|
Report No. : |
337627 |
|
Report Date : |
24.08.2015 |
IDENTIFICATION DETAILS
|
Name : |
QUIMDIS S.A.S |
|
|
|
|
Registered Office : |
71 Rue Anatole France, 92300 Levallois
Perret |
|
|
|
|
Country : |
France |
|
|
|
|
Financials (as on) : |
31.07.2014 |
|
|
|
|
Date of Incorporation : |
September 1988 |
|
|
|
|
Com. Reg. No.: |
347 990 442 |
|
|
|
|
Legal Form : |
Simplified joint stock company |
|
|
|
|
Line of Business : |
Subject is engaged in wholesale (business to business) of chemicals |
|
|
|
|
No. of Employee : |
20 to 49 |
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 31, 2015
|
Country Name |
Previous Rating (31.12.2014) |
Current Rating (31.03.2015) |
|
France |
A1 |
A1 |
|
Risk Category |
ECGC
Classification |
|
Insignificant |
A1 |
|
Low |
A2 |
|
Moderate |
B1 |
|
High |
B2 |
|
Very High |
C1 |
|
Restricted |
C2 |
|
Off-credit |
D |
FRANCE - ECONOMIC OVERVIEW
The French economy is diversified across all sectors. The government has partially or fully privatized many large companies, including Air France, France Telecom, Renault, and Thales. However, the government maintains a strong presence in some sectors, particularly power, public transport, and defense industries. With more than 84 million foreign tourists per year, France is the most visited country in the world and maintains the third largest income in the world from tourism. France's leaders remain committed to a capitalism in which they maintain social equity by means of laws, tax policies, and social spending that mitigate economic inequality. France's real GDP increased by 0.4% in 2014. The unemployment rate (including overseas territories) increased from 7.8% in 2008 to 10.4% in the fourth quarter of 2014. Youth unemployment in metropolitan France decreased from a high of 25.4% in the fourth quarter of 2012 to 24.3% in the fourth quarter of 2014. Lower-than-expected growth and high spending have strained France's public finances. The budget deficit rose sharply from 3.3% of GDP in 2008 to 7.5% of GDP in 2009 before improving to 4% of GDP in 2014, while France's public debt rose from 68% of GDP to more than 95% in 2014, and may hit 100% by 2016. Elected on a conventionally leftist platform, President Francois HOLLANDE surprised and angered many supporters with a January 2014 speech announcing a sharp change in his economic policy, recasting himself as a liberalizing reformer. The government's budget for 2014 shifted the balance of fiscal consolidation from taxes to a total of $24 billion in spending cuts. In December 2014, HOLLANDE announced additional reforms, including a plan to extend commercial business hours, liberalize professional services, and sell off $6.2-12.4 billion in state owned assets. France’s tax burden remains well above the EU average and income tax cuts over the past decade are being partly reversed, particularly for higher earners. The top rate of income tax is 41%. The government is allowing a 75% payroll tax on salaries over $1.24 million to lapse.
|
Source
: CIA |
QUIMDIS S.A.S
|
SIRET
|
347
990 442 00043 |
||
|
Name
|
QUIMDIS
S.A.S |
||
|
Acronym
|
-
|
||
|
Trade
name |
-
|
||
|
Status
|
Economically
active |
||
|
Postal
Address |
QUIMDIS
SA |
||
|
Share
Capital |
750,000
Euros |
||
|
Incorporiation
Date |
09/1988
|
||
|
Activity
(APE) |
Wholesale
(business to business) chemicals (4675Z) |
RCS
Registration |
RCS
Nanterre B 347 990 442 |
|
Formation
Date |
08/1988
|
EUR
VAT Number |
FR11347990442
|
|
Deregistration
Date |
-
|
Last
account Date |
31/07/2014
|
|
Court
Registry Number |
19
8 8B03482 |
Telephone
|
01
55 46 50 00 |
|
Registration
Court |
Nanterre
(92) |
Fax
|
-
|
|
Nationality
|
France
|
|
|
|
Legal
form |
Simplified
joint stock company |
||
|
Currency
|
Euros
|
||
|
Year
to date |
Turnover
|
Gross
operating surplus |
Shareholder's
equity |
Net
result |
Employees
|
|
31/07/2014
|
68,288,578
€ |
5.98%
Turnover |
14,045,395
€ |
1,747,575
€ |
20
to 49 employees |
|
31/07/2013
|
73,093,359
€ |
4.03%
Turnover |
12,475,521
€ |
1,017,328
€ |
-
|
|
31/07/2012
|
64,884,276
€ |
2.93%
Turnover |
11,273,249
€ |
977,754
€ |
-
|
|
Name |
Country |
Company
Number |
|
QUIMDIS
S. A. S |
347990442 |
|
|
Affiliation
links. |
||
|
Current
Directors |
3 |
|
No
social security and tax office preferential right to date |
|
Total
number of Invoices available |
97 |
|
Total
number of Invoices paid within or up to 30 days after the due date |
69 |
|
Total
number of Invoices paid more than 30 days after the dues date |
22 |
|
Total
number of Invoices currently outstanding where the due date has not yet been
reached |
6 |
|
Total
number of Invoices currently outstanding beyond the due date |
0 |
|
Type
of Establishment |
Head
Office |
Production
Role |
- |
|
APE/NAF
Code |
4675Z |
Activity |
Wholesale
(business to business) chemicals |
|
Formation
Date |
04/2006 |
Reason
for Formation |
Formation |
|
Closure
Date |
- |
Reason
for Closure |
- |
|
Reactivation
Date |
- |
Seasonality |
- |
|
Activity
Nature |
- |
Activity
Location |
- |
|
Trading
Address |
71
RUE ANATOLE FRANCE |
Department |
Hauts-de-Seine
(92) |
|
Location
Surface |
- |
District |
2 |
|
City |
LEVALLOIS
PERRET |
Status |
Economically
active |
|
Business
Pages FT® |
PRODUITS
CHIMIQUES (FABRICATION, GROS) |
Region |
Ile-de-France |
|
Area |
95 |
||
|
Size
of Urban Area |
Paris
conglomeration |
2
ultimate parent company/companies for this company
|
Company
Name |
Activity
(APE) |
APE/NAF
Code |
City |
Post
Code |
|
SOFIQUIM |
Autres
intermédiaires du commerce en produits divers |
4619B |
LEVALLOIS
PERRET |
92300 |
|
QUIMDIS
S.A.S |
Wholesale
(business to business) chemicals |
4675Z |
LEVALLOIS
PERRET |
92300 |
|
Regionality |
Legal
unit with multiple establishments in many areas having at least 80% of
workforce in same area |
|
Mono-activity
status |
Legal
unit having all establishments with the same main activity |
|
Branches |
2
branch entities in this company |
|
Company
Name |
Company
Type |
APE/NAF
Code |
Activity |
City |
Post
Code |
|
QUIMDIS
S.A.S |
Head
Office |
4675Z |
Wholesale
(business to business) chemicals |
LEVALLOIS
PERRET |
92300 |
|
QUIMDIS
S.A.S |
Branch |
4675Z |
Wholesale
(business to business) chemicals |
LEVALLOIS
PERRET |
92300 |
|
QUIMDIS
S.A.S |
Branch |
4675Z |
Wholesale
(business to business) chemicals |
MOUANS
SARTOUX |
06370 |
|
Workforce
at address |
20
to 49 employees |
Company
workforce |
20
to 49 employees |
The
comments are ordered according to the class of risk. Companies are compared with
regard to other companies of the same type. Thus a positive comment for one
category can be negative for another or can change depending on its value. This
is a purely statistical decision.
|
The
shareholder's equity is 14,045,395 € |
|
|
The
ratio total assets to total liabilities is 1.95 |
|
|
The
creditor days are 27.89 |
|
|
The
decrease in the gearing percentage over the last two accounting periods is 19
% |
|
|
The
net current assets are 26,107,251 € |
|
|
The
net turnover is 68,288,578 € |
|
|
The
pre-tax profit is 2,444,713 € |
|
|
The
total assets are 28,903,454 € |
|
|
Low
risk workforce size |
|
|
The
company has 3 directors |
|
|
Industry
code with low risk rating |
|
|
Department
code with low risk rating |
|
|
The
risk provisions are 0 € |
|
|
The
liabilities are 14,858,061 € |
|
|
The
sales to current assets ratio is 2.62 |
|
|
The
return on total assets employed is 8.46 |
|
|
The
stock to turnover ratio is 26.44 |
|
|
The
decrease of tangible fixed assets over the last two accounting periods is 10
% |
|
Activity
(APE) |
Wholesale
(business to business) chemicals
(4675Z) |
|
Industry
average credit rating |
44 |
|
Industry
average credit limit |
60,670 |
|
No
judgment information for the company |
Summary
of preferential rights
|
Company
monitored since |
21/01/2009 |
||
|
Status
of Monitoring |
No
social security and tax office preferential right to date |
||
|
Ultimate
parent company |
QUIMDIS
S. A. S |
||||||||
|
Direct
parent |
- |
||||||||
|
Group
– Number of companies |
2 |
||||||||
|
Linkages
– Number of companies |
|||||||||
|
Number
of countries |
|||||||||
|
Ultimate
parent company |
SOFIQUIM
|
||||||||
|
Direct
parent |
SOFIQUIM
- 50 % |
||||||||
|
Group
– Number of companies |
2 |
||||||||
|
Linkages
– Number of companies |
|||||||||
|
Number
of countries |
|||||||||
|
|
Name |
SIREN |
Parts |
Rating
|
Limit
|
Last
account published |
|
||
|
1
|
QUIMDIS
S.A.S |
347990442
|
-
|
77
|
440,000
€ |
31/07/2014
|
|
||
|
2
|
SOCIETE
JERAFRANCE |
337657969
|
100
% |
75
|
25,000
€ |
31/07/2014
|
|
||
|
No
Linkages information available for the company. |
|
Name |
M.
