|
Active Account | Passive Account | Account
Results
|
|
Synthesized Accounts
|
Annual Accounts
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
|
Account period (month)
|
12
|
|
12
|
|
12
|
|
|
|
Account Type
|
Normal
|
|
Normal
|
|
Normal
|
|
|
|
Deposit date
|
30/04/2012
|
|
02/03/2011
|
|
15/02/2010
|
|
|
|
Activity Code
|
4639A
|
|
4639A
|
|
4639A
|
|
|
|
Employees
|
0
|
|
0
|
|
0
|
|
|
Active account
|
Annual Accounts
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
Sector
Median 2011
|
|
|
Capital not called
|
0
|
0%
|
0
|
0%
|
0
|
0
|
0%
|
|
Total fixed assets
|
257 687
|
-19,0%
|
318 265
|
7,9%
|
294 839
|
100 217
|
157,1%
|
|
- Intangible assets
|
0
|
0%
|
0
|
0%
|
0
|
209
|
0%
|
|
- Tangible assets
|
202 914
|
-23,5%
|
265 196
|
12,7%
|
235 289
|
52 233
|
288,5%
|
|
- Financial assets
|
54 773
|
3,2%
|
53 069
|
-10,9%
|
59 550
|
14 387
|
280,7%
|
|
Net current assets
|
20 183 382
|
16,4%
|
17 338 242
|
24,2%
|
13 955 181
|
1 947 465
|
936,4%
|
|
- Stocks
|
12 754 125
|
76,2%
|
7 239 875
|
1,2%
|
7 154 724
|
375 155
|
3299,7%
|
|
- Advanced payments
|
0
|
16,4%
|
0
|
0%
|
0
|
0
|
0%
|
|
- Receivables
|
6 682 994
|
-28,6%
|
9 359 403
|
57,2%
|
5 954 766
|
1 041 972
|
541,4%
|
|
- Securities and cash
|
746 263
|
1,0%
|
738 964
|
-12,6%
|
845 691
|
201 849
|
269,7%
|
|
- Prepaid expenses
|
-
|
-
|
-
|
-
|
-
|
0
|
-
|
|
Accounts of regularization
|
9 560
|
0%
|
0
|
0%
|
0
|
0
|
0%
|
|
Total Assets
|
20 450 629
|
15,8%
|
17 656 507
|
23,9%
|
14 250 020
|
2 113 029
|
867,8%
|
Passive Account
|
Annual Accounts
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
Sector
Median 2011
|
|
|
Shareholders' equity
|
5 121 143
|
46,7%
|
3 491 970
|
13,7%
|
3 070 633
|
693 370
|
638,6%
|
|
Share capital
|
2 000 000
|
0%
|
2 000 000
|
0%
|
2 000 000
|
80 000
|
2400%
|
|
Other capital resources
|
0
|
0%
|
0
|
0%
|
0
|
0
|
0%
|
|
Risk Provisions
|
134 560
|
-36,9%
|
213 219
|
10,8%
|
192 450
|
0
|
0%
|
|
Liabilities
|
15 191 310
|
8,9%
|
13 951 319
|
27,0%
|
10 986 936
|
1 537 771
|
887,9%
|
|
- Financial liabilities
|
8 324 351
|
30,3%
|
6 389 909
|
60,8%
|
3 972 843
|
84 814
|
9714,8%
|
|
- Advanced payments received
|
0
|
0%
|
0
|
0%
|
0
|
0
|
0%
|
|
- Trade account payables
|
5 281 007
|
-13,3%
|
6 090 787
|
4,8%
|
5 812 355
|
823 000
|
541,7%
|
|
- Tax and social liabilities
|
1 568 339
|
9,1%
|
1 437 543
|
20,4%
|
1 193 734
|
132 114
|
1087,1%
|
|
- Other debts and fixed assets liabilities
|
21 060
|
-36,3%
|
33 079
|
313,3%
|
8 004
|
16 537
|
27,4%
|
|
Account regularization
|
170
|
0%
|
0
|
0%
|
0
|
0
|
0%
|
|
Total liabilities
|
20 450 629
|
15,8%
|
17 656 507
|
23,9%
|
14 250 020
|
2 113 029
|
867,8%
|
Results
|
Annual Accounts
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
Sector
Median 2011
|
|
|
Sales of Goods
|
69 323 403
|
5,7%
|
65 611 858
|
0,5%
|
65 287 659
|
5 680 258
|
1120,4%
|
|
Net turnover
|
68 824 799
|
6,0%
|
64 951 640
|
0,1%
|
64 879 743
|
5 518 966
|
1147,1%
|
|
- of which net export turnover
|
0
|
0%
|
0
|
0%
|
0
|
0
|
0%
|
|
Operating charges
|
65 811 890
|
3,0%
|
63 879 054
|
0,3%
|
63 661 372
|
5 353 743
|
1129,3%
|
|
Operating profit/loss
|
3 511 513
|
102,6%
|
1 732 804
|
6,5%
|
1 626 287
|
115 773
|
2933,1%
|
|
Financial income
|
120 646
|
501,1%
|
20 070
|
23,2%
|
16 294
|
2 330
|
5077,9%
|
|
Financial charges
|
261 301
|
45,2%
|
179 904
|
-57,0%
|
418 188
|
5 671
|
4507,7%
|
|
Financial profit/loss
|
-140 655
|
12,0%
|
-159 834
|
60,2%
|
-401 894
|
-2 622
|
-5264,4%
|
|
Pretax net operating income
|
3 370 858
|
114,3%
|
1 572 970
|
28,5%
|
1 224 393
|
107 466
|
3036,7%
|
|
Extraordinary income
|
214 981
|
-9,5%
|
237 657
|
272,1%
|
63 875
|
3 761
|
5616,1%
|
|
Extraordinary charges
|
1 559 095
|
1521,7%
|
96 137
|
30,4%
|
73 729
|
2 822
|
55147,9%
|
|
Extraordinary profit/loss
|
-1 344 114
|
835,7%
|
141 520
|
1536,2%
|
-9 854
|
24
|
-5600575,0%
|
|
Net result
|
1 324 234
|
16,4%
|
1 137 648
|
41,8%
|
802 265
|
79 667
|
1562,2%
|
|
|
|
|
Normal Account
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Months
|
|
12
|
|
12
|
|
12
|
Accounts - Active
Current Assets | Equalization accounts | Reference
Grand Total - Passive Accounts (I to IV)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Grand Total (I to VI)
|
Net
|
20 450 629
|
15,8%
|
17 656 507
|
23,9%
|
14 250 020
|
|
|
Gross
|
CO
|
21 070 683
|
13,9%
|
18 507 171
|
21,0%
|
15 294 196
|
|
|
Amortisation
|
1A
|
620 054
|
-27,1%
|
850 664
|
-18,5%
|
1 044 176
|
Non declared distributed capital (I)
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Non declared distributed capital (I)
|
AA3
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Gross
|
AA
|
0
|
0%
|
0
|
0%
|
0
|
Active fixed asset (II)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Total Active fixed asset (II)
|
Net
|
257 687
|
-19,0%
|
318 265
|
7,9%
|
294 839
|
|
|
Gross
|
BJ
|
743 057
|
-2,5%
|
762 308
|
-0,1%
|
763 252
|
|
|
Amortisation
|
BK
|
485 370
|
9,3%
|
444 043
|
-5,2%
|
468 413
|
Intangilble fixed assets
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Start-up cost
|
Net
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Gross
|
AB
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Amortisation
|
AC
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
R & D expenses
|
Net
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Gross
|
CX
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Amortisation
|
AE
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Distributorships, patents
|
Net
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Gross
|
AF
|
112 070
|
-9,7%
|
124 040
|
-4,3%
|
129 569
|
|
|
Amortisation
|
AG
|
112 070
|
-9,7%
|
124 040
|
-4,3%
|
129 569
|
|
 
