MIRA INFORM REPORT

 

 

Report Date :

16.05.2012

 

IDENTIFICATION DETAILS

 

Correct Name :

SOCIETE MAG

 

 

Registered Office :

Centra 366, 1 Rue De La Corderie, 94596 Rungis Cedex

 

 

Country :

France

 

 

Financials (as on) :

30.09.2011

 

 

Date of Incorporation :

September 1982

 

 

Com. Reg. No.:

RCS Creteil 8 325 423 572

 

 

Legal Form :

Simplified Joint Stock Company

 

 

Line of Business :

Wholesale business of meat products 

 

 

No. of Employees :

20 to 49 employees

 

RATING & COMMENTS

 

MIRA’s Rating :

Ba

 

RATING

STATUS

PROPOSED CREDIT LINE

41-55

Ba

Overall operation is considered normal. Capable to meet normal commitments.

Satisfactory

 

Status :

Satisfactory

Payment Behaviour :

No Complaints 

Litigation :

Clear

 


NOTES:

Any query related to this report can be made on e-mail: infodept@mirainform.com while quoting report number, name and date.

 

ECGC Country Risk Classification List – March 31st, 2012

 

Country Name

Previous Rating

(31.12.2011)

Current Rating

(31.03.2012)

France

A2

A2

 

Risk Category

ECGC Classification

Insignificant

 

A1

Low

 

A2

Moderate

 

B1

High

 

B2

Very High

 

C1

Restricted

 

C2

Off-credit

 

D

 

 


REGISTERED NAME & COMPANY SUMMARY

 

Name

SOCIETE MAG

SIRET

 

company summary

 

 

 

 

 

 

 

 

 

Activity (APE)

Commerce de gros (commerce interentreprises) de produits surgelés (4639A)

(Wholesale (business to business) of meat products (4632B))

Legal form

Simplified joint stock company

 

 

Phone

01 56 70 03 46

RCS Registration

RCS Creteil 8 325 423 572

 

 

Fax

 

Share capital

2,100,000 Euros

 

 

Address

SOCIETE MAG
CENTRA 366
1 RUE DE LA CORDERIE
94596 RUNGIS CEDEX

Incorporated Date

09/1982

 

 

Nationality

France

Status

Economically active

 

 

Establishment details

 

Activity (APE)

Commerce de gros (commerce interentreprises) de produits à base de viande (4632B)

Business Pages FT®

 

 

Postal Address

SOCIETE MAG
CENTRA 366
1 RUE DE LA CORDERIE
94596 RUNGIS CEDEX

Trading Address

1 RUE DE LA CORDERIE
94550 CHEVILLY LARUE

 

Telephone

01 56 70 03 46

 

Fax

 

 

 

DIRECTORS/MANAGEMENT

 

Current Directors

1

 

Directors

 

Shareholder(s)

 

 

Name

LMG FINANCE

 

Name of representative

M GERARDIN JEAN-CLAUDE

 

Manager position

Président

Date of birth

07/07/1955

 

Place of birth

PARIS

 

 

 

Type of manager

Moral person

Name at birth of manager

 

 

 

 

 

 

Previous Directors

 

 

 

Vous pouvez consulter ici l'historique des dirigeants de l'entreprise.
Si vous souhaitez consulter l'historique d'un dirigeant, il vous suffit de cliquer sur le lien voir le détail pour y accéder.

 

 

Manager position

Title and name

Date of Birth/Place of Birth

 

Président

M JEAN CLAUDE ROLAND GASTON GERARDIN

 

 

Président

M JEAN CLAUDE ROLAND GASTON GERARDIN

 

 

Président du conseil d'administration

M JEAN CLAUDE GERARDIN

 

 

Directeur général

M FREDERIC MATHAS

 

 

Directeur général

M FRÉDÉRIC MATHAS

 

 

Directeur général

M FRÉDÉRIC MATHAS

 

 

 

 

 

NEGATIVE INFORMATION

 

Last published preferential right

This company is not under monitoring

judgements

Collective procedures

 

No judgment information for the company

   Social security, pension funds preferential rights | Tax office preferential rights

Preferential rights details and history

Status of collection

This company is not under monitoring

Group data

Ultimate parent company

LMG FINANCE

Direct parent

LMG FINANCE - 99.99 %

Group – Number of companies

3

Linkages – Number of companies

-

Number of countries

-

 