QUARRE JEAN-FRANCOIS |
|
|||||
|
Manager
position |
President |
Date
of birth |
03/07/1953 |
|
|||
|
Place
of birth |
PARIS
(75017) |
|
|||||
|
Type |
Individual |
Name
at birth |
|
||||
|
|||||||
|
Name |
M.
MANALT MICHEL |
||||||
|
Manager
position |
Managing
director |
Date
of birth |
21/02/1948 |
||||
|
Place
of birth |
PARIS
(75009) |
||||||
|
Type |
Individual |
Name
at birth |
|||||
|
Name |
Mme.
COURATIER CLAIRE |
|
|||
|
Manager
position |
Managing
director |
Date
of birth |
23/08/1946 |
||
|
Place
of birth |
VERSAILLES
(78) |
||||
|
Type |
Individual |
Name
at birth |
|||
|
Manager
position |
Title
and name |
Date
of Birth/Place of Birth |
|
|
President |
M.
QUARRE JEAN-FRANCOIS |
03/07/1953
- PARIS 17 |
|
|
Managing
director |
MME.
COURATIER CLAIRE |
- |
|
|
Managing
director |
M.
MANALT MICHEL |
- |
|
No
Status History |
|
Publication
date |
Gazette
Name |
Description
|
|
|
18/04/2015
|
Bodacc
C |
Comptes
annuels et rapports |
|
|
92
- HAUTS-DE-SEINE GREFFE
DU TRIBUNAL DE COMMERCE DE NANTERRE 6456
- 347990442 RCS. QUIMDIS S. A. S. Forme : Société par actions
simplifiée. Adresse : 71 rue Anatole France 92300 Levallois-Perret. Commentaires
: Comptes annuels et rapports de l'exercice clos le : 31/07/2014. |
|||
|
27/03/2014
|
Bodacc
C |
Comptes
annuels et rapports |
|
|
92
- HAUTS-DE-SEINE GREFFE
DU TRIBUNAL DE COMMERCE DE NANTERRE 10857
- 347990442 RCS. QUIMDIS S. A. S. Forme : Société par actions
simplifiée. Adresse : 71 rue Anatole France 92300 Levallois-Perret. Commentaires
: Comptes annuels et rapports de l'exercice clos le : 31/07/2013. |
|||
|
02/08/2013
|
Bodacc
C |
Comptes
annuels et rapports |
|
|
92
- HAUTS-DE-SEINE GREFFE
DU TRIBUNAL DE COMMERCE DE NANTERRE 12205
- 347990442 RCS. QUIMDIS S. A. S. Forme : Société par actions
simplifiée. Adresse : 71 rue Anatole France 92300 Levallois-Perret. Commentaires
: Comptes annuels et rapports de l'exercice clos le : 31/07/2012. |
|||
|
24/07/2013
|
Bodacc
B |
Modification
et mutation diverse |
|
|
92
- HAUTS-DE-SEINE GREFFE
DU TRIBUNAL DE COMMERCE DE NANTERRE 3849
- 347 990 442 RCS Nanterre. QUIMDIS S. A. S. Forme : Société
par actions simplifiée. Administration : Président : QUARRE
JEAN-FRANCOIS modification le 21 Mars 2005 Directeur général : MANALT MICHEL
modification le 16 Juillet 2013 Directeur général : COURATIER CLAIRE
modification le 21 Mars 2005 Commissaire aux comptes titulaire : ARFEUILLE ET
AUDITEURS en fonction le 16 Juillet 2013 Commissaire aux comptes suppléant :
LOUBIERE Thierry en fonction le 16 Juillet 2013. Activité : . |
|||
|
02/04/2012
|
Bodacc
C |
Comptes
annuels et rapports |
|
|
92
- HAUTS-DE-SEINE GREFFE
DU TRIBUNAL DE COMMERCE DE NANTERRE 14382
- 347990442 RCS. QUIMDIS S. A. S. Forme : Société par actions
simplifiée. Adresse : 71 rue Anatole France 92300 Levallois-Perret. Commentaires
: Comptes annuels et rapports de l'exercice clos le : 31/07/2011. |
|||
|
04/04/2011
|
Bodacc
C |
Comptes
annuels et rapports |
|
|
92
- HAUTS-DE-SEINE GREFFE
DU TRIBUNAL DE COMMERCE DE NANTERRE 14214
- 347990442 RCS. QUIMDIS S. A. S. Forme : Société par actions
simplifiée. Adresse : 71 rue Anatole France 92300 Levallois-Perret. Commentaires
: Comptes annuels et rapports de l'exercice clos le : 31/07/2010. |
|||
|
19/02/2010
|
Bodacc
C |
Comptes
annuels et rapports |
|
|
92
- HAUTS-DE-SEINE GREFFE
DU TRIBUNAL DE COMMERCE DE NANTERRE 7544
- 347990442 RCS. QUIMDIS S. A. S. Forme : Société par actions
simplifiée. Adresse : 71 rue Anatole France 92300 Levallois-Perret. Commentaires
: Comptes annuels et rapports de l'exercice clos le : 31/07/2009. |
|||
|
10/05/2009
|
Bodacc
A |
Vente
et cession : Acheteur |
|
|
92
- HAUTS-DE-SEINE GREFFE
DU TRIBUNAL DE COMMERCE DE NANTERRE 835
- 347 990 442 RCS Nanterre. QUIMDIS S. A. S. Forme : Société
par actions simplifiée. Capital : 750000 EUR. Adresse : 71 rue
Anatole France, 92300 Levallois-Perret. |
|||
|
16/04/2009
|
Bodacc
C |
Comptes
annuels et rapports |
|
|
92
- HAUTS-DE-SEINE GREFFE
DU TRIBUNAL DE COMMERCE DE NANTERRE 10863
- 347990442 RCS. QUIMDIS S. A. S. Forme : Société par actions
simplifiée. Adresse : 71 rue Anatole France 92300 Levallois-Perret. Commentaires
: Comptes annuels et rapports de l'exercice clos le : 31/07/2008. |
|||
|
27/05/2008
|
Bodacc
C |
Comptes
annuels et rapports |
|
|
92
- HAUTS-DE-SEINE GREFFE
DU TRIBUNAL DE COMMERCE DE NANTERRE 8649
- 347990442 RCS. QUIMDIS S. A. S. Forme : Société par actions
simplifiée. Adresse : 71 rue Anatole France 92300 Levallois-Perret. Commentaires
: Comptes annuels et rapports de l'exercice clos le : 31/07/2007. |
|||
|
27/04/2007
|
Bodacc
C |
Avis
de dépôt des comptes |
|
|
6957
- RCS Nanterre B 347 990 442. RC 88-B 3482. QUIMDIS S.A.S. Forme: SOCIETE PAR
ACTIONS SIMPLIFIEE. Adresse du siège social: 71, rue Anatole France,92300
Levallois-Perret. Comptes annuels et rapports de l'exercice clos le: 31
juillet 2006. |
|||
|
19/04/2007
|
Bodacc
B |
Modifications
et mutations diverses |
|
|
1522
- RCS Nanterre B 347 990 442. RC 88-B 3482. QUIMDIS S.A.S. Forme : S.A.S.
Commentaires : modification survenue sur l'administration. Administration :
commissaire aux comptes titulaire partant : REVISION ET COMMISSARIAT S.A.R.L.
Commissaire aux comptes suppléant partant : FIDUS-AUDIT. Nomination d'un
commissaire aux comptes titulaire : BARRE (Laurent). Nomination d'un
commissaire aux comptes suppléant : ROFFE (Jacques). |
|||
|
20/06/2006
|
Bodacc
C |
Avis
de dépôt des comptes |
|
|
2179
- RCS Nanterre B 347 990 442. RC 88-B 3482. QUIMDIS S.A.S. Forme: SOCIETE PAR
ACTIONS SIMPLIFIEE - SAS. Adresse du siège social: 71, rue Anatole
France,92300 Levallois-Perret. Comptes annuels et rapports de l'exercice clos
le: 31 juillet 2005. |
|||
|
11/06/2006
|
Bodacc
B |
Modifications
et mutations diverses |
|
|
2726
- RCS Nanterre B 347 990 442. RC 88-B 3482. QUIMDIS S.A.S. Forme : S.A.S.