|
Goodwill
|
Net
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Gross
|
AH
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Amortisation
|
AI
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Other intangible fixed assets
|
Net
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Gross
|
AJ
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Amortisation
|
AK
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Pre-payments and downpayments
|
Net
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Gross
|
AL
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Amortisation
|
AM
|
0
|
0%
|
0
|
0%
|
0
|
|
Sub Total Intangible
Assets
|
Net
|
0
|
0%
|
0
|
0%
|
0
|
Tangilble fixed assets
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Lands
|
Net
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Gross
|
AN
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Amortisation
|
AO
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Buildings
|
Net
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Gross
|
AP
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Amortisation
|
AQ
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Plant
|
Net
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Gross
|
AR
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Amortisation
|
AS
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Other tangible fixed assets
|
Net
|
202 914
|
-23,5%
|
265 196
|
12,7%
|
235 289
|
|
|
Gross
|
AT
|
576 214
|
-1,5%
|
585 199
|
1,9%
|
574 133
|
|
|
Amortisation
|
AU
|
373 300
|
16,7%
|
320 003
|
-5,6%
|
338 844
|
|
 
|
Fixed assets in construction
|
Net
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Gross
|
AV
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Amortisation
|
AW
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Advances and payments on account
|
Net
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Gross
|
AX
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Amortisation
|
AY
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Sub Total Tangible asset
|
Net
|
202 914
|
|
265 196
|
|
235 289
|
Financial assets
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Associates at equity
|
Net
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Gross
|
CS
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Amortisation
|
CT
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Other participations
|
Net
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Gross
|
CU
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Amortisation
|
CV
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Inter-company receivables
|
Net
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Gross
|
BB
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Amortisation
|
BC
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Other investment securities
|
Net
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Gross
|
BD
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Amortisation
|
BE
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Loans
|
Net
|
14 112
|
-6,6%
|
15 112
|
-37,4%
|
24 137
|
|
|
Gross
|
BF
|
14 112
|
0%
|
15 112
|
0%
|
24 137
|
|
|
Amortisation
|
BG
|
0
|
|
0
|
|
0
|
|
 
|
Other financial assets
|
Net
|
40 661
|
7,1%
|
37 957
|
7,2%
|
35 413
|
|
|
Gross
|
BH
|
40 661
|
7,1%
|
37 957
|
7,2%
|
35 413
|
|
|
Amortisation
|
BI
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Sub Total Financial Assets
|
|
54 773
|
|
53 069
|
|
59 550
|
Current Assets (III)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Total Assets
|
Net
|
20 183 382
|
16,4%
|
17 338 242
|
24,2%
|
13 955 181
|
|
|
Gross
|
CJ
|
20 318 066
|
14,5%
|
17 744 863
|
22,1%
|
14 530 944
|
|
|
Amortisation
|
CK
|
134 684
|
-66,9%
|
406 621
|
-29,4%
|
575 763
|
Stocks
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Raw materials
|
Net
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Gross
|
BL
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Amortisation
|
BM
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Work in progress (goods)
|
Net
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Gross
|
BN
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Amortisation
|
BO
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Work in progress (services)
|
Net
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Gross
|
BP
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Amortisation
|
BQ
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Semi-finished and finished products
|
Net
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Gross
|
BR
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Amortisation
|
BS
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Goods for resale
|
Net
|
12 754 125
|
76,2%
|
7 239 875
|
1,2%
|
7 154 724
|
|
|
Gross
|
BT
|
12 870 644
|
69,5%
|
7 594 177
|
-0,8%
|
7 656 783
|
|
|
Amortisation
|
BU
|
116 519
|
-67,1%
|
354 302
|
-29,4%
|
502 059
|
|
|
Sub Total Stocks
|
Net
|
12 754 125
|
76,2%
|
7 239 875
|
1,2%
|
7 154 724
|
Advance payments to suppliers
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Advance payments to suppliers
|
Net
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Gross
|
BV
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Amortisation
|
BW
|
0
|
0%
|
0
|
0%
|
0
|
Debtors
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Trade accounts receivable
|
Net
|
5 147 874
|
-0,9%
|
5 193 840
|
183,5%
|
1 832 346
|
|
|
Gross
|
BX
|
5 166 039
|
-1,5%
|
5 246 159
|
175,2%
|
1 906 050
|
|
|
Amortisation
|
BY
|
18 165
|
-65,3%
|
52 319
|
-29,0%
|
73 704
|
|
 