Go directly to the current company

Display only where participation % > 33 %

Display all participations

This company is a part of several groups, choose the group you wish to see the structure

Display the group

LMG FINANCE

 

 

SHARE & SHARE CAPITAL INFORMATION

 

Na

 

PAYMENT INFORMATION

 

Na

 

 

GROUP STRUCTURE & AFFILIATED COMPANIES

 

 

Ultimate Holding Company

 

 

 

Company Name

 

Company number

 

 

 

 

LMG FINANCE

 

438983645

 

 

 

Ultimate Parent

1 ultimate parent company for this company
>  LMG FINANCE  - Activités des sociétés holding (6420Z)  in CHEVILLY LARUE  (94550)

 

 

Raison sociale

 

SIREN

Parts

Score

Limite

Derniers
comptes
publiés

LMG FINANCE

 

438983645

-

100

67 500 €

30/09/2010

HUBCO

 

339273492

100%

100

720 000 €

30/09/2010

SOCIETE MAG

 

325423572

99.99%

100

1 470 000 €

30/09/2011

 


Linkages

Ultimate parent company

LMG FINANCE

Direct parent

LMG FINANCE - 99.99 %

Group – Number of companies

3

Linkages – Number of companies

-

Number of countries

-

 

 

FINANCIAL INFORMATION

 

Trading to Date

09/30/2011

09/30/2010

09/30/2009

 

 

Turnover

68,824,799 €

64,951,640 €

64,879,743 €

 

Gross Operating Surplus

4,70 % Turnover

2,53 % Turnover

2,87 % Turnover

 

Net worth

5,121,143 €

3,491,970 €

3,070,633 €

 

Employees

20 to 49 employees

-

-

 

accounts

Active Account |  Passive Account |  Account Results

 

Synthesized Accounts

Display parameter

Currency

Euro

Kilo Euro

 

Comparison mode

Average

Median

 

 

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%


 

 

Display parameter

Currency

Euro

Kilo Euro

 

 

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

 

 

Display parameter

Currency

Euro

Kilo Euro


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

 

 

Display parameter

Currency

Euro

Kilo Euro


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

 

 

 

Display parameter

Currency

Euro

Kilo Euro


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

-

-

 

 

 

Display parameter

Comparison mode

Average

Median


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%

 

 

Display parameter

Currency

Euro

Kilo Euro

Comparison mode

Average

Median


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% 

+/- Result of joint-venture transferred from/to other partners

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% 

 

 

FOREIGN EXCHANGE RATES

 

Na

 

 

ADDITIONAL INFORMATION

 

Trends

 

 

 

Profitability

 

Liquidity

 

Net worth

 

 

Company details

 

 

 

Activity (APE)

Commerce de gros (commerce interentreprises) de produits surgelés (4639A)

 

RCS Registration

RCS Creteil 8 325 423 572

Share capital

2,100,000 Euros

 

Registration Court

Creteil (94)

Legal form

Simplified joint stock company

 

Court Registry Number

19 8 6B238

EU VAT Number

FR66325423572

 

Incorporation Date

09/1982

Formation Date

10/1982

 

Deregistration Date

 

Last account Date

30/09/2011

 

Nationality

France

Type

Head office

Status

Economically active

 

 

Formation Date

09/2001

Reason for formation

Other

 

 

Closure Date

 

Reason for closure

 

 

 

Reactivation Date

 

Production Role

 

 

 

Activity Nature

-

Activity Location

Other

 

 

Location surface

 

Seasonality

 

 

 

 

 

 

Department

Val-de-Marne (94)

Region

Ile-de-France

 

District

3

Area

42

 

City

CHEVILLY LARUE

Size of urban area

Paris conglomeration

 

 

 

Other establishments

 

 

 

 

Branches

2 branch entities in this company

 

 

 

Head office

 
> SOCIETE MAG <<<  - Commerce de gros (commerce interentreprises) de produits surgelés (4639A)  in CHEVILLY LARUE  (94550)
 

 

 

Secondary establishments

>  SOCIETE MAG  - Commerce de gros (commerce interentreprises) de produits surgelés (4639A)  in MARSEILLE 6  (13006)
>  SOCIETE MAG  - Commerce de gros (commerce interentreprises) de produits surgelés (4639A)  in MARSEILLE 1  (13001)