Adresse du siège social : 71 rue Anatole-France,, 92300 Commentaires : modification
survenue sur l'adresse du siège social et l'adresse de l'établissement
principal. Etablissement principal - Adresse : 71 rue Anatole-France, 92300 |
|||
|
03/05/2005
|
Bodacc
B |
Modifications
et mutations diverses |
|
|
2925
- RCS Nanterre B 347 990 442. RC 88-B 3482. QUIMDIS S.A.S. Forme : S.A.S.
Commentaires : modification survenue sur la dénomination, la forme juridique
et l'administration. Administration : modification du président : QUARRE
(Jean-François). Modification de directeurs généraux : MANALT (Michel)
COURATIER (Claire). Membre du conseil de surveillance partant : COURATIER
(Hélène). |
|||
|
19/03/2005
|
Bodacc
C |
Avis
de dépôt des comptes |
|
|
2610
- RCS Nanterre B 347 990 442. RC 88-B 3482. QUIMDIS S.A.. Forme: S.A. Adresse
du siège social: 85, rue Edouard Vaillant,92300 Levallois-Perret. Comptes
annuels et rapports de l'exercice clos le: 31 juillet 2004. |
|||
|
24/03/2004
|
Bodacc
B |
Modifications
et mutations diverses |
|
|
RCS
Nanterre B 347990442 RC 88-B 3482 QUIMDIS S.A. Forme : S.A. Commentaires :
modification survenue sur l' administration. Administration : président du
conseil de surveillance partant : THEVENIN (Bernard). Nomination du président
et membre du conseil de surveillance : ECHEVERRIA CORREA (Maria) ( Nom
d'usage : OUARRE). |
|||
|
09/07/2003
|
Bodacc
B |
Modifications
et mutations diverses |
|
|
RCS
Nanterre B 347990442 RC 88-B 3482 QUIMDIS S.A. Forme : S.A. Commentaires : modification
survenue sur l' administration. Administration : vice- président et membre du
conseil de surveillance partant : CAMUSET (Robert). Nomination d'un
vice-président et membre du conseil de surveillance : CAMUSET (Sylviane) (
Nom d'usage : MANALT). |
|||
|
15/03/2001
|
Bodacc
B |
Modifications
et mutations diverses |
|
|
RCS
Nanterre B 347990442 RC 88-B 3482 QUIMDIS S.A. Forme : S.A. Capital : 750 000
euros. Commentaires : modification survenue sur le capital (augmentation) et l'administration.
Administration : commissaire aux comptes suppléant partant : BOMPART (Paul).
Nomination du commissaire aux comptes suppléant : FIDUS AUDIT. |
|||
|
08/02/1996
|
Bodacc
B |
Modifications
et mutations diverses |
|
|
RCS
*. RCS Nanterre B 347 990 442 RC RC 88-B 3482 QUIMDIS S.A. Forme : S.A.
Adresse du siège social : 85, rue Edouard-Vaillant 92300 Levallois-Perret
Etablissement principal: Adresse : 85, rue Edouard-Vaillant 92300 Levallois-
Perret. Commentaires : modification survenue sur l'adresse du siège social et
de l'établissement principal. |
|||
Annual
Accounts
|
31/07/2014 |
31/07/2013 |
31/07/2012 |
||||||
|
Account
period (month) |
12
|
12
|
12
|
|||||
|
Account
Type |
Normal
|
Normal
|
Normal
|
|||||
|
Date
of capture |
09/04/2015
|
10/03/2014
|
31/07/2013
|
|||||
|
Activity
Code |
4675Z
|
4675Z
|
4675Z
|
|||||
|
Employees
|
45
|
0
|
0
|
Active
account
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
Sector
Median 2014 |
||||
|
Capital
not called |
0
|
0% |
0
|
0% |
0
|
0
|
0%
|
||
|
Total
fixed assets |
2,796,203
|
1.7
% |
2,749,671
|
4.9
% |
2,621,014
|
86,172
|
3144.9
% |
||
|
Intangible
assets |
422,444
|
-2.1
% |
431,660
|
3.0
% |
419,275
|
1,230
|
34245.0
% |
||
|
Tangible
assets |
144,353
|
-10.2
% |
160,702
|
-2.9
% |
165,545
|
32,259
|
347.5
% |
||
|
Financial
assets |
2,229,405
|
3.3
% |
2,157,308
|
5.9
% |
2,036,194
|
4,700
|
47334.1
% |
||
|
Net
current assets |
26,107,251
|
-5.8
% |
27,716,705
|
-2.6
% |
28,454,129
|
1,027,582
|
2440.6
% |
||
|
Stocks
|
18,056,875
|
-4.5
% |
18,915,699
|
-9.3
% |
20,846,470
|
132,527
|
13525.1
% |
||
|
Advanced
payments |
361,331
|
-46.3
% |
672,624
|
-10.9
% |
754,522
|
0
|
0%
|
||
|
Receivables
|
6,582,915
|
-8.1
% |
7,161,064
|
7.6
% |
6,656,164
|
566,917
|
1061.2
% |
||
|
Securities
and cash |
1,106,129
|
14.4
% |
967,318
|
391.1
% |
196,973
|
117,688
|
839.9
% |
||
|
Prepaid
expenses |
-
|
- |
-
|
- |
-
|
253
|
-
|
||
|
Accounts
of regularization |
0
|
0% |
0
|
0% |
0
|
0
|
0%
|
||
|
Total
Assets |
28,903,454
|
-5.1
% |
30,466,376
|
-2.0
% |
31,075,143
|
1,317,212
|
2094.3
% |
||
Passive
Account
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
Sector
Median 2014 |
||||
|
Shareholders'
equity |
14,045,395
|
12.6
% |
12,475,521
|
10.7
% |
11,273,249
|
464,947
|
2920.9
% |
||
|
Share
capital |
750,000
|
0% |
750,000
|
0% |
750,000
|
75,000
|
900.0
% |
||
|
Other
capital resources |
0
|
0% |
0
|
0% |
0
|
0
|
0%
|
||
|
Risk
Provisions |
0
|
0% |
174,000
|
625.0
% |
24,000
|
0
|
0%
|
||
|
Liabilities
|
14,858,061
|
-16.6
% |
17,816,855
|
-9.9
% |
19,777,894
|
646,789
|
2197.2
% |
||
|
Financial
liabilities |
6,900,934
|
-7.1
% |
7,426,346
|
-24.5
% |
9,833,434
|
48,364
|
14168.7
% |
||
|
Advanced
payments received |
359,931
|
140.1
% |
149,897
|
-32.6
% |
222,245
|
0
|
0%
|
||
|
Trade
account payables |
5,218,297
|
-34.5
% |
7,967,705
|
0.3
% |
7,940,253
|
280,132
|
1762.8
% |
||
|
Tax
and social liabilities |
1,409,320
|
6.5
% |
1,322,946
|
11.8
% |
1,183,099
|
117,942
|
1094.9
% |
||
|
Other
debts and fixed assets liabilities |
969,577
|
2.1
% |
949,961
|
58.6
% |
598,863
|
10,911
|
8786.2
% |
||
|
Account
regularization |
0
|
0% |
0
|
0% |
0
|
0
|
0%
|
||
|
Total
liabilities |
28,903,457
|
-5.1
% |
30,466,376
|
-2.0
% |
31,075,144
|
1,317,212
|
2094.3
% |
||
Results
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
Sector
Median 2014 |
||||
|
Sales
of Goods |
69,127,869
|
-5.6
% |
73,244,840
|
12.4
% |
65,179,647
|
2,452,563
|
2718.6
% |
||
|
Net
turnover |
68,288,578
|
-6.6
% |
73,093,359
|
12.7
% |
64,884,276
|
2,416,995
|
2725.4
% |
||
|
of
which net export turnover |
0
|
0% |
36,441,554
|
27.6
% |
28,568,853
|
0
|
0%
|
||
|
Operating
charges |
66,018,418
|
-6.5
% |
70,617,139
|
12.0
% |
63,076,384
|
2,318,717
|
2747.2
% |
||
|
Operating
profit/loss |
3,109,451
|
18.3
% |
2,627,700
|
24.9
% |
2,103,263
|
50,190
|
6095.4
% |
||
|
Financial
income |
175,749
|
-3.5
% |
182,130
|
1.1
% |
180,132
|
1,632
|
10668.9
% |
||
|
Financial
charges |
353,439
|
-23.0
% |
459,032
|
-15.8
% |
545,483
|
4,705
|
7412.0
% |
||
|
Financial
profit/loss |
-177,690
|
35.8
% |
-276,901
|
24.2
% |
-365,351
|
-746
|
-23719.0
% |
||
|
Pretax
net operating income |
2,931,761
|
24.7
% |
2,350,799
|
35.3
% |
1,737,912
|
45,315
|
6369.7
% |
||
|
Extraordinary
income |
289,915
|
136.4
% |
122,637
|
-50.8
% |
249,061
|
1,891
|
15231.3
% |
||
|
Extraordinary
charges |
776,959
|
-27.7
% |
1,074,221
|
79.0
% |
600,000
|
575
|
135023.3
% |
||
|
Extraordinary
profit/loss |
-487,044
|
48.8
% |
-951,584
|
-171.2
% |
-350,939
|
0
|
0%
|
||
|
Net
result |
1,747,575
|
71.8
% |
1,017,328
|
4.0
% |
977,754
|
39,988
|
4270.2
% |
||