|
Other debtors
|
Net
|
1 415 697
|
17,4%
|
1 205 959
|
3,8%
|
1 162 052
|
|
|
Gross
|
BZ
|
1 415 697
|
17,4%
|
1 205 959
|
3,8%
|
1 162 052
|
|
|
Amortisation
|
CA
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Capital subscribed and called up
|
Net
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Gross
|
CB
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Amortisation
|
CC
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Sub Total Debtors
|
Net
|
6 563 571
|
2,6%
|
6 399 799
|
113,7%
|
2 994 398
|
Divers
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Investment securities
|
Net
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Gross
|
CD
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Amortisation
|
CE
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Cash and cash equivalents
|
Net
|
746 263
|
1,0%
|
738 964
|
-12,6%
|
845 691
|
|
|
Gross
|
CF
|
746 263
|
1,0%
|
738 964
|
-12,6%
|
845 691
|
|
|
Amortisation
|
CG
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Sub Total Divers
|
Net
|
746 263
|
1,0%
|
738 964
|
-12,6%
|
845 691
|
Prepaid expenses
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Prepaid expenses
|
Net
|
119 423
|
-96,0%
|
2 959 604
|
0,0%
|
2 960 368
|
|
|
Gross
|
CH
|
119 423
|
-96,0%
|
2 959 604
|
0,0%
|
2 960 368
|
|
|
Amortisation
|
CI
|
0
|
0%
|
0
|
0%
|
0
|
Equalization accounts (IV to VI)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Multi-period charges
|
CW3
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Gross
|
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Premiums on redemption of bonds
|
CM3
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Gross
|
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Currency differential gain
|
CN3
|
9 560
|
0%
|
0
|
0%
|
0
|
|
|
Gross
|
|
9 560
|
0%
|
0
|
0%
|
0
|
References
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Due within one year
|
CP
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Due after one year
|
CR
|
0
|
0%
|
0
|
0%
|
0
|
|
|
|
|
Accounts - Passive
Other capital resources | Provisions for risks and charges |
Liabilities | Translation loss | Equalization accounts |
References
Grand Total - Passive Accounts (I to IV)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Grand Total (I to V)
|
EE
|
20 450 629
|
15,8%
|
17 656 507
|
23,9%
|
14 250 020
|
Shareholder Equity (I)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Total shareholders' equity (Total I)
|
DL
|
5 121 143
|
46,7%
|
3 491 970
|
13,7%
|
3 070 633
|
|
|
Equity and shareholders' equity
|
DA
|
2 000 000
|
0%
|
2 000 000
|
0%
|
2 000 000
|
|
|
Issue and merger premiums
|
DB
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Revaluation differentials
|
DC
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Of which equity differential
|
EK
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Legal reserve
|
DD
|
200 000
|
0%
|
200 000
|
0%
|
200 000
|
|
|
Statutory or contractual reserve
|
DE
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Special regulated reserves
|
DF
|
0
|
0%
|
0
|
0%
|
02
|
|
|
Of which special reserve of provisions for current fluctuation
|
B1
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Other reserves
|
DG
|
161 906
|
4,9%
|
154 322
|
125,7%
|
68 366
|
|
|
Of which reserve for buying originals works from alive artists
|
EJ
|
0
|
|
0
|
0%
|
0
|
|
|
Profits or losses brought forward
|
DH
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Profit or loss for the period
|
DI
|
1 324 234
|
16,4%
|
1 137 648
|
41,8%
|
802 265
|
|
|
Investment grants
|
DJ
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Special tax-allowable reserves
|
DK
|
1 435 003
|
0%
|
0
|
0%
|
0
|
Other capital resources (II)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Total other capital resources (Total II)
|
DO
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Income from participating securities
|
DM
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Conditional loans
|
DN
|
0
|
0%
|
0
|
0%
|
0
|
Provisions for risks and charges (III)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Total provisions for risks and charges (Total III)
|
DR
|
134 560
|
-36,9%
|
213 219
|
10,8%
|
192 450
|
|
|
Risk provisions
|
DP
|
134 560
|
-36,9%
|
213 219
|
10,8%
|
192 450
|
|
|
Reserves for charges
|
DQ
|
0
|
0%
|
0
|
0%
|
0
|
Liabilities (IV)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Total Liabilities (Total IV)
|
EC
|
15 191 310
|
8,9%
|
13 951 319
|
27,0%
|
10 986 936
|
|
|
Convertible debentures
|
DS
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Other debentures
|
DT
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Bank loans and liabilities
|
DU
|
7 504 652
|
18,0%
|
6 359 149
|
81,7%
|
3 499 864
|
|
|
Sundry loans and financial liabilities
|
DV
|
819 699
|
2564,8%
|
30 760
|
-93,5%
|
472 979
|
|
|
Of which participating loans
|
EI
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Advance payments received for current orders
|
DW
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Trade accounts payables
|
DX
|
5 281 007
|
-13,3%
|
6 090 787
|
4,8%
|
5 812 355
|
|
|
Tax and social security liabilities
|
DY
|
1 568 339
|
9,1%
|
1 437 543
|
20,4%
|
1 193 734
|
|
|
Fixed asset liabilities
|
DZ
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Other debts
|
EA
|
17 444
|
-47,3%
|
33 079
|
313,3%
|
8 004
|
Translation loss (V)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Translation loss (Total V)
|
ED
|
3 616
|
0%
|
0
|
0%
|
0
|
Equalization accounts
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Deferred income
|
EB
|
170
|
0%
|
0
|
0%
|
0
|
References
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Of which tax-allowable reserve
|
EF
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Deferred income and liabilities
|
EG
|
15 188 670
|
8,9%
|
13 951 880
|
27,2%
|
10 969 156
|
|
|
Of which current bank facilities
|
EH
|
7 504 737
|
18,0%
|
6 359 149
|
81,7%
|
3 499 864
|
|
|
|
|
Result account
Sales of Goods | Operating charges | Operating charges |
Financial income | Financial charges | Financial charges |
Extraordinary charges | Employee profit sharing | Tax on
profits | References
1- Operating result (I-II)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Operating result (Total I-II)
|
GG
|
3 511 513
|
102,6%
|
1 732 804
|
6,5%
|
1 626 287
|
2 - Financial
result (V - VI)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Financial result (Total V-VI)
|
GV
|
-140 655
|
12,0%
|
-159 834
|
60,2%
|
-401 894
|
3 - Pre-tax
net operating income result (I - VI)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Pre-tax net operating income (Total I-II+II-IV+V-VI)
|
GW
|
3 370 858
|
114,3%
|
1 572 970
|
28,5%
|
1 224 393
|
4 - Extraordinary
result (VII-VIII)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Extraordinary result (Total VII-VIII)
|
HI
|
-1 344 114
|
-1049,8%
|
141 520
|
1536,2%
|
-9 854
|
Profit or loss
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Profit or loss
|
HN
|
1 324 234
|
16,4%
|
1 137 648
|
41,8%
|
802 265
|
Total Income (I+III+V+VII)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Total Income (I+III+V+VII)
|
HL
|
69 659 030
|
5,8%
|
65 869 585
|
0,8%
|
65 367 828
|
Total charges (Total II+IV+VI+VIII+IX+X)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Total charges (Total II+IV+VI+VIII+IX+X)
|
HM
|
68 334 796
|
5,6%
|
64 731 936
|
0,3%
|
64 565 564
|
Operating income (I)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Total operating income (Total I)
|
FR
|
69 323 403
|
5,7%
|
65 611 858
|
0,5%
|
65 287 659
|
Operating income (details)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Sale of goods for resale
|
FC
|
68 249 888
|
5,4%
|
64 737 880
|
0,4%
|
64 481 578
|
|
|
France
|
FA
|
68 249 888
|
5,4%
|
64 737 880
|
0,4%
|
64 481 578
|
|
|
Export
|
FB
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Sale of goods produced
|
FF
|
0
|
0%
|
0
|
0%
|
0
|
|
|
France
|
FD
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Export
|
FE
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Sale of services
|
FI
|
574 911
|
169,0%
|
213 760
|
-46,3%
|
398 165
|
|
|
France
|
FG
|
574 911
|
169,0%
|
213 760
|
-46,3%
|
398 165
|
|
|
Export
|
FH
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Net turnover
|
FL
|
68 824 799
|
6,0%
|
64 951 640
|
0,1%
|
64 879 743
|
|
|
France
|
FJ
|
68 824 799
|
6,0%
|
64 951 640
|
0,1%
|
64 879 743
|
|
|
Export
|
FK
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Stocked production
|
FM
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Self-constructed assets
|
FN
|
0
|
0%
|
858
|
0%
|
0
|
|
|
Operating grants
|
FO
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Release of reserves and provisions
|
FP
|
493 863
|
-19,4%
|
612 692
|
52,9%
|
400 626
|
|
|
Other income
|
FQ
|
4 741
|
-89,8%
|
46 668
|
540,2%
|
7 290
|
Operating charges (II)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Total operating charges (Total II)
|
GF
|
65 811 890
|
3,0%
|
63 879 054
|
0,3%
|
63 661 372
|
Exploitation charges
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Purchase of goods for resale
|
FS
|
62 108 525
|
15,6%
|
53 739 980
|
-1,5%
|
54 543 268
|
|
|
Change in stocks of goods for resale
|
FT
|
-5 276 467
|
-8528,1%
|
62 606
|
-12,4%
|
71 464
|
|
|
Purchase of raw materials
|
FU
|
91 442
|
-86,6%
|
681 333
|
14,8%
|
593 643
|
|
|
Change in stocks of raw materials
|
FV
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Other external purchases and charges
|
FW
|
6 247 155
|
-3,0%
|
6 441 236
|
16,0%
|
5 552 981
|
|
|
Tax, duty and similar payments
|
FX
|
298 706
|
21,7%
|
245 391
|
-7,3%
|
264 585
|
|
|
Payroll
|
FY
|
1 386 004
|
-2,0%
|
1 413 968
|
8,7%
|
1 300 220
|
|
|
Social security costs
|
FZ
|
734 020
|
1,4%
|
724 097
|
4,7%
|
691 757
|
Depreciation
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Depreciation of fixed assets
|
GA
|
100 953
|
38,6%
|
72 845
|
-1,0%
|
73 616
|
|
|
Amortisation of fixed assets
|
GB
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Depreciation/amortisation of current assets
|
GC
|
119 194
|
-70,1%
|
398 907
|
-27,7%
|
551 695
|
|
|
Provisions for risks and charges
|
GD
|
0
|
0%
|
5 000
|
0%
|
0
|
Other charges
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Other charges
|
GE
|
2 358
|
-97,5%
|
93 691
|
416,4%
|
18 143
|
Operating charges (III-IV)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Share of joint-venture transferred to other partner(s) (Total III)
|
GH
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Share of joint venture transferred from other partner(s) (Total
IV)
|
GI
|
0
|
0%
|
0
|
0%
|
0
|
Financial income (V)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Total financial income (Total V)
|
GP
|
120 646
|
501,1%
|
20 070
|
23,2%
|
16 294
|
|
|
Share financial income
|
GJ
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Other investment income & capitalised receivables
|
GK
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Other interest and similar income
|
GL
|
32 326
|
61,1%
|
20 070
|
25,7%
|
15 965
|
|
|
Released provisions and transferred charges
|
GM
|
88 219
|
0%
|
0
|
0%
|
0
|
|
|
Exchange gains
|
GN
|
100
|
0%
|
0
|
0%
|
329
|
|
|
Net income from disposal of investment securities
|
GO
|
0
|
0%
|
0
|
0%
|
0
|
Financial Charge (VI)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Total financial charge (Total VI)
|
GU
|
261 301
|
45,2%
|
179 904
|
-57,0%
|
418 188
|
|
|
Financial reserves and provisions
|
GQ
|
9 560
|
-85,5%
|
65 917
|
-56,8%
|
152 450
|
|
|
Interest and similar charges
|
GR
|
165 133
|
45,5%
|
113 500
|
-57,3%
|
265 733
|
|
|
Exchange losses
|
GS
|
86 608
|
17684,0%
|
487
|
9640,0%
|
05
|
|
|
Net loss from disposal of investment securities
|
GT
|
0
|
0%
|
0
|
0%
|
0
|