 

 

 

 

Regionality

Legal unit with multiple establishments in many areas having at least 50% of workforce in same area

 

 

Mono-activity status

Legal unit with multiple establishments having main activities in many divisions, which one activity grouping from 50 to 80% of workforce

 

 

Workforces

 

 

 

 

Workforce at address

10 to 19 employees

Company workforce

20 to 49 employees

 

event history

 

 

Status history

 

 

 

Date

Description

No Status History

 

 

 

Recent publications in Gazettes

 

 

 

Publication date

Gazette Name

Description

 

26/04/2012

Bodacc C

Comptes annuels et rapports

 

 

94 - VAL-DE-MARNE

GREFFE DU TRIBUNAL DE COMMERCE DE CRÉTEIL

13226 - 325423572 RCS. MAG. Forme : Société par actions simplifiée. Adresse : 1 rue de la Corderie Centra 366 94150 Rungis. Commentaires : Comptes annuels et rapports de l'exercice clos le : 30/09/2011.

01/03/2012

Bodacc B

Modification et mutation diverse

 

 

94 - VAL-DE-MARNE

GREFFE DU TRIBUNAL DE COMMERCE DE CRÉTEIL

1564 - 325 423 572 RCS Créteil. MAG. Forme : Société par actions simplifiée. Capital : 2100000 EUR. Activité : .
Commentaires : Modification du capital.

21/02/2012

JAL

Modification of the share capital

 

 

Affiches parisiennes (Les)


Date de décision : 28/01/2010
La société : 325423572 - SOCIETE MAG, 1 RUE DE LA CORDERIE, CENTRA 366, CENTRA 366, 94550 CHEVILLY LARUE a subi une augmentation de son capital social désormais de 2 100 000 €
Date d'effet : 28/01/2010

15/12/2011

Bodacc B

Modification et mutation diverse

 

 

94 - VAL-DE-MARNE

GREFFE DU TRIBUNAL DE COMMERCE DE CRÉTEIL

2226 - 325 423 572 RCS Créteil. MAG. Forme : Société par actions simplifiée. Administration : Commissaire aux comptes suppléant : LECUYER François en fonction le 11 Avril 2007 Commissaire aux comptes titulaire : GHISLAIN HERY SARL en fonction le 11 Avril 2007 Commissaire aux comptes suppléant : SARDET Pierre en fonction le 08 Mars 2011 Commissaire aux comptes titulaire : MAZARS en fonction le 08 Mars 2011 Président : LMG FINANCE représenté par GERARDIN Jean-Claude en fonction le 27 Octobre 2011. Activité : .
Commentaires : Modification de représentant.

03/12/2011

JAL

Resignation / Revocation of the social representative

 

 

Affiches parisiennes (Les)


Date de décision : 29/09/2011
La société 325423572 - SOCIETE MAG, 1 RUE DE LA CORDERIE, CENTRA 366, CENTRA 366, 94550 CHEVILLY LARUE
Fait l'objet du départ de Monsieur Frédéric MATHAS
Date d'effet : 29/09/2011

06/11/2011

Bodacc B

Modification et mutation diverse

 

 

94 - VAL-DE-MARNE

GREFFE DU TRIBUNAL DE COMMERCE DE CRÉTEIL

2128 - 325 423 572 RCS Créteil. MAG. Forme : Société par actions simplifiée. Administration : Directeur général : MATHAS Frédéric modification le 22 Décembre 2004 Commissaire aux comptes suppléant : LECUYER François en fonction le 11 Avril 2007 Commissaire aux comptes titulaire : GHISLAIN HERY SARL en fonction le 11 Avril 2007 Commissaire aux comptes suppléant : SARDET Pierre en fonction le 08 Mars 2011 Commissaire aux comptes titulaire : MAZARS en fonction le 08 Mars 2011 Président : LMG FINANCE représenté par GERARDIN Jean-Claude en fonction le 27 Octobre 2011. Activité : .
Commentaires : Modification de représentant.

