       Construcciones en curso
                         60.851
0,12%
                        31.646
0,06%
                       34.158
0,06%
    Depreciables

0,00%

0,00%

0,00%
       Edificios
                    6.835.006
13,82%
                   7.802.123
14,70%
                  8.614.552
14,80%
       Maquinaria y equipo
                    7.443.079
15,05%
                   8.912.675
16,80%
                  9.223.717
15,85%
       Vehiculos
                       873.760
1,77%
                   1.132.857
2,13%
                     993.310
1,71%
       Muebles, enseres y E.  Oficina
                    5.913.367
11,96%
                   7.403.584
13,95%
                  7.944.761
13,65%
    Depreciacion Acumulada
                (10.400.935)
-21,03%
               (14.453.939)
-27,24%
               (16.813.635)
-28,89%
    Valorizaciones
                  11.486.430
23,23%
                 11.486.430
21,65%
                12.546.766
21,56%
TOTAL ACTIVOS FIJOS
                  26.212.510
53,01%
                 26.941.090
50,77%
                27.684.923
47,58%
Otros Activos

0,00%

0,00%

0,00%
Diferidos a largo plazo
                       501.208
1,01%
                   1.289.335
2,43%
                  1.108.638
1,91%
Otros
                         42.219
0,09%
                          7.520
0,01%
                       13.567
0,02%
TOTAL OTROS ACTIVOS
                       543.427
1,10%
                   1.296.855
2,44%
                  1.122.205
1,93%
TOTAL ACTIVOS
                  49.451.522
100,00%
                 53.061.489
100%
                58.190.881
100,00%
PASIVO






Pasivo Corriente






Obligaciones Financieras
                                -  

                               -  

                  4.926.853
38,07%
Entes Relacionados
                                -  

                               -  

                               -  

Proveedores
                    3.027.531
45,76%
                   3.375.078
42,51%
                  3.723.898
28,77%
      Nacionales
                    1.865.315
28,19%
                   2.021.830
25,47%
                  1.869.757
14,45%
      Del Exterior Asociados
                    1.095.775
16,56%
                   1.247.639
15,71%
                  1.556.969
12,03%
      Del Exterior Terceros
                         66.441
1,00%
                      105.609
1,33%
                     297.172
2,30%
Cuentas por pagar
                       471.245
7,12%
                      566.512
7,14%
                     680.448
5,26%
Obligaciones Laborales
                       825.728
12,48%
                      804.483
10,13%
                     961.617
7,43%
Impuestos, gravamenes y tasas
                    1.288.599
19,47%
                      462.770
5,83%
                     650.775
5,03%
Pasivos estimados y provisiones
                       878.552
13,28%
                   2.653.395
33,42%
                  1.970.866
15,23%
TOTAL PASIVOS CORRIENTES
                    6.491.655
98,11%
                   7.862.238
99,03%
                12.914.457
99,79%
Pasivo Largo Plazo

0,00%

0,00%

0,00%
Impuesto diferido
105.845
1,60%
                        51.350
0,65%
                               -  
0,00%
Pensiones de jubilacion
19.239
0,29%
                        25.735
0,32%
                       27.105
0,21%
TOTAL PASIVO LARGO PLAZO
125.084
1,89%
                        77.085
0,97%
                       27.105
0,21%
TOTAL PASIVO
                    6.616.739
100,00%
                   7.939.323
100,00%
                12.941.562
100,00%
PATRIMONIO






Capital Social
                       312.317
0,73%
                      312.317
0,69%
                     312.317
0,69%
Revalorizacion del patrimonio
                  18.349.759
42,84%
                 22.745.559
50,41%
                25.944.101
57,34%
Resultados de ejercicios anteriores
                    7.160.388
16,72%
                   8.844.774
19,60%
                  6.726.590
14,87%
Resultados del ejercicio
                    5.525.889
12,90%
                   1.733.086
3,84%
                    (280.455)
-0,62%
Superavit por Valorizaciones
                  11.486.430
26,82%
                 11.486.430
25,46%
                12.546.766
27,73%


0,00%

0,00%

0,00%
TOTAL PATRIMONIO
                  42.834.783
100,00%
                 45.122.166
100,00%
                45.249.319
100,00%







TOTAL PASIVO + PATRIMONIO
                  49.451.522

                 53.061.489

                58.190.881


                                -  

                               -  

                               -  

No hay comentarios:

Publicar un comentario