Financial Charge (VII)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Total extraordinary income (Total VII)
|
HD
|
214 981
|
-9,5%
|
237 657
|
272,1%
|
63 875
|
|
|
Extraordinary operating income
|
HA
|
1 267
|
-99,2%
|
155 176
|
41280,3%
|
375
|
|
|
Extraordinary income from capital transactions
|
HB
|
213 714
|
2030,5%
|
10 031
|
-84,2%
|
63 500
|
|
|
Released provisions and transferred charges
|
HC
|
0
|
0%
|
72 450
|
0%
|
0
|
Extraordinary charges (VIII)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Total extraordinary charges (Total VIII)
|
HH
|
1 559 095
|
1521,7%
|
96 137
|
30,4%
|
73 729
|
|
|
Extraordinary operating charges
|
HE
|
30 550
|
1321,6%
|
2 149
|
-85,0%
|
14 288
|
|
|
Extraordinary charges from capital transactions
|
HF
|
93 328
|
-0,7%
|
93 988
|
58,1%
|
59 441
|
|
|
Extraordinary reserves and provisions
|
HG
|
1 435 217
|
0%
|
0
|
0%
|
0
|
Employee profit sharing (IX)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Employee profit sharing (Total IX)
|
HJ
|
0
|
0%
|
0
|
0%
|
0
|
Tax on profits (X)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Tax on profits (Total X)
|
HK
|
702 510
|
21,8%
|
576 841
|
39,9%
|
412 275
|
References
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Of which equipment leases
|
HP
|
0
|
0%
|
3 540
|
0%
|
0
|
|
|
Of which property leases
|
HQ
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Of which transferred charges
|
A1
|
102 732
|
53,5%
|
66 946
|
0%
|
0
|
|
|
Of which trader's own contributions
|
A2
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Of which royalties on licences and patents (income)
|
A3
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Of which royalties on licences and patents (charges)
|
A4
|
0
|
0%
|
0
|
0%
|
0
|
|
|
|
|
Other incomer tax return forms
Reserve for depreciation | Provisions included in balance sheet |
State deadlines claims and debts at the end of period
Table allocation results and other information
Fixed Assets
Grand Total Fixed Assets (I to IV)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Gross value at begin of period
|
OG
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Increasess due to revaluation
|
OH
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Decreasess, acquisitions, creations, contributions
|
OJ
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Decreasess by budget item transfer
|
OK1
|
0
|
0%
|
0
|
0%
|
492
|
|
|
Decreasess by transfers
|
OK2
|
130 928
|
13,8%
|
115 047
|
1,4%
|
113 481
|
|
|
Gross value at the end of period
|
OL
|
743 058
|
-2,5%
|
762 308
|
-0,1%
|
763 252
|
Research and development Charge (Total I)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Gross value at begin of period
|
CZ
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Increasess due to revaluation
|
KB
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Increasess, acquisitions, creations, contributions
|
KC
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Decreasess by budget item transfer
|
C01
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Decreasess by transfers
|
C02
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Gross value at the end of period
|
D0
|
0
|
0%
|
0
|
0%
|
0
|
Other budget item from Intangible fixed assets
(Total II)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Gross value at begin of period
|
KD
|
124 040
|
-4,3%
|
129 569
|
0%
|
129 569
|
|
|
Increasess due to revaluation
|
KE
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Increasess, acquisitions, creations, contributions
|
KF
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Decreasess by budget item transfer
|
LV1
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Decreasess by transfers
|
LV2
|
11 970
|
116,5%
|
5 529
|
0%
|
0
|
|
|
Gross value at the end of period
|
LW
|
112 070
|
-9,7%
|
124 040
|
-4,3%
|
129 569
|
Tangible fixed assets (Total III)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Gross value at begin of period
|
LN
|
585 199
|
1,9%
|
574 133
|
6,5%
|
538 979
|
|
|
Increasess due to revaluation
|
LO
|
0
|
0%
|
0
|
0%
|
127 107
|
|
|
Increasess, acquisitions, creations, contributions
|
LP
|
85 673
|
-24,9%
|
114 103
|
0%
|
0
|
|
|
Decreasess by budget item transfer
|
NG1
|
0
|
0%
|
0
|
0%
|
492
|
|
|
Decreasess by transfers
|
NG2
|
94 659
|
-8,1%
|
103 037
|
12,7%
|
91 461
|
|
|
Gross value at the end of period
|
NH
|
576 213
|
-1,5%
|
585 199
|
1,9%
|
574 133
|
Fiancial assets (Total IV)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Gross value at begin of period
|
LQ
|
53 069
|
-10,9%
|
59 550
|
-26,7%
|
81 231
|
|
|
Increasess due to revaluation
|
LR
|
0
|
0%
|
0
|
0%
|
339
|
|
|
Increasess, acquisitions, creations, contributions
|
LS
|
26 005
|
0%
|
0
|
0%
|
0
|
|
|
Decreasess by budget item transfer
|
NJ1
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Decreasess by transfers
|
NJ2
|
24 300
|
274,9%
|
6 481
|
-70,6%
|
22 020
|
|
|
Gross value at the end of period
|
NK
|
54 774
|
3,2%
|
53 069
|
-10,9%
|
59 550
|
Reserve for depreciation
Situation and movement of reserve for
depreciation
Grand total (I-II-III)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Reserve for depreciation value at begin of period
|
0N
|
0
|
0%
|
0
|
0%
|
0
|
|
Increases
|
0P
|
0
|
0%
|
0
|
0%
|
0
|
|
Decreasess
|
0Q
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Reserve for depreciation value at the end of period
|
0R
|
0
|
0%
|
0
|
0%
|
0
|
Research and development charge (Total I)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Reserve for depreciation value at begin of period
|
CY
|
0
|
0%
|
0
|
0%
|
0
|
|
Increases
|
PB
|
0
|
0%
|
0
|
0%
|
0
|
|
Decreasess
|
PC
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Decreasess by budget item transfer
|
PD
|
0
|
0%
|
0
|
0%
|
0
|
Other intangible assets (Total II)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Reserve for depreciation value at begin of period
|
PE
|
124 040
|
-4,3%
|
129 569
|
3,7%
|
125 000
|
|
Increases
|
PF
|
0
|
0%
|
0
|
0%
|
4 569
|
|
Decreasess
|
PG
|
11 970
|
116,5%
|
5 529
|
0%
|
0
|
|
|
Decreasess by budget item transfer
|
PH
|
112 070
|
-9,7%
|
124 040
|
-4,3%
|
129 569
|
Total fixed assets amotisation (Total III)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Reserve for depreciation value at begin of period
|
QU
|
320 000
|
-5,6%
|
338 845
|
4,6%
|
323 837
|
|
Increases
|
QV
|
101 166
|
38,9%
|
72 845
|
5,5%
|
69 047
|
|
Decreases
|
QW
|
47 869
|
-47,8%
|
91 690
|
69,7%
|
54 040
|
|
|
Decreasess by budget item transfer
|
QX
|
373 297
|
16,7%
|
320 000
|
-5,6%
|
338 844
|
Movements during period affecting charge allocated
over several period
Charges à répartir ou frais d'émission
d'emprunt
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Gross value at begin of period
|
Z91
|
0
|
0%
|
0
|
0%
|
0
|
|
Increases
|
Z92
|
0
|
0%
|
0
|
0%
|
0
|
|
Depreciation
of fixed assets during period
|
Z9
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Decreasess by budget item transfer
|
B1
|
0
|
0%
|
0
|
0%
|
0
|
Premium refund of obligations
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Net value at begining of period
|
SP1
|
0
|
0%
|
0
|
0%
|
0
|
|
Increases
|
SP2
|
0
|
0%
|
0
|
0%
|
0
|
|
Depreciation
of fixed assets during period
|
SP
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Net value at the end of period
|
SR
|
0
|
0%
|
0
|
0%
|
0
|
Provisions included in balance sheet
Grand Total (I-II-III)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Value at begining of period
|
7C
|
619 840
|
-19,3%
|
768 213
|
65,3%
|
464 693
|
|
Increases
|
UB
|
1 563 757
|
217,8%
|
492 126
|
-30,1%
|
704 145
|
|
Decreases
|
UC
|
479 350
|
-22,5%
|
618 196
|
54,3%
|
400 626
|
|
|
Value at the end of period
|
UD
|
1 704 247
|
165,4%
|
642 143
|
-16,4%
|
768 212
|
Includes Total allocations
|
|
Operating
|
UE
|
0
|
0%
|
398 907
|
-27,7%
|
551 695
|
|
|
Financial
|
UG
|
0
|
0%
|
93 219
|
-38,9%
|
152 450
|
|
|
Exceptional
|
UJ
|
0
|
0%
|
0
|
0%
|
0
|
Includes Total Withdrawal
|
|
Operating
|
UF
|
0
|
0%
|
545 746
|
36,2%
|
400 626
|
|
|
Financial
|
UH
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Exceptional
|
UK
|
0
|
0%
|
72 450
|
0%
|
0
|
Total regulated provisions (Total I)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Value at begining of period
|
3Z
|
0
|
0%
|
0
|
0%
|
0
|
|
Increases
|
TS
|
1 435 003
|
0%
|
0
|
0%
|
0
|
|
Decreases
|
TT
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Value at the end of period
|
TU
|
1 435 003
|
0%
|
0
|
0%
|
0
|
Total risk and charge provisions (Total II)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Value at begining of period
|
5Z
|
213 219
|
10,8%
|
192 450
|
381,1%
|
40 000
|
|
Increases
|
TV
|
9 560
|
-89,7%
|
93 219
|
-38,9%
|
152 450
|
|
Decreases
|
TW
|
88 219
|
21,8%
|
72 450
|
0%
|
0
|
|
|
Value at the end of period
|
TX
|
134 560
|
-36,9%
|
213 219
|
10,8%
|
192 450
|
Total Provision for depreciation (Total III)
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Value at begining of period
|
7B
|
406 621
|
-29,4%
|
575 763
|
35,6%
|
424 693
|
|
Increases
|
TY
|
119 194
|
-70,1%
|
398 906
|
-27,7%
|
551 695
|
|
Decreases
|
TZ
|
391 131
|
-28,3%
|
545 746
|
36,2%
|
400 625
|
|
|
Value at the end of period
|
UA
|
134 684
|
-68,6%
|
428 923
|
-25,5%
|
575 763
|
State deadlines claims and debts at the end of
period
State claims
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Gross value
|
VT
|
6 755 933
|
-28,6%
|
9 464 791
|
55,5%
|
6 088 020
|
|
|
1 year at most
|
VU
|
6 682 037
|
-29,0%
|
9 411 722
|
56,1%
|
6 028 470
|
|
|
More than one year
|
VV
|
73 896
|
39,2%
|
53 069
|
-10,9%
|
59 550
|
State of loans
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Claims related to holdings (gross)
|
UL
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Claims related to shareholdings (1 year at most)
|
UM
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Loans (gross)
|
UP
|
14 112
|
-6,6%
|
15 112
|
-37,4%
|
24 137
|
|
|
Loans (1 year at most)
|
UR
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Other financial assets (gross)
|
UT
|
40 661
|
7,1%
|
37 957
|
7,2%
|
35 413
|
|
|
Other financial assets (1 year at most)
|
UV
|
0
|
0%
|
0
|
0%
|
0
|
Receivables statement of assets
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Customers doubtful or disputed
|
VA
|
19 123
|
-39,6%
|
31 668
|
-69,2%
|
102 820
|
|
|
Other claims customer
|
UX
|
5 146 916
|
-1,3%
|
5 214 491
|
189,2%
|
1 803 230
|
|
|
Receivables represent Loaned Securities
|
UU
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Provision for depreciation previously established
|
UQ
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Personnel and associated accounts
|
UY
|
0
|
0%
|
1 470
|
0%
|
0
|
|
|
Social Security and other social organizations
|
UZ
|
0
|
0%
|
0
|
0%
|
12 378
|
|
|
Income taxes
|
VM
|
535 709
|
35,0%
|
396 717
|
32,6%
|
299 203
|
|
|
Value added tax
|
VB
|
186 319
|
3,3%
|
180 397
|
102,9%
|
88 920
|
|
|
Other taxes and payments assimilated
|
VN
|
0
|
0%
|
0
|
0%
|
0
|
|
|
State and other public - Miscellaneous
|
VP
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Group and Associates
|
VC
|
0
|
0%
|
200 000
|
0%
|
0
|
|
|
Accounts receivable (including claims relating to the operation of
pension titles)
|
VR
|
693 669
|
62,3%
|
427 375
|
-43,9%
|
761 551
|
Prepaid
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Prepaid
|
VS
|
119 423
|
-96,0%
|
2 959 604
|
0,0%
|
2 960 368
|
State Debt
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Total debt (gross)
|
VY
|
15 191 310
|
8,9%
|
13 951 319
|
27,0%
|
10 986 936
|
|
1 year at
most
|
VZ2
|
15 188 670
|
8,9%
|
13 951 319
|
27,0%
|
10 986 936
|
|
More than 1
year and 5 years at most
|
VZ3
|
2 640
|
0%
|
0
|
0%
|
0
|
|
More than 5
years
|
VZ4
|
0
|
0%
|
0
|
0%
|
0
|
Details
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
 