20/10/2011

JAL

Appointment of the social representative

 

 

Affiches parisiennes (Les)


Société faisant l'objet d'une nomination : 325423572 - SOCIETE MAG, 1 RUE DE LA CORDERIE, CENTRA 366, CENTRA 366, 94550 CHEVILLY LARUE
Nominé :
En la fonction de : Président
Date d'effet : 14/09/2011

20/10/2011

JAL

Resignation / Revocation of the social representative

 

 

Affiches parisiennes (Les)


Date de décision : 14/09/2011
La société 325423572 - SOCIETE MAG, 1 RUE DE LA CORDERIE, CENTRA 366, CENTRA 366, 94550 CHEVILLY LARUE
Fait l'objet du départ de Monsieur Jean-Claude GERARDIN
Date d'effet : 14/09/2011

17/03/2011

Bodacc B

Modification et mutation diverse

 

 

94 - VAL-DE-MARNE

GREFFE DU TRIBUNAL DE COMMERCE DE CRÉTEIL

1764 - 325 423 572 RCS Créteil. MAG. Forme : Société par actions simplifiée. Administration : Président : GERARDIN Jean Claude Roland Gaston modification le 22 Décembre 2004 Directeur général : MATHAS Frédéric modification le 22 Décembre 2004 Commissaire aux comptes suppléant : LECUYER François en fonction le 11 Avril 2007 Commissaire aux comptes titulaire : GHISLAIN HERY SARL en fonction le 11 Avril 2007 Commissaire aux comptes suppléant : SARDET Pierre en fonction le 08 Mars 2011 Commissaire aux comptes titulaire : MAZARS en fonction le 08 Mars 2011. Activité : .
Commentaires : Modification de représentant.

15/03/2011

Bodacc C

Comptes annuels et rapports

 

 

94 - VAL-DE-MARNE

GREFFE DU TRIBUNAL DE COMMERCE DE CRÉTEIL

13620 - 325423572 RCS. MAG. Forme : Société par actions simplifiée. Adresse : 1 rue de la Corderie Centra 366 94150 Rungis. Commentaires : Comptes annuels et rapports de l'exercice clos le : 30/09/2010.

08/03/2010

Bodacc C

Comptes annuels et rapports

 

 

94 - VAL-DE-MARNE

GREFFE DU TRIBUNAL DE COMMERCE DE CRETEIL

10826 - 325423572 RCS. MAG. Forme : Société par actions simplifiée. Adresse : 1 rue de la Corderie Centra 366 94150 Rungis. Commentaires : Comptes annuels et rapports de l'exercice clos le : 30/09/2009.

03/04/2009

Bodacc C

Comptes annuels et rapports

 

 

94 - VAL-DE-MARNE

GREFFE DU TRIBUNAL DE COMMERCE DE CRETEIL

11571 - 325423572 RCS. MAG. Forme : Société par actions simplifiée. Adresse : 1 rue de la Corderie Centra 366, 94150 Rungis. Commentaires : Comptes annuels et rapports de l'exercice clos le : 30/09/2008.

16/04/2008

Bodacc C

Comptes annuels et rapports

 

 

94 - VAL-DE-MARNE

GREFFE DU TRIBUNAL DE COMMERCE DE CRETEIL

9700 - 325423572 RCS. MAG. Forme : Société par actions simplifiée. Adresse : 1 rue de la Corderie Centra 366, 94150 Rungis. Commentaires : Comptes annuels et rapports de l'exercice clos le : 30/09/2007.

24/05/2007

Bodacc C

Avis de dépôt des comptes

 

 

8449 - RCS Créteil B 325 423 572. RC 86-B 23875. MAG. Forme: SOCIETE PAR ACTIONS SIMPLIFIEE. Adresse du siège social: Centra 366, 1, rue de la Corderie,94150 Rungis. Comptes annuels et rapports de l'exercice clos le: 30 septembre 2006.

10/05/2007

Bodacc B

Modifications et mutations diverses

 

 

2699 - RCS Créteil B 325 423 572. RC 86-B 23875. MAG. Forme : S.A.S. Commentaires : modification survenue sur l'administration. Administration : commissaire aux comptes titulaire partant : S.A.R.L. FRANCE AUDIT CONSULTANTS INTERNATIONAL. Commissaire aux comptes suppléant partant : LORTHIOIS (Eric). Nomination d'un commissaire aux comptes suppléant : LECUYER (François). Nomination d'un commissaire aux comptes titulaire : GHISLAIN HERY S.A.R.L.