Normal
Account
|
31/07/2014 |
31/07/2013 |
31/07/2012 |
|||||
|
Months
|
12
|
12
|
12
|
Grand
Total - Active Accounts (I to VI)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Grand
Total (I to VI) |
Net
|
28,903,454
|
-5.1
% |
30,466,376
|
-2.0
% |
31,075,143
|
|
|
Gross
|
CO
|
30,845,751
|
-3.7
% |
32,018,489
|
-1.3
% |
32,455,075
|
|
|
Amortisation
|
1A
|
1,942,297
|
25.1
% |
1,552,113
|
12.5
% |
1,379,932
|
Non
declared distributed capital (I)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Non
declared distributed capital (I) |
AA3
|
0
|
0% |
0
|
0% |
0
|
|
|
Gross
|
AA
|
0
|
0% |
0
|
0% |
0
|
Active
fixed asset (II)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Total
Active fixed asset (II) |
Net
|
2,796,203
|
1.7
% |
2,749,671
|
4.9
% |
2,621,014
|
|
|
Gross
|
BJ
|
3,350,478
|
4.4
% |
3,209,066
|
3.3
% |
3,105,798
|
|
|
Amortisation
|
BK
|
554,275
|
20.7
% |
459,395
|
-5.2
% |
484,784
|
Intangible
fixed assets
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
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
|
19,944
|
-31.6
% |
29,160
|
73.8
% |
16,775
|
|
|
Gross
|
AF
|
95,340
|
8.4
% |
87,971
|
40.5
% |
62,632
|
|
|
Amortisation
|
AG
|
75,395
|
28.2
% |
58,810
|
28.2
% |
45,857
|
|
|
Goodwill
|
Net
|
402,500
|
0% |
402,500
|
0% |
402,500
|
|
|
Gross
|
AH
|
402,500
|
0% |
402,500
|
0% |
402,500
|
|
|
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 asset |
Net
|
422,444
|
-2.1
% |
431,660
|
3.0
% |
419,275
|
Tangilble
fixed assets
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
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
|
40,300
|
-32.8
% |
59,973
|
-7.9
% |
65,133
|
|
|
Gross
|
AR
|
154,107
|
0.0
% |
154,108
|
0.8
% |
152,855
|
|
|
Amortisation
|
AS
|
113,807
|
20.9
% |
94,135
|
7.3
% |
87,722
|
|
|
Other
tangible fixed assets |
Net
|
102,681
|
1.9
% |
100,729
|
0.3
% |
100,412
|
|
|
Gross
|
AT
|
467,754
|
14.9
% |
407,179
|
-9.8
% |
451,617
|
|
|
Amortisation
|
AU
|
365,073
|
19.1
% |
306,450
|
-12.7
% |
351,205
|
|
|
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
|
1,372
|
0% |
0
|
0% |
0
|
|
|
Gross
|
AX
|
1,372
|
0% |
0
|
0% |
0
|
|
|
Amortisation
|
AY
|
0
|
0% |
0
|
0% |
0
|
|
|
Sub
Total Tangible asset |
Net
|
144,353
|
-10.2
% |
160,702
|
-2.9
% |
165,545
|
Financial
assets
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
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
|
730,000
|
0% |
730,000
|
0% |
730,000
|
|
|
Gross
|
CU
|
730,000
|
0% |
730,000
|
0% |
730,000
|
|
|
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
|
0
|
0% |
0
|
0% |
0
|
|
|
Gross
|
BF
|
0
|
0% |
0
|
0% |
0
|
|
|
Amortisation
|
BG
|
0
|
0% |
0
|
0% |
0
|
|
|
Other
financial assets |
Net
|
1,499,405
|
5.1
% |
1,427,308
|
9.3
% |
1,306,194
|
|
|
Gross
|
BH
|
1,499,405
|
5.1
% |
1,427,308
|
9.3
% |
1,306,194
|
|
|
Amortisation
|
BI
|
0
|
0% |
0
|
0% |
0
|
|
|
Sub
Total Financial assets |
Net
|
2,229,405
|
3.3
% |
2,157,308
|
5.9
% |
2,036,194
|
Current
Assets (III)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Total
Assets |
Net
|
26,107,251
|
-5.8
% |
27,716,705
|
-2.6
% |
28,454,129
|
|
|
Gross
|
CJ
|
27,495,273
|
-4.6
% |
28,809,424
|
-1.8
% |
29,349,277
|
|
|
Amortisation
|
CK
|
1,388,022
|
27.0
% |
1,092,718
|
22.1
% |
895,148
|
Stocks
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
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
|
18,056,875
|
-4.5
% |
18,915,699
|
-9.3
% |
20,846,470
|
|
|
Gross
|
BT
|
18,848,347
|
-0.4
% |
18,915,699
|
-9.3
% |
20,846,470
|
|
|
Amortisation
|
BU
|
791,472
|
0% |
0
|
0% |
0
|
|
|
Sub
Total Stocks |
Net
|
18,056,875
|
-4.5
% |
18,915,699
|
-9.3
% |
20,846,470
|
Advance
payments to suppliers
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Advance
payments to suppliers |
Net
|
361,331
|
-46.3
% |
672,624
|
-10.9
% |
754,522
|
|
|
Gross
|
BV
|
361,331
|
-46.3
% |
672,624
|
-10.9
% |
754,522
|
|
|
Amortisation
|
BW
|
0
|
0% |
0
|
0% |
0
|
Debtors
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Trade
accounts receivable |
Net
|
5,619,556
|
-16.6
% |
6,735,203
|
15.4
% |
5,838,413
|
|
|
Gross
|
BX
|
5,804,043
|
-19.8
% |
7,237,361
|
13.4
% |
6,383,561
|
|
|
Amortisation
|
BY
|
184,486
|
-63.3
% |
502,158
|
-7.9
% |
545,148
|
|
|
Other
debtors |
Net
|
521,364
|
62.4
% |
321,107
|
-54.2
% |
701,354
|
|
|
Gross
|
BZ
|
933,428
|
2.4
% |
911,667
|
-13.3
% |
1,051,354
|
|
|
Amortisation
|
CA
|
412,064
|
-30.2
% |
590,560
|
68.7
% |
350,000
|
|
|
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
|
6,140,920
|
-13.0
% |
7,056,310
|
7.9
% |
6,539,767
|
Divers
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Investment
securities |
Net
|
8,760
|
1.1
% |
8,664
|
1.7
% |
8,523
|
|
|
Gross
|
CD
|
8,760
|
1.1
% |
8,664
|
1.7
% |
8,523
|
|
|
Amortisation
|
CE
|
0
|
0% |
0
|
0% |
0
|
|
|
Cash
and cash equivalents |
Net
|
1,097,369
|
14.5
% |
958,654
|
408.7
% |
188,450
|
|
|
Gross
|
CF
|
1,097,369
|
14.5
% |
958,654
|
408.7
% |
188,450
|
|
|
Amortisation
|
CG
|
0
|
0% |
0
|
0% |
0
|
|
|
Sub
Total Divers |
Net
|
1,106,129
|
14.4
% |
967,318
|
391.1
% |
196,973
|
Prepaid
expenses
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Prepaid
expenses |
Net
|
441,995
|
321.9
% |
104,754
|
-10.0
% |
116,397
|
|
|
Gross
|
CH
|
441,995
|
321.9
% |
104,754
|
-10.0
% |
116,397
|
|
|
Amortisation
|
CI
|
0
|
0% |
0
|
0% |
0
|
Equalization
accounts (IV to VI)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
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
|
0
|
0% |
0
|
0% |
0
|
|
|
Gross
|
0
|
0% |
0
|
0% |
0
|
References
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Due
within one year |
CP
|
0
|
0% |
0
|
0% |
0
|
|
|
Due
after one year |
CR
|
0
|
0% |
0
|
0% |
0
|
Grand
Total - Passive Accounts (I to V)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Grand
Total (I to V) |
EE
|
28,903,457
|
-5.1
% |
30,466,376
|
-2.0
% |
31,075,144
|
Shareholder
Equity (I)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Total
shareholders' equity (Total I) |
DL
|
14,045,395
|
12.6
% |
12,475,521
|
10.7
% |
11,273,249
|
|
|
Equity
and shareholders' equity |
DA
|
750,000
|
0% |
750,000
|
0% |
750,000
|
|
|
Issue
and merger premiums |
DB
|
17,542
|
0% |
17,542
|
0% |
17,542
|
|
|
Revaluation
differentials |
DC
|
0
|
0% |
0
|
0% |
0
|
|
|
Of
which equity differential |
EK
|
0
|
0% |
0
|
0% |
0
|
|
|
Legal
reserve |
DD
|
75,000
|
0% |
75,000
|
0% |
75,000
|
|
|
Statutory
or contractual reserve |
DE
|
0
|
0% |
0
|
0% |
0
|
|
|
Special
regulated reserves |
DF
|
0
|
0% |
0
|
0% |
0
|
|
|
Of
which special reserve of provisions for current fluctuation |
B1
|
0
|
0% |
0
|
0% |
0
|
|
|
Other
reserves |
DG
|
7,848,651
|
4.1
% |
7,537,823
|
3.8
% |
7,260,719
|
|