|
Convertible bonds (gross)
|
7Y1
|
0
|
0%
|
0
|
0%
|
0
|
|
1 year at
most
|
7Y2
|
0
|
0%
|
0
|
0%
|
0
|
|
More than 1
year and 5 years at most
|
7Y3
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Other bonds (gross)
|
7Z1
|
0
|
0%
|
0
|
0%
|
0
|
|
1 year at
most
|
7Z2
|
0
|
0%
|
0
|
0%
|
0
|
|
More than 1
year and 5 years at most
|
7Z3
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Borrowing & debts to 1 year maximum at the origin (gross)
|
VG1
|
0
|
0%
|
6 359 149
|
81,7%
|
3 499 864
|
|
1 year at
most
|
VG2
|
0
|
0%
|
6 359 149
|
81,7%
|
3 499 864
|
|
More than 1
year and 5 years at most
|
VG3
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Borrowing & debts to more than 1 year at the origin (gross)
|
VH1
|
7 504 652
|
0%
|
0
|
0%
|
0
|
|
1 year at
most
|
VH2
|
7 504 652
|
0%
|
0
|
0%
|
0
|
|
More than 1
year and 5 years at most
|
VH3
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Loans and various financial liabilities (gross)
|
8A1
|
2 640
|
0%
|
2 640
|
0%
|
2 640
|
|
1 year at
most
|
8A2
|
0
|
0%
|
2 640
|
0%
|
2 640
|
|
More than 1
year and 5 years at most
|
8A3
|
2 640
|
0%
|
0
|
0%
|
0
|
|
 