30/04/2006

Bodacc C

Avis de dépôt des comptes

 

 

4727 - RCS Créteil B 325 423 572. RC 86-B 23875. MAG. Forme: SOCIETE PAR ACTIONS SIMPLIFIEE - SAS. Adresse du siège social: Centra 366, 1, rue de la Corderie,94150 Rungis. Comptes annuels et rapports de l'exercice clos le: 30 septembre 2005.

09/01/2005

Bodacc B

Modifications et mutations diverses

 

 

2783 - RCS Créteil B 325 423 572. RC 86-B 23875. MAG. Forme : S.A.S. Commentaires : modification survenue sur la forme juridique et l'administration. Administration : modification du président : GERARDIN (Jean, Claude, Roland, Gaston). Administrateur partant : LACHAUD (Frédéric, Laurent). Modification d'un directeur général : MATHAS (Frédéric).

11/12/2003

Bodacc B

Modifications et mutations diverses

 

 

RCS Créteil B 325423572 RC 86-B 23875 MAG. Forme : S.A. Capital : 2 000 000 d' euros. Commentaires : modification survenue sur le capital (augmentation).

25/12/2002

Bodacc B

Modifications et mutations diverses

 

 

RCS Créteil B 325423572 RC 86-B 23875 MAG. Forme : S.A. Capital : 1 534 950 euros. Commentaires : modification survenue sur le capital (augmentation) et l' administration. Administration : commissaire aux comptes suppléant partant : CARRIER (Françoise). Nomination d'un commissaire aux comptes suppléant : LORTHIOIS (Eric).

24/12/2002

Bodacc B

Modifications et mutations diverses

 

 

RCS Créteil B 325423572 RC 86-B 23875 MAG. Forme : S.A. Commentaires : modification survenue sur l' administration. Administration : modification du président du conseil d' administration et directeur général : GERARDIN (Jean, Claude, Roland, Gaston). Modification d'un directeur général délégué et administrateur : MATHAS ( Frédéric).

22/11/2001

Bodacc B

Modifications et mutations diverses

 

 

RCS Créteil B 325423572 RC 86-B 23875 MAG. Forme : S.A. Capital : 767 475 euros. Adresse du siège social : Centra 366, 1 rue de la Corderie, 94150 Rungis. Commentaires : modification survenue sur la forme juridique, le capital ( augmentation), l'adresse du siège social, l'adresse de l'établissement principal et l'administration. Administration : modification du président du conseil d'administration : GERARDIN (Jean, Claude, Roland, Gaston). Nomination d'administrateurs : LACHAUD ( Frédéric, Laurent) MATHAS (Frédéric) Etablissement principal: Adresse : Centra 366, 1 rue de la Corderie, 94150 Rungis.

09/05/2001

Bodacc B

Modifications et mutations diverses

 

 

RCS Créteil B 325423572 RC 86-B 23875 MAG. Forme : S.A.R.L. Capital : 260 000 euros. Commentaires : modification survenue sur le capital (augmentation) et l'administration. Administration : nomination du commissaire aux comptes titulaire : S.A.R.L. FRANCE AUDIT CONSULTANTS INTERNATIONAL. Nomination du commissaire aux comptes suppléant : CARRIER (Françoise).

11/08/1999

Bodacc B

Modifications et mutations diverses

 

 

RCS Créteil B 325423572 RC 86-B 23875 MAG. Forme : S.A.R.L. Commentaires : modification survenue sur l' administration. Administration : commissaire aux comptes titulaire partant : MARIANI (François). Commissaire aux comptes suppléant partant : ERBRECH (Gérald).

13/11/1998

Bodacc B

Modifications et mutations diverses

 

 

RCS *. RCS Créteil B 325 423 572 RC RC 86-B 23875 MAG. Forme : S.A.R.L. Adresse du siège social : 31, rue du Limousin, Min-de-Paris-Rungis 94150 Rungis Etablissement principal: Adresse : 31, rue du Limousin, Min-de-Paris-Rungis 94150 Rungis. Commentaires : modification survenue sur l'adresse du siège social et de l'établissement principal.