|
Of
which reserve for buying originals works from alive artists |
EJ
|
0
|
0% |
0
|
0% |
0
|
|
|
Profits
or losses brought forward |
DH
|
0
|
0% |
0
|
0% |
0
|
|
|
Profit
or loss for the period |
DI
|
1,747,575
|
71.8
% |
1,017,328
|
4.0
% |
977,754
|
|
|
Investment
grants |
DJ
|
0
|
0% |
0
|
0% |
0
|
|
|
Special
tax-allowable reserves |
DK
|
3,606,626
|
17.2
% |
3,077,828
|
40.4
% |
2,192,234
|
Other
capital resources (II)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
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)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Total
provisions for risks and charges (Total III) |
DR
|
0
|
0% |
174,000
|
625.0
% |
24,000
|
|
|
Risk
provisions |
DP
|
0
|
0% |
174,000
|
625.0
% |
24,000
|
|
|
Reserves
for charges |
DQ
|
0
|
0% |
0
|
0% |
0
|
Liabilities
(IV)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Total
Liabilities (Total IV) |
EC
|
14,858,061
|
-16.6
% |
17,816,855
|
-9.9
% |
19,777,894
|
|
|
Convertible
debentures |
DS
|
0
|
0% |
0
|
0% |
0
|
|
|
Other
debentures |
DT
|
0
|
0% |
0
|
0% |
0
|
|
|
Bank
loans and liabilities |
DU
|
5,408,077
|
-10.0
% |
6,008,234
|
-26.8
% |
8,209,788
|
|
|
Sundry
loans and financial liabilities |
DV
|
1,492,857
|
5.3
% |
1,418,112
|
-12.7
% |
1,623,646
|
|
|
Of
which participating loans |
EI
|
0
|
0% |
0
|
0% |
0
|
|
|
Advance
payments received for current orders |
DW
|
359,931
|
140.1
% |
149,897
|
-32.6
% |
222,245
|
|
|
Trade
accounts payables |
DX
|
5,218,297
|
-34.5
% |
7,967,705
|
0.3
% |
7,940,253
|
|
|
Tax
and social security liabilities |
DY
|
1,409,320
|
6.5
% |
1,322,946
|
11.8
% |
1,183,099
|
|
|
Fixed
asset liabilities |
DZ
|
0
|
0% |
0
|
0% |
0
|
|
|
Other
debts |
EA
|
969,577
|
2.1
% |
949,961
|
58.6
% |
598,863
|
Translation
loss (V)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Translation
loss (Total V) |
ED
|
0
|
0% |
0
|
0% |
0
|
Equalization
accounts
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Deferred
income |
EB
|
0
|
0% |
0
|
0% |
0
|
References
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Of
which tax-allowable reserve |
EF
|
0
|
0% |
0
|
0% |
0
|
|
|
Deferred
income and liabilities |
EG
|
10,488,440
|
-29.3
% |
14,843,052
|
-16.9
% |
17,855,365
|
|
|
Of
which current bank facilities |
EH
|
2,304,655
|
-46.3
% |
4,292,379
|
-21.3
% |
5,456,170
|
1
- Operating result (I-II)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Operating
result (Total I-II) |
GG
|
3,109,451
|
18.3
% |
2,627,700
|
24.9
% |
2,103,263
|
2
- Financial result (V-VI)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Financial
result (Total V-VI) |
GV
|
-177,690
|
35.8
% |
-276,901
|
24.2
% |
-365,351
|
3
- Pre-tax net operating income result (I to VI)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Pre-tax
net operating income (Total I-II+II-IV+V-VI) |
GW
|
2,931,761
|
24.7
% |
2,350,799
|
35.3
% |
1,737,912
|
4
- Extraordinary result (VII-VIII)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Extraordinary
result (Total VII-VIII) |
HI
|
-487,044
|
48.8
% |
-951,584
|
-171.2
% |
-350,939
|
Profit
or loss
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Profit
or loss |
HN
|
1,747,575
|
71.8
% |
1,017,328
|
4.0
% |
977,754
|
Total
Income (I+III+V+VII)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Total
Income (Total I+III+V+VII) |
HL
|
69,593,533
|
-5.4
% |
73,549,607
|
12.1
% |
65,608,840
|
Total
Charges (Total II+IV+VI+VIII+IX+X)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Total
Charges (Total II+IV+VI+VIII+IX+X) |
HM
|
67,845,954
|
-6.5
% |
72,532,279
|
12.2
% |
64,631,086
|
Operating
income (I)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Total
operating income (Total I) |
FR
|
69,127,869
|
-5.6
% |
73,244,840
|
12.4
% |
65,179,647
|
Operating
income (details)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Sale
of goods for resale |
FC
|
68,229,962
|
-6.6
% |
73,013,058
|
12.6
% |
64,841,466
|
|
|
France
|
FA
|
68,229,962
|
86.6
% |
36,571,504
|
0.8
% |
36,272,613
|
|
|
Export
|
FB
|
0
|
0% |
36,441,554
|
27.6
% |
28,568,853
|
|
|
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
|
58,616
|
-27.0
% |
80,301
|
87.6
% |
42,810
|
|
|
France
|
FG
|
58,616
|
-27.0
% |
80,301
|
87.6
% |
42,810
|
|
|
Export
|
FH
|
0
|
0% |
0
|
0% |
0
|
|
|
Net
turnover |
FL
|
68,288,578
|
-6.6
% |
73,093,359
|
12.7
% |
64,884,276
|
|
|
France
|
FJ
|
68,288,578
|
86.3
% |
36,651,805
|
0.9
% |
36,315,423
|
|
|
Export
|
FK
|
0
|
0% |
36,441,554
|
27.6
% |
28,568,853
|
|
|
Stocked
production |
FM
|
0
|
0% |
0
|
0% |
0
|
|
|
Self-constructed
assets |
FN
|
0
|
0% |
0
|
0% |
0
|
|
|
Operating
grants |
FO
|
0
|
0% |
0
|
0% |
0
|
|
|
Release
of reserves and provisions |
FP
|
698,392
|
532.7
% |
110,379
|
-19.5
% |
137,065
|
|
|
Other
income |
FQ
|
140,899
|
242.8
% |
41,101
|
-74.0
% |
158,306
|
Operating
charges (II)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Total
operating charges (Total II) |
GF
|
66,018,418
|
-6.5
% |
70,617,139
|
12.0
% |
63,076,384
|
Exploitation
charges
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Purchase
of goods for resale |
FS
|
53,271,911
|
-6.7
% |
57,125,717
|
1.8
% |
56,140,636
|
|
|
Change
in stocks of goods for resale |
FT
|
67,351
|
-96.5
% |
1,930,771
|
169.8
% |
-2,765,104
|
|
|
Purchase
of raw materials |
FU
|
85,793
|
-10.4
% |
95,748
|
37.1
% |
69,835
|
|
|
Change
in stocks of raw materials |
FV
|
0
|
0% |
0
|
0% |
0
|
|
|
Other
external purchases and charges |
FW
|
6,123,258
|
-7.6
% |
6,623,602
|
17.3
% |
5,645,856
|
|
|
Tax,
duty and similar payments |
FX
|
385,489
|
7.6
% |
358,208
|
13.7
% |
315,171
|
|
|
Payroll
|
FY
|
2,960,828
|
8.5
% |
2,727,792
|
13.1
% |
2,411,140
|
|
|
Social
security costs |
FZ
|
1,309,609
|
2.0
% |
1,284,181
|
9.9
% |
1,168,607
|
Depreciation
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Depreciation
of fixed assets |
GA
|
94,881
|
24.9
% |
75,965
|
30.2
% |
58,333
|
|
|
Amortisation
of fixed assets |
GB
|
0
|
0% |
0
|
0% |
0
|
|
|
Depreciation/amortisation
of current assets |
GC
|
886,680
|
1215.8
% |
67,389
|
0% |
0
|
|
|
Provisions
for risks and charges |
GD
|
57,974
|
-75.9
% |
240,560
|
0% |
0
|
Other
charges
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Other
charges |
GE
|
774,644
|
788.3
% |
87,205
|
173.3
% |
31,910
|
Operating
charges (III-IV)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
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)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Total
financial income (Total V) |
GP
|
175,749
|
-3.5
% |
182,130
|
1.1
% |
180,132
|
|
|
Share
financial income |
GJ
|
172,000
|
-5.0
% |
181,000
|
0.6
% |
180,000
|
|
|
Other
investment income & capitalised receivables |