|
Suppliers and associated accounts (gross)
|
8B1
|
5 281 007
|
-13,3%
|
6 090 787
|
4,8%
|
5 812 355
|
|
1 year at
most
|
8B2
|
5 281 007
|
-13,3%
|
6 090 787
|
4,8%
|
5 812 355
|
|
More than 1
year and 5 years at most
|
8B3
|
5 281 007
|
-13,3%
|
6 090 787
|
4,8%
|
5 812 355
|
|
 
|
Personnel and associated accounts (gross)
|
8C1
|
375 402
|
11,6%
|
336 362
|
25,9%
|
267 144
|
|
1 year at
most
|
8C2
|
375 402
|
11,6%
|
336 362
|
25,9%
|
267 144
|
|
More than 1
year and 5 years at most
|
8C3
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Social Security and other social organizations (gross)
|
8D1
|
255 997
|
2,0%
|
250 881
|
53,0%
|
164 003
|
|
1 year at
most
|
8D2
|
255 997
|
2,0%
|
250 881
|
53,0%
|
164 003
|
|
More than 1
year and 5 years at most
|
8D3
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Taxes on profits (gross)
|
8E1
|
702 510
|
21,8%
|
576 841
|
39,9%
|
412 275
|
|
1 year at
most
|
8E2
|
702 510
|
21,8%
|
576 841
|
39,9%
|
412 275
|
|
More than 1
year and 5 years at most
|
8E3
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
VAT (gross)
|
VW1
|
64 158
|
-55,0%
|
142 476
|
-3,5%
|
147 716
|
|
1 year at
most
|
VW2
|
64 158
|
-55,0%
|
142 476
|
-3,5%
|
147 716
|
|
More than 1
year and 5 years at most
|
VW3
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Backed Obligations (gross)
|
VX1
|
0
|
0%
|
0
|
0%
|
0
|
|
1 year at
most
|
VX2
|
0
|
0%
|
0
|
0%
|
0
|
|
More than 1
year and 5 years at most
|
VX3
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Other taxes and assimilated (gross)
|
VQ1
|
170 272
|
30,0%
|
130 983
|
-35,3%
|
202 596
|
|
1 year at
most
|
VQ2
|
170 272
|
30,0%
|
130 983
|
-35,3%
|
202 596
|
|
More than 1
year and 5 years at most
|
VQ3
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Assets and liabilities associated accounts (gross)
|
8J1
|
0
|
0%
|
0
|
0%
|
0
|
|
1 year at
most
|
8J2
|
0
|
0%
|
0
|
0%
|
0
|
|
More than 1
year and 5 years at most
|
8J3
|
0
|
0%
|
0
|
0%
|
0
|
|
More than 5
years
|
8J4
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Groups and associates (gross)
|
VI1
|
817 059
|
2805,6%
|
28 120
|
-94,0%
|
470 339
|
|
1 year at
most
|
VI2
|
817 059
|
2805,6%
|
28 120
|
-94,0%
|
470 339
|
|
More than 1
year and 5 years at most
|
VI3
|
0
|
0%
|
0
|
0%
|
0
|
|
More 5 years
|
VI4
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Other liabilities (gross)
|
8K1
|
17 444
|
-47,3%
|
33 079
|
313,3%
|
8 004
|
|
1 year at
most
|
8K2
|
17 444
|
-47,3%
|
33 079
|
313,3%
|
8 004
|
|
More than 1
year and 5 years at most
|
8K3
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Debt representative of borrowed securities (gross)
|
SZ1
|
0
|
0%
|
0
|
0%
|
0
|
|
1 year at
most
|
SZ2
|
0
|
0%
|
0
|
0%
|
0
|
|
More than 1
year and 5 years at most
|
SZ3
|
0
|
0%
|
0
|
0%
|
0
|
|
 