 

Company events history

 

 

 

Date

Description

01/05/2012

Consideration of a balance sheet that has led to a reassessment of this company's creditworthiness

26/04/2012

Bodacc C : Deposit accounts notice

01/03/2012

Bodacc B: Various editing or changing

22/02/2012

Updated articles of association

22/02/2012

Capital increase

30/01/2012

Other modification of Establishment

30/01/2012

Update of Company Workforce

15/12/2011

Bodacc B: Various editing or changing

07/12/2011

Changes to the Board of Directors

07/12/2011

Minutes of general meeting of shareholders

03/12/2011

Legal Gazette: Resignation / Revocation of the social representative

06/11/2011

Bodacc B: Various editing or changing

27/10/2011

Appointment/resignation of company officers

27/10/2011

Minutes of general meeting of shareholders

27/10/2011

New chairman (CEO, CoB)

20/10/2011

Legal Gazette: Resignation / Revocation of the social representative

30/09/2011

New accounts available

14/09/2011

Legal Gazette: Appointment of the social representative

17/03/2011

Bodacc B: Various editing or changing

15/03/2011

Bodacc C : Deposit accounts notice

03/12/2010

New ultimate parent

03/12/2010

New parent detected

30/09/2010

New accounts available

08/03/2010

Bodacc C : Deposit accounts notice

09/02/2010

Capital increase

28/01/2010

Legal Gazette: Modification of the share capital

30/09/2009

New accounts available

03/04/2009

Bodacc C : Deposit accounts notice

30/09/2008

New accounts available

16/04/2008

Bodacc C : Deposit accounts notice

30/09/2007

New accounts available

11/04/2007

New auditor

11/04/2007

Changement de Commissaire aux Comptes

11/04/2007

PV d'Assemblée

11/04/2007

Private document

11/04/2007

Appointment/resignation of company officers

11/04/2007

Minutes of general meeting of shareholders

28/03/2007

Modification to Establishment Address or Identifier

30/09/2006

New accounts available

30/09/2005

New accounts available

22/12/2004

Changement de Forme Juridique avec changement de catégorie

22/12/2004

New legal form – no new category

22/12/2004

Changement de Président (PDG, PCA)

22/12/2004

Modification du Conseil d'Administration

22/12/2004

Changement de date de clôture

22/12/2004

Private document

22/12/2004

Appointment/resignation of company officers

22/12/2004

PV d'Assemblée

22/12/2004

Minutes of general meeting of shareholders

22/12/2004

Statuts mis à jour

22/12/2004

Updated articles of association

30/06/2004

New accounts available

01/12/2003

Augmentation de Capital

01/12/2003

Acte sous seing privé

01/12/2003

PV d'Assemblée

01/12/2003

Statuts mis à jour

30/06/2003

New accounts available

12/12/2002

Augmentation de Capital

12/12/2002

Nomination/démission des organes de gestion

12/12/2002

Changement de Commissaire aux Comptes

12/12/2002

Statuts mis à jour

12/12/2002

PV d'Assemblée

12/12/2002

Acte sous seing privé

11/12/2002

Acte modificatif

11/12/2002

PV du Conseil d'Administration

11/12/2002

Acte sous seing privé

11/12/2002

Modification du Conseil d'Administration

29/10/2001

Changement de Forme Juridique avec changement de catégorie

29/10/2001

Changement de Forme Juridique sans changement de catégorie

29/10/2001

Augmentation de Capital

29/10/2001

Conversion du Capital Social en Euros

29/10/2001

Transfert du Siège dans le ressort du Tribunal de Commerce

29/10/2001

Cession de parts

29/10/2001

Changement de Président (PDG, PCA)