GK
|
0
|
0% |
0
|
0% |
0
|
|
|
Other
interest and similar income |
GL
|
3,749
|
231.8
% |
1,130
|
756.1
% |
132
|
|
|
Released
provisions and transferred charges |
GM
|
0
|
0% |
0
|
0% |
0
|
|
|
Exchange
gains |
GN
|
0
|
0% |
0
|
0% |
0
|
|
|
Net
income from disposal of investment securities |
GO
|
0
|
0% |
0
|
0% |
0
|
Financial
charge (VI)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Total
financial charge (Total VI) |
GU
|
353,439
|
-23.0
% |
459,032
|
-15.8
% |
545,483
|
|
|
Financial
reserves and provisions |
GQ
|
0
|
0% |
0
|
0% |
0
|
|
|
Interest
and similar charges |
GR
|
353,439
|
-23.0
% |
459,032
|
-15.8
% |
545,483
|
|
|
Exchange
losses |
GS
|
0
|
0% |
0
|
0% |
0
|
|
|
Net
loss from disposal of investment securities |
GT
|
0
|
0% |
0
|
0% |
0
|
Extraordinary
income (VII)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Total
extraordinary income (Total VII) |
HD
|
289,915
|
136.4
% |
122,637
|
-50.8
% |
249,061
|
|
|
Extraordinary
operating income |
HA
|
6,615
|
-92.1
% |
84,010
|
3139.9
% |
2,593
|
|
|
Extraordinary
income from capital transactions |
HB
|
0
|
0% |
0
|
0% |
10,000
|
|
|
Released
provisions and transferred charges |
HC
|
283,300
|
633.4
% |
38,627
|
-83.7
% |
236,468
|
Extraordinary
charges (VIII)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Total
extraordinary charges (Total VIII) |
HH
|
776,959
|
-27.7
% |
1,074,221
|
79.0
% |
600,000
|
|
|
Extraordinary
operating charges |
HE
|
60,832
|
0% |
0
|
0% |
0
|
|
|
Extraordinary
charges from capital transactions |
HF
|
54,029
|
0% |
0
|
0% |
0
|
|
|
Extraordinary
reserves and provisions |
HG
|
662,098
|
-38.4
% |
1,074,221
|
79.0
% |
600,000
|
Employee
profit sharing (IX)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Employee
profit sharing (Total IX) |
HJ
|
0
|
0% |
0
|
0% |
0
|
Tax
on profits (X)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Tax
on profits (Total X) |
HK
|
697,138
|
82.6
% |
381,887
|
-6.7
% |
409,219
|
References
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Of
which equipment leases |
HP
|
0
|
0% |
0
|
0% |
0
|
|
|
Of
which property leases |
HQ
|
0
|
0% |
0
|
0% |
0
|
|
|
Of
which transferred charges |
A1
|
0
|
0% |
0
|
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
|
Fixed
Assets
Grand
Total Fixed Assets (I to IV)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
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% |
0
|
|
|
Decreasess
by transfers |
OK2
|
0
|
0% |
252,355
|
275.3
% |
67,241
|
|
|
Gross
value at the end of period |
OL
|
3,350,482
|
4.4
% |
3,209,067
|
3.3
% |
3,105,798
|
Research
and development Charge (Total I)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
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 |
CO1
|
0
|
0% |
0
|
0% |
0
|
|
|
Decreasess
by transfers |
CO2
|
0
|
0% |
0
|
0% |
0
|
|
|
Gross
value at the end of period |
DO
|
0
|
0% |
0
|
0% |
0
|
Other
budget item from Intangible fixed assets (Total II)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Gross
value at begin of period |
KD
|
490,471
|
5.4
% |
465,133
|
1.3
% |
459,318
|
|
|
Increasess
due to revaluation |
KE
|
0
|
0% |
0
|
0% |
0
|
|
|
Increasess,
acquisitions, creations, contributions |
KF
|
7,370
|
-70.9
% |
25,338
|
335.7
% |
5,815
|
|
|
Decreasess
by budget item transfer |
LV1
|
0
|
0% |
0
|
0% |
0
|
|
|
Decreasess
by transfers |
LV2
|
0
|
0% |
0
|
0% |
0
|
|
|
Gross
value at the end of period |
LW
|
497,841
|
1.5
% |
490,471
|
5.4
% |
465,133
|
Tangible
fixed assets (Total III)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Gross
value at begin of period |
LN
|
561,288
|
-7.1
% |
604,471
|
2.6
% |
589,002
|
|
|
Increasess
due to revaluation |
LO
|
0
|
0% |
0
|
0% |
0
|
|
|
Increasess,
acquisitions, creations, contributions |
LP
|
61,947
|
6.5
% |
58,170
|
-29.7
% |
82,711
|
|
|
Decreasess
by budget item transfer |
NG1
|
0
|
0% |
0
|
0% |
0
|
|
|
Decreasess
by transfers |
NG2
|
0
|
0% |
101,354
|
50.7
% |
67,241
|
|
|
Gross
value at the end of period |
NH
|
623,235
|
11.0
% |
561,287
|
-7.1
% |
604,472
|
Financial
assets (Total IV)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Gross
value at begin of period |
LQ
|
2,157,308
|
5.9
% |
2,036,194
|
28.3
% |
1,586,657
|
|
|
Increasess
due to revaluation |
LR
|
0
|
0% |
0
|
0% |
0
|
|
|
Increasess,
acquisitions, creations, contributions |
LS
|
72,098
|
-73.5
% |
272,116
|
-39.5
% |
449,537
|
|
|
Decreasess
by budget item transfer |
NJ1
|
0
|
0% |
0
|
0% |
0
|
|
|
Decreasess
by transfers |
NJ2
|
0
|
0% |
151,001
|
0% |
0
|
|
|
Gross
value at the end of period |
NK
|
2,229,406
|
3.3
% |
2,157,308
|
5.9
% |
2,036,194
|
Situation
and movement of reserve for depreciation - Grand total (I-II-III)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Reserve
for depreciation value at begin of period |
ON
|
0
|
0% |
0
|
0% |
0
|
|
|
Increases
|
OP
|
0
|
0% |
0
|
0% |
0
|
|
|
Decreasess
|
OQ
|
0
|
0% |
0
|
0% |
0
|
|
|
Reserve
for depreciation value at the end of period |
OR
|
0
|
0% |
0
|
0% |
0
|
Research
and development charge (Total I)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
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)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Reserve
for depreciation value at begin of period |
PE
|
58,810
|
28.2
% |
45,857
|
27.8
% |
35,895
|
|
|
Increases
|
PF
|
16,586
|
28.0
% |
12,953
|
30.0
% |
9,962
|
|
|
Decreasess
|
PG
|
0
|
0% |
0
|
0% |
0
|
|
|
Decreasess
by budget item transfer |
PH
|
75,396
|
28.2
% |
58,810
|
28.2
% |
45,857
|
Total
fixed assets amotisation (Total III)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Reserve
for depreciation value at begin of period |
QU
|
400,585
|
-8.7
% |
438,926
|
-4.1
% |
457,798
|
|
|
Increases
|
QV
|
78,295
|
24.3
% |
63,011
|
30.3
% |
48,371
|
|
|
Decreases
|
QW
|
0
|
0% |
101,354
|
50.7
% |
67,241
|
|
|
Decreasess
by budget item transfer |
QX
|
478,880
|
19.5
% |
400,583
|
-8.7
% |
438,928
|
Deferred
charges and debt issuance costs
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
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
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Net
value at begin 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
|
Grand
Total (I-II-III)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Value
at begining of period |
7C
|
3,847,409
|
0% |
0
|
0% |
0
|
|
|
Increases
|
UB
|
1,630,753
|
0% |
0
|
0% |
0
|
|
|
Decreases
|
UC
|
980,650
|
0% |
0
|
0% |
0
|
|
|
Value
at the end of period |
UD
|
4,497,512
|
0% |
0
|
0% |
0
|
Includes
Total allocations
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Operating
|
UE
|
944,655
|
0% |
0
|
0% |
0
|
|
|
Financial
|
UG
|
0
|
0% |
0
|
0% |