|
Products in advance (gross)
|
8L1
|
170
|
0%
|
0
|
0%
|
0
|
|
1 year at
most
|
8L2
|
170
|
0%
|
0
|
0%
|
0
|
|
More than 1
year and 5 years at most
|
8L3
|
0
|
0%
|
0
|
0%
|
0
|
References
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Loans made during the period
|
VJ
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Debt repaid during the period
|
VK
|
0
|
0%
|
0
|
0%
|
0
|
Table allocation results and other information
Dividends distributed
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Dividends
|
ZE
|
0
|
0%
|
0
|
0%
|
0
|
Commitments
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Commitments leasing furniture
|
YQ
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Commitments Real Estate Leasing
|
YR
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Effects brought to the discount and unmatured
|
YS
|
0
|
0%
|
0
|
0%
|
0
|
Other charges Externes
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Subcontracting
|
YT
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Rentals, rental charges and condominiums
|
XQ
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Staff outside the company
|
YU
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Remuneration intermediaries and fees (excluding fees)
|
SS
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Fees, commissions and brokerage
|
YV
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Other accounts
|
ST
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Total Other purchases and external
|
ZJ
|
0
|
0%
|
0
|
0%
|
0
|
Taxes and Fees
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Business tax
|
YW
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Other taxes and payments assimilated
|
9Z
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Total taxes and fees
|
YX
|
0
|
0%
|
0
|
0%
|
0
|
VAT
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Amount VAT collected
|
YY
|
0
|
0%
|
0
|
0%
|
0
|
|
|
Total VAT on goods and services
|
YZ
|
0
|
0%
|
0
|
0%
|
0
|
Average number of employees
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Average number of employees
|
YP
|
0
|
0%
|
0
|
0%
|
0
|
Groups and Shareholders
|
|
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
|
|
Groups and Shareholders
|
ZR
|
0
|
-
|
0
|
-
|
-
|
|
|
|
|
Ratios
Structure and liquidity | Management or rotation | Profitability
of the business | Return on capital
Structure and Liquidity
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
Sector
Median 2011
|
|
|
Fixed Asset Financing
|

|
8,83
|
61,1%
|
5,48
|
-0,5%
|
5,51
|
3,74
|
136,1%
|
|
Global Debt
|

|
79 days
|
2,6%
|
77 days
|
26,2%
|
61 days
|
81,50 days
|
-3,1%
|
|
Working Capital Fund overall net
|

|
30 days
|
57,9%
|
19 days
|
0%
|
19 days
|
33 days
|
-9,1%
|
|
Financial independence
|

|
68,24%
|
24,3%
|
54,91%
|
-37,4%
|
87,74%
|
305,72%
|
-77,7%
|
|
 More
ratios
|
|
Solvability
|

|
25,04%
|
26,6%
|
19,78%
|
-8,2%
|
21,55%
|
26,66%
|
-6,1%
|
|
Capacity debt futures
|

|
68,24%
|
24,3%
|
54,91%
|
-37,4%
|
87,74%
|
975,69%
|
-93,0%
|
|
Coverage of current assets by net working capital overall
|

|
28,80%
|
24,6%
|
23,12%
|
-22,3%
|
29,74%
|
29,57%
|
-2,6%
|
|
General Liquidity
|

|
0,44
|
-34,3%
|
0,67
|
21,8%
|
0,55
|
0,79
|
-44,3%
|
|
Restricted Liquidity
|

|
0,49
|
-32,9%
|
0,73
|
15,9%
|
0,63
|
0,99
|
-50,5%
|
Management or rotation
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
Sector
Median 2011
|
|
|
Need background in operating working capital
|

|
65 days
|
91,2%
|
34 days
|
100%
|
17 days
|
19 days
|
242,1%
|
|
Treasury
|

|
-35 days
|
-12,9%
|
-31 days
|
-106,7%
|
-15 days
|
11,50 days
|
-404,3%
|
|
Inventory turnover of goods
|

|
82 days
|
60,8%
|
51 days
|
2,0%
|
50 days
|
31 days
|
164,5%
|
|
Average length of credit granted to customers
|

|
27 days
|
-6,9%
|
29 days
|
163,6%
|
11 days
|
41 days
|
-34,1%
|
|
Average length of credit obtained suppliers
|

|
30 days
|
-16,7%
|
36 days
|
5,9%
|
34 days
|
53 days
|
-43,4%
|
|
 More
ratios
|
|
Inventory turnover of raw materials in industrial enterprises
|

|
0 days
|
0%
|
0 days
|
0%
|
0 days
|
0 days
|
0%
|
|
Inventory turnover of intermediate and finished products in the
industrial enterprise
|

|
days
|
-
|
days
|
-
|
days
|
5972 days
|
-
|
|
Rotation tangible assets
|

|
11944,33%
|
7,6%
|
11099,07%
|
-1,8%
|
11300,47%
|
5972,22%
|
100,0%
|
Profitability of the business
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
Sector
Median 2011
|
|
|
Margin trading
|

|
16,59%
|
-1,5%
|
16,84%
|
10,7%
|
15,21
|
22,25%
|
-25,4%
|
|
Profitability of the business
|

|
4,70
|
85,8%
|
2,53
|
-11,8%
|
2,87
|
3,94%
|
19,3%
|
|
Net profit
|

|
1,92%
|
9,7%
|
1,75%
|
41,1%
|
1,24%
|
1,91%
|
0,5%
|
|
 More
ratios
|
|
Growth rate of turnover (excluding VAT)
|

|
5,96%
|
5318,2%
|
0,11%
|
102,9%
|
-3,83%
|
8,15%
|
-26,9%
|
|
Rates integration
|

|
8,22%
|
32,6%
|
6,20%
|
-2,4%
|
6,35%
|
12,35%
|
-33,4%
|
|
Rate leasing furniture
|

|
0%
|
0%
|
0,01%
|
0%
|
0%
|
0%
|
0%
|
|
Work Factor
|

|
37,50%
|
-29,4%
|
53,09%
|
9,8%
|
48,37%
|
57,30%
|
-34,6%
|
|
Weight interests
|

|
0,38
|
35,7%
|
0,28%
|
-56,2%
|
0,64%
|
0,20%
|
90,0%
|
Return on capital
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
Sector
Median 2011
|
|
|
Cash flow from the overall profitability
|

|
4%
|
250,9%
|
1,14%
|
18,8%
|
0,96%
|
2,06%
|
94,2%
|
|
Rates of economic profitability
|

|
24%
|
41,2%
|
17%
|
-34,6%
|
26%
|
26%
|
-7,7%
|
|
Financial profitability
|

|
5121143%
|
46,7%
|
3491970%
|
13,7%
|
3070633%
|
693370%
|
638,6%
|
|
Return on investment
|