29/10/2001

Acte sous seing privé

29/10/2001

Nomination/démission des organes de gestion

29/10/2001

PV d'Assemblée

29/10/2001

PV du Conseil d'Administration

29/10/2001

Statuts mis à jour

29/10/2001

Rapport des Commissaires ou du Gérant

20/04/2001

Acte sous seing privé

20/04/2001

Statuts mis à jour

20/04/2001

Augmentation de Capital

20/04/2001

PV d'Assemblée

20/04/2001

Changement de Commissaire aux Comptes

20/04/2001

Nomination/démission des organes de gestion

20/04/2001

Conversion du Capital Social en Euros

13/09/1999

Reconstitution de l'Actif Net

13/09/1999

Acte sous seing privé

13/09/1999

PV d'Assemblée

13/09/1999

Acte modificatif

27/07/1999

Changement de Commissaire aux Comptes

27/07/1999

PV d'Assemblée

27/07/1999

Nomination/démission des organes de gestion

27/07/1999

Acte sous seing privé

26/10/1998

Changement de date de clôture

26/10/1998

Transfert du Siège dans le ressort du Tribunal de Commerce

26/10/1998

Statuts mis à jour

26/10/1998

PV d'Assemblée

26/10/1998

Acte sous seing privé

26/02/1998

Certificat de dépôt des fonds

26/02/1998

Acte sous seing privé

26/02/1998

Cession de parts

26/02/1998

Acte modificatif

26/02/1998

Statuts mis à jour

26/02/1998

PV d'Assemblée

02/10/1995

Acte modificatif

02/10/1995

Cession de parts

02/10/1995

Acte sous seing privé

07/10/1994

Continuation malgré perte supérieure à la moitié du capital

07/10/1994

Acte modificatif

07/10/1994

PV d'Assemblée

20/09/1994

Statuts mis à jour

20/09/1994

Changement de date de clôture

20/09/1994

PV d'Assemblée

20/09/1994

Acte modificatif

10/11/1993

Acte modificatif

10/11/1993

PV d'Assemblée

18/05/1993

PV d'Assemblée

18/05/1993

Déclaration de conformité

18/05/1993

Augmentation de Capital

18/05/1993

Statuts mis à jour

18/05/1993

Acte modificatif

 

 

 

Establishment events history

 

 

 

Date

Description

01/05/2012

Update Limit

07/05/2011

Update Rating

04/03/2011

Update Limit

30/11/2010

Update of phone numbers

17/02/2010

Update Limit

17/02/2010

Update Rating

30/12/2009

Update Rating

30/03/2009

Update Limit

07/04/2008

Update Limit

16/12/2007

Update Limit

10/12/2007

Update Limit

08/12/2007

Update Limit

20/05/2007

Update Limit

28/03/2007

Update of Establishment Address

28/03/2007

Modification of Head office Identification

 

 

 

 

NOTES & COMMENTS

 

Na

 

 


 

FOREIGN EXCHANGE RATES

 

Currency

Unit

Indian Rupees

US Dollar

1

Rs.53.84

UK Pound

1

Rs.86.72

Euro

1

Rs.69.17

 

INFORMATION DETAILS

 

Report Prepared by :

MNL

 

RATING EXPLANATIONS

 

RATING

STATUS

 

 

PROPOSED CREDIT LINE

>86

Aaa

Possesses an extremely sound financial base with the strongest capability for timely payment of interest and principal sums

 

Unlimited

71-85

Aa

Possesses adequate working capital. No caution needed for credit transaction. It has above average (strong) capability for payment of interest and principal sums

 

Large

56-70

A

Financial & operational base are regarded healthy. General unfavourable factors will not cause fatal effect. Satisfactory capability for payment of interest and principal sums

 

Fairly Large

41-55

Ba

Overall operation is considered normal. Capable to meet normal commitments.

 

Satisfactory

26-40

B

Capability to overcome financial difficulties seems comparatively below average.

 

Small

11-25

Ca

Adverse factors are apparent. Repayment of interest and principal sums in default or expected to be in default upon maturity

 

Limited with full security

<10

C

Absolute credit risk exists. Caution needed to be exercised

 

 

Credit not recommended

----

NB

New Business

----

 

This score serves as a reference to assess SC’s credit risk and to set the amount of credit to be extended. It is calculated from a composite of weighted scores obtained from each of the major sections of this report. The assessed factors and their relative weights (as indicated through %) are as follows:

 

Financial condition (40%)            Ownership background (20%)                 Payment record (10%)

Credit history (10%)                    Market trend (10%)                                Operational size (10%)

 

PRIVATE & CONFIDENTIAL : This information is provided to you at your request, you having employed MIPL for such purpose. You will use the information as aid only in determining the propriety of giving credit and generally as an aid to your business and for no other purpose. You will hold the information in strict confidence, and shall not reveal it or make it known to the subject persons, firms or corporations or to any other. MIPL does not warrant the correctness of the information as you hold it free of any liability whatsoever. You will be liable to and indemnify MIPL for any loss, damage or expense, occasioned by your breach or non observance of any one, or more of these conditions

This report is issued at your request without any risk and responsibility on the part of MIRA INFORM PRIVATE LIMITED (MIPL) or its officials.