0
|
|
|
Exceptional
|
UJ
|
686,098
|
0% |
0
|
0% |
0
|
Includes
Total Withdrawal
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Operating
|
UF
|
697,350
|
0% |
0
|
0% |
0
|
|
|
Financial
|
UH
|
0
|
0% |
0
|
0% |
0
|
|
|
Exceptional
|
UK
|
283,300
|
0% |
0
|
0% |
0
|
Total
regulated provisions (Total I)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Value
at begining of period |
3Z
|
3,077,828
|
0% |
0
|
0% |
0
|
|
|
Increases
|
TS
|
662,098
|
0% |
0
|
0% |
0
|
|
|
Decreases
|
TT
|
133,300
|
0% |
0
|
0% |
0
|
|
|
Value
at the end of period |
TU
|
3,606,626
|
0% |
0
|
0% |
0
|
Total
risk and charge provisions (Total II)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Value
at begining of period |
5Z
|
174,000
|
0% |
0
|
0% |
0
|
|
|
Increases
|
TV
|
0
|
0% |
0
|
0% |
0
|
|
|
Decreases
|
TW
|
174,000
|
0% |
0
|
0% |
0
|
|
|
Value
at the end of period |
TX
|
0
|
0% |
0
|
0% |
0
|
Total
Provision for depreciation (Total III)
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Value
at begining of period |
7B
|
595,581
|
0% |
0
|
0% |
0
|
|
|
Increases
|
TY
|
968,655
|
0% |
0
|
0% |
0
|
|
|
Decreases
|
TZ
|
673,350
|
0% |
0
|
0% |
0
|
|
|
Value
at the end of period |
UA
|
890,886
|
0% |
0
|
0% |
0
|
State
claims
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Gross
value |
VT
|
0
|
0% |
9,681,089
|
9.3
% |
8,857,506
|
|
|
1
year at most |
VU
|
0
|
0% |
7,245,831
|
-4.0
% |
7,551,312
|
|
|
More
than one year |
VV
|
0
|
0% |
2,435,258
|
86.4
% |
1,306,194
|
State
of loans
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
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
|
0
|
0% |
0
|
0% |
0
|
|
|
Loans
(1 year at most) |
UR
|
0
|
0% |
0
|
0% |
0
|
|
|
Other
financial assets (gross) |
UT
|
0
|
0% |
1,427,308
|
9.3
% |
1,306,194
|
|
|
Other
financial assets (1 year at most) |
UV
|
0
|
0% |
0
|
0% |
0
|
Receivables
statement of assets
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Customers
doubtful or disputed |
VA
|
0
|
0% |
575,728
|
-15.3
% |
679,911
|
|
|
Other
claims customer |
UX
|
0
|
0% |
6,661,633
|
16.8
% |
5,703,650
|
|
|
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% |
121
|
0% |
0
|
|
|
Social
Security and other social organizations |
UZ
|
0
|
0% |
0
|
0% |
0
|
|
|
Income
taxes |
VM
|
0
|
0% |
0
|
0% |
208,206
|
|
|
Value
added tax |
VB
|
0
|
0% |
0
|
0% |
222,164
|
|
|
Other
taxes and payments assimilated |
VN
|
0
|
0% |
251,919
|
0% |
0
|
|
|
State
and other public - Miscellaneous |
VP
|
0
|
0% |
0
|
0% |
0
|
|
|
Group
and Associates |
VC
|
0
|
0% |
131,000
|
-44.0
% |
233,986
|
|
|
Accounts
receivable (including claims relating to the operation of pension titles) |
VR
|
0
|
0% |
528,626
|
36.6
% |
386,999
|
Prepaid
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Prepaid
|
VS
|
0
|
0% |
104,754
|
-10.0
% |
116,397
|
State
Debt
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Total
debt (gross) |
VY
|
0
|
0% |
17,666,956
|
-9.7
% |
19,555,650
|
|
|
1
year at most |
VZ2
|
0
|
0% |
14,843,051
|
-16.9
% |
17,855,365
|
|
|
More
than 1 year and 5 years at most |
VZ3
|
0
|
0% |
2,723,905
|
72.4
% |
1,580,285
|
|
|
More
than 5 years |
VZ4
|
0
|
0% |
100,000
|
-16.7
% |
120,000
|
Details
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
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% |
0
|
0% |
0
|
|
|
1
year at most |
VG2
|
0
|
0% |
0
|
0% |
0
|
|
|
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
|
0
|
0% |
6,008,234
|
-26.8
% |
8,209,788
|
|
|
1
year at most |
VH2
|
0
|
0% |
4,904,736
|
-24.7
% |
6,509,503
|
|
|
More
than 1 year and 5 years at most |
VH3
|
0
|
0% |
1,003,497
|
-36.5
% |
1,580,285
|
|
|
Loans
and various financial liabilities (gross) |
8A1
|
0
|
0% |
0
|
0% |
0
|
|
|
1
year at most |
8A2
|
0
|
0% |
0
|
0% |
0
|
|
|
More
than 1 year and 5 years at most |
8A3
|
0
|
0% |
0
|
0% |
0
|
|
|
Suppliers
and associated accounts (gross) |
8B1
|
0
|
0% |
7,967,705
|
0.3
% |
7,940,253
|
|
|
1
year at most |
8B2
|
0
|
0% |
7,967,705
|
0.3
% |
7,940,253
|
|
|
More
than 1 year and 5 years at most |
8B3
|
0
|
0% |
7,967,705
|
0.3
% |
7,940,253
|
|
|
Personnel
and associated accounts (gross) |
8C1
|
0
|
0% |
443,683
|
-2.2
% |
453,466
|
|
|
1
year at most |
8C2
|
0
|
0% |
443,683
|
-2.2
% |
453,466
|
|
|
More
than 1 year and 5 years at most |
8C3
|
0
|
0% |
0
|
0% |
0
|
|
|
Social
Security and other social organizations (gross) |
8D1
|
0
|
0% |
336,032
|
23.8
% |
271,413
|
|
|
1
year at most |
8D2
|
0
|
0% |
336,032
|
23.8
% |
271,413
|
|
|
More
than 1 year and 5 years at most |
8D3
|
0
|
0% |
0
|
0% |
0
|
|
|
Taxes
on profits (gross) |
8E1
|
0
|
0% |
7,365
|
0% |
0
|
|
|
1
year at most |
8E2
|
0
|
0% |
7,365
|
0% |
0
|
|
|
More
than 1 year and 5 years at most |
8E3
|
0
|
0% |
0
|
0% |
0
|
|
|
VAT
(Gross) |
VW1
|
0
|
0% |
401,569
|
12.7
% |
356,384
|
|
|
1
year at most |
VW2
|
0
|
0% |
401,569
|
12.7
% |
356,384
|
|
|
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
|
0
|
0% |
134,296
|
31.9
% |
101,836
|
|
|
1
year at most |
VQ2
|
0
|
0% |
134,296
|
31.9
% |
101,836
|
|
|
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
|
0
|
0% |
1,418,112
|
-12.7
% |
1,623,646
|
|
|
1
year at most |
VI2
|
0
|
0% |
0
|
0% |
1,623,646
|
|
|
More
than 1 year and 5 years at most |
VI3
|
0
|
0% |
1,418,112
|
0% |
0
|
|
|
More
than 5 years |
V14
|
0
|
0% |
0
|
0% |
0
|
|
|
Other
liabilities (gross) |
8K1
|
0
|
0% |
949,961
|
58.6
% |
598,865
|
|
|
1
year at most |
8K2
|
0
|
0% |
647,665
|
8.1
% |
598,865
|
|
|
More
than 1 year and 5 years at most |
8K3
|
0
|
0% |
302,296
|
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
|
0
|
0% |
0
|
0% |
0
|
|
|
1
year at most |
8L2
|
0
|
0% |
0
|
0% |
0
|
|
|
More
than 1 year and 5 years at most |
8L3
|
0
|
0% |
0
|
0% |
0
|
References
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Loans
made during the period |
VJ
|
0
|
0% |
0
|
0% |
0
|
|
|
Debt
repaid during the period |
VK
|
0
|
0% |
0
|
0% |
116,747
|
Dividends
distributed
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Dividends
|
ZE
|
0
|
0% |
0
|
0% |
0
|
Commitments
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
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
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
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
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
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
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
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
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Average
number of employees |
YP
|
45
|
0% |
0
|
0% |
0
|
Groups
and Shareholders
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
|||
|