|
11,79%
|
-11,6%
|
13,33%
|
-23,1%
|
17,33%
|
15,62%
|
-24,5%
|
|
|
|
|
Soldes Intermédiaires de Gestion
|
|
30/09/2011
|
|
30/09/2010
|
|
30/09/2009
|
Sector
Median 2011
|
|
|
Turnover
|
68 824 799
|
6,0%
|
64 951 640
|
0,1%
|
64 879 743
|
5 518 966
€
|
1147,1%
|
|
Sales of goods
|
68 249 888
|
5,4%
|
64 737 880
|
0,4%
|
64 481 578
|
|
|
|
- Purchase of goods
|
62 108 525
|
15,6%
|
53 739 980
|
-1,5%
|
54 543 268
|
|
|
|
+/- Stock of goods variation
|
-5 276 467
|
-8528,1%
|
62 606
|
-12,4%
|
71 464
|
|
|
|
Trading margin
|
11 417 830
€
|
4,4%
|
10 935 294
€
|
10,8%
|
9 866 846
€
|
1 041 953
€
|
995,8%
|
|
|
16,59 % CA
|
-1,5%
|
16,84 % CA
|
10,7%
|
15,21 % CA
|
22,25 %
CA
|
-25,4%
|
|
Sale of goods produced
|
574 911
|
169,0%
|
213 760
|
-46,3%
|
398 165
|
|
|
|
+/- Stocked production
|
0
|
0%
|
0
|
0%
|
0
|
|
|
|
+ Self-constructed assets
|
0
|
0%
|
858
|
0%
|
0
|
|
|
|
Period production
|
574 911
€
|
167,9%
|
214 618
€
|
-46,1%
|
398 165
€
|
19 772
€
|
2807,7%
|
|
|
0,84 % CA
|
154,5%
|
0,33 % CA
|
-45,9%
|
0,61 % CA
|
0,31 %
CA
|
171,0%
|
|
Trading margin
|
11 417 830
|
4,4%
|
10 935 294
|
10,8%
|
9 866 846
|
1 041 953
|
995,8%
|
|
+ Period Production
|
574 911
|
167,9%
|
214 618
|
-46,1%
|
398 165
|
19 772
|
2807,7%
|
|
- Purchase of raw materials
|
91 442
|
-86,6%
|
681 333
|
14,8%
|
593 643
|
|
|
|
+/- Change in stocks of raw materiels
|
0
|
0%
|
0
|
0%
|
0
|
|
|
|
- Other external purchases and charges
|
6 247 155
|
-3,0%
|
6 441 236
|
16,0%
|
5 552 981
|
|
|
|
Added value
|
5 654 144
€
|
40,4%
|
4 027 343
€
|
-2,2%
|
4 118 387
€
|
670 234
€
|
743,6%
|
|
|
8,22 % CA
|
32,6%
|
6,20 % CA
|
-2,4%
|
6,35 % CA
|
12,35 %
CA
|
-33,4%
|
|
Added value
|
5 654 144
€
|
40,4%
|
4 027 343
€
|
-2,2%
|
4 118 387
€
|
670 234
€
|
743,6%
|
|
+ Operating grants
|
0
|
0%
|
0
|
0%
|
0
|
|
|
|
- Tax, duty and similar payments
|
298 706
|
21,7%
|
245 391
|
-7,3%
|
264 585
|
|
|
|
- Personal charges
|
2 120 024
|
-0,8%
|
2 138 065
|
7,3%
|
1 991 977
|
|
|
|
Gross operating surplus
|
3 235 414
€
|
96,8%
|
1 643 887
€
|
-11,7%
|
1 861 825
€
|
161 109
€
|
1908,2%
|
|
|
4,70 % CA
|
85,8%
|
2,53 % CA
|
-11,8%
|
2,87 % CA
|
3,94 %
CA
|
19,3%
|
|
Gross operating surplus
|
3 235 414
€
|
96,8%
|
1 643 887
€
|
-11,7%
|
1 861 825
€
|
161 109
€
|
1908,2%
|
|
+ Release of reserves and provisions
|
493 863
|
-19,4%
|
612 692
|
52,9%
|
400 626
|
|
|
|
+ Other operating income
|
4 741
|
-89,8%
|
46 668
|
540,2%
|
7 290
|
|
|
|
- Depreciation/Amortisation
|
220 147
|
-53,8%
|
476 752
|
-23,8%
|
625 311
|
|
|
|
- Other charges
|
2 358
|
-97,5%
|
93 691
|
416,4%
|
18 143
|
|
|
|
Operating result
|
3 511 513
€
|
102,6%
|
1 732 804
€
|
6,5%
|
1 626 287
€
|
115 773
€
|
2933,1%
|
|
|
5,10 % CA
|
91,0%
|
2,67 % CA
|
6,4%
|
2,51 % CA
|
2,97 %
CA
|
71,7%
|
|
Operating result
|
3 511 513
€
|
102,6%
|
1 732 804
€
|
6,5%
|
1 626 287
€
|
115 773
€
|
2933,1%
|
|
|
0
|
0%
|
0
|
0%
|
0
|
|
|
|
+ Financial income
|
120 646
|
501,1%
|
20 070
|
23,2%
|
16 294
|
|
|
|
- Financial charges
|
261 301
|
45,2%
|
179 904
|
-57,0%
|
418 188
|
|
|
|
Pre-tax result
|
3 370 858
€
|
114,3%
|
1 572 970
€
|
28,5%
|
1 224 393
€
|
107 466
€
|
3036,7%
|
|
|
4,90 % CA
|
102,5%
|
2,42 % CA
|
28,0%
|
1,89 % CA
|
2,83 %
CA
|
73,1%
|
|
Extraordinary income
|
214 981
|
-9,5%
|
237 657
|
272,1%
|
63 875
|
3 761
|
5616,1%
|
|
- Extraordinary charges
|
1 559 095
|
1521,7%
|
96 137
|
30,4%
|
73 729
|
|
|
|
Extraordinary result
|
-1 344 114
€
|
-1049,8%
|
141 520
€
|
1536,2%
|
-9 854
€
|
24 €
|
-5600575,0%
|
|
|
-1,95 % CA
|
-986,4%
|
0,22 % CA
|
1200%
|
0 % CA
|
0 % CA
|
0%
|
|
Pre-tax result
|
3 370 858
€
|
114,3%
|
1 572 970
€
|
28,5%
|
1 224 393
€
|
107 466
€
|
3036,7%
|
|
Extraordinary result
|
-1 344 114
€
|
-1049,8%
|
141 520
€
|
1536,2%
|
-9 854
€
|
24 €
|
-5600575,0%
|
|
- Employee profit sharing
|
0
|
0%
|
0
|
0%
|
0
|
|
|
|
- Tax on profits
|
702 510
|
21,8%
|
576 841
|
39,9%
|
412 275
|
|
|
|
Net result
|
1 324 234
€
|
16,4%
|
1 137 649
€
|
41,8%
|
802 264
€
|
79 665
€
|
1562,3%
|
|

|
1,92 % CA
|
9,7%
|
1,75 % CA
|
41,1%
|
1,24 % CA
|
1,91 %
CA
|
0,5%
|
|
|