Groups
and Shareholders |
ZR
|
0
|
- |
-
|
- |
-
|
Structure
and Liquidity
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
Sector
Median 2014 |
||||
|
Fixed
Asset Financing |
5.73
|
13.2
% |
5.06
|
-2.7
% |
5.20
|
2.69
|
113.0
% |
||
|
Global
Debt |
78
days |
-11.4
% |
88
days |
-20.0
% |
110
days |
91
days |
-14.3
% |
||
|
Working
Capital Fund overall net |
84
days |
31.3
% |
64
days |
-11.1
% |
72
days |
66
days |
27.3
% |
||
|
Financial
independence |
203.53
% |
21.2
% |
167.99
% |
46.5
% |
114.64
% |
302.52
% |
-32.7
% |
||
|
Solvability
|
48.59
% |
18.7
% |
40.95
% |
12.9
% |
36.28
% |
43.66
% |
11.3
% |
||
|
Capacity
debt futures |
-
|
- |
254.36
% |
46.9
% |
173.18
% |
1,452.66
% |
-
|
||
|
Coverage
of current assets by net working capital overall |
58.55
% |
29.0
% |
45.39
% |
1.7
% |
44.64
% |
48.31
% |
21.2
% |
||
|
General
Liquidity |
-
|
- |
0.49
|
16.7
% |
0.42
|
0.97
|
-
|
||
|
Restricted
Liquidity |
-
|
- |
0.55
|
27.9
% |
0.43
|
1.30
|
-
|
||
Management
or rotation
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
Sector
Median 2014 |
||||
|
Need
background in operating working capital |
88
days |
10.0
% |
80
days |
-20.8
% |
101
days |
39
days |
125.6
% |
||
|
Treasury
|
-6
days |
62.5
% |
-16
days |
44.8
% |
-29
days |
13
days |
-146.2
% |
||
|
Inventory
turnover of goods |
127
days |
10.4
% |
115
days |
-18.4
% |
141
days |
41
days |
209.8
% |
||
|
Average
length of credit granted to customers |
31
days |
-13.9
% |
36
days |
2.9
% |
35
days |
64
days |
-51.6
% |
||
|
Average
length of credit obtained suppliers |
32
days |
-27.3
% |
44
days |
-8.3
% |
48
days |
51
days |
-37.3
% |
||
|
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 |
-
|
- |
-
|
- |
-
|
867
days |
-
|
||
|
Rotation
tangible assets |
10,957.12
% |
-15.9
% |
13,022.46
% |
21.3
% |
10,734.04
% |
1,310.36
% |
736.2
% |
||
Profitability
of the business
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
Sector
Median 2014 |
||||
|
Margin
trading |
21.81
% |
14.2
% |
19.09
% |
8.0
% |
17.67
% |
20.34
% |
7.2
% |
||
|
Profitability
of the business |
5.98
% |
48.4
% |
4.03
% |
37.5
% |
2.93
% |
3.60
% |
66.1
% |
||
|
Net
profit |
2.56
% |
84.2
% |
1.39
% |
-7.9
% |
1.51
% |
2.02
% |
26.7
% |
||
|
Growth
rate of turnover (excluding VAT) |
-6.57
% |
-151.9
% |
12.65
% |
491.1
% |
2.14
% |
0.05
% |
-13240.0
% |
||
|
Rates
integration |
12.80
% |
27.9
% |
10.01
% |
12.1
% |
8.93
% |
17.16
% |
-25.4
% |
||
|
Rate
leasing furniture |
0.00
% |
0% |
0.00
% |
0% |
0.00
% |
0.00
% |
0%
|
||
|
Work
Factor |
48.86
% |
-10.9
% |
54.83
% |
-11.3
% |
61.79
% |
66.38
% |
-26.4
% |
||
|
Weight
interests |
0.52
% |
-17.5
% |
0.63
% |
-25.0
% |
0.84
% |
0.21
% |
147.6
% |
||
Return
on capital
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
Sector
Median 2014 |
||||
|
Cash
flow from the overall profitability |
2.31
% |
-22.2
% |
2.97
% |
18.3
% |
2.51
% |
2.58
% |
-10.5
% |
||
|
Rates
of economic profitability |
19.00
% |
26.7
% |
15.00
% |
66.7
% |
9.00
% |
14.00
% |
35.7
% |
||
|
Financial
profitability |
14,045,395.00
% |
12.6
% |
12,475,521.00
% |
10.7
% |
11,273,249.00
% |
460,429.00
% |
2950.5
% |
||
|
Return
on investment |
10.03
% |
35.2
% |
7.42
% |
2.8
% |
7.22
% |
9.47
% |
5.9
% |
||
Management
intermediate balances
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
Sector
Median 2014 |
||||||||
|
Turnover
|
68,288,578
|
-6.6
% |
73,093,359
|
12.7
% |
64,884,276
|
2,416,995
|
2725.4
% |
||||||
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
Sector
Median 2014 |
||||||||
|
Sales
of goods |
68,229,962
|
-6.6
% |
73,013,058
|
12.6
% |
64,841,466
|
-
|
|||||||
|
-
Purchase of goods |
53,271,911
|
-6.7
% |
57,125,717
|
1.8
% |
56,140,636
|
-
|
|||||||
|
+/-
Stock of goods variation |
67,351
|
-96.5
% |
1,930,771
|
169.8
% |
-2,765,104
|
-
|
|||||||
|
Trading
margin |
14,890,700
€ |
6.7
% |
13,956,570
€ |
21.7
% |
11,465,934
€ |
437,308
€ |
3305.1
% |
||||||
|
21.81
% CA |
14.2
% |
19.09
% CA |
8.0
% |
17.67
% CA |
20.38
% CA |
7.0
% |
|||||||
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
Sector
Median 2014 |
||||||||||||
|
Sale
of goods produced |
58,616
|
-27.0
% |
80,301
|
87.6
% |
42,810
|
-
|
|||||||||||
|
+/-
Stocked production |
0
|
0% |
0
|
0% |
0
|
-
|
|||||||||||
|
+
Self-constructed assets |
0
|
0% |
0
|
0% |
0
|
-
|
|||||||||||
|
Period
production |
58,616
€ |
-27.0
% |
80,301
€ |
87.6
% |
42,810
€ |
56,108
€ |
4.5
% |
||||||||||
|
0.09
% CA |
-18.2
% |
0.11
% CA |
57.1
% |
0.07
% CA |
2.25
% CA |
-96.0
% |
|||||||||||
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
Sector
Median 2014 |
||||||||||||
|
Trading
margin |
14,890,700
|
6.7
% |
13,956,570
|
21.7
% |
11,465,934
|
437,308
|
3305.1
% |
||||||||||
|
+
Period Production |
58,616
|
-27.0
% |
80,301
|
87.6
% |
42,810
|
56,108
|
4.5
% |
||||||||||
|
-
Purchase of raw materials |
85,793
|
-10.4
% |
95,748
|
37.1
% |
69,835
|
-
|
|||||||||||
|
+/-
Change in stocks of raw materiels |
0
|
0% |
0
|
0% |
0
|
-
|
|||||||||||
|
-
Other external purchases and charges |
6,123,258
|
-7.6
% |
6,623,602
|
17.3
% |
5,645,856
|
-
|
|||||||||||
|
Added
value |
8,740,265
€ |
19.4
% |
7,317,521
€ |
26.3
% |
5,793,053
€ |
382,863
€ |
2182.9
% |
||||||||||
|
12.80
% CA |
27.9
% |
10.01
% CA |
12.1
% |
8.93
% CA |
17.12
% CA |
-25.2
% |
|||||||||||
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
Sector
Median 2014 |
||||||||
|
Added
value |
8,740,265
€ |
19.4
% |
7,317,521
€ |
26.3
% |
5,793,053
€ |
382,863
€ |
2182.9
% |
||||||
|
+
Operating grants |
0
|
0% |
0
|
0% |
0
|
-
|
|||||||
|
-
Tax, duty and similar payments |
385,489
|
7.6
% |
358,208
|
13.7
% |
315,171
|
-
|
|||||||
|
-
Personal charges |
4,270,437
|
6.4
% |
4,011,973
|
12.1
% |
3,579,747
|
-
|
|||||||
|
Gross
operating surplus |
4,084,339
€ |
38.6
% |
2,947,340
€ |
55.3
% |
1,898,135
€ |
69,671
€ |
5762.3
% |
||||||
|
5.98
% CA |
48.4
% |
4.03
% CA |
37.5
% |
2.93
% CA |
3.60
% CA |
66.1
% |
|||||||
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
Sector
Median 2014 |
||||||||
|
Gross
operating surplus |
4,084,339
€ |
38.6
% |
2,947,340
€ |
55.3
% |
1,898,135
€ |
69,671
€ |
5762.3
% |
||||||
|
+
Release of reserves and provisions |
698,392
|
532.7
% |
110,379
|
-19.5
% |
137,065
|
-
|
|||||||
|
+
Other operating income |
140,899
|
242.8
% |
41,101
|
-74.0
% |
158,306
|
-
|
|||||||
|
-
Depreciation/ Amortisation |
1,039,535
|
170.8
% |
383,914
|
558.1
% |
58,333
|
-
|
|||||||
|
-
Other charges |
774,644
|
788.3
% |
87,205
|
173.3
% |
31,910
|
-
|
|||||||
|
Operating
result |
3,109,451
€ |
18.3
% |
2,627,701
€ |
24.9
% |
2,103,263
€ |
50,085
€ |
6108.3
% |
||||||
|
4.55
% CA |
26.7
% |
3.59
% CA |
10.8
% |
3.24
% CA |
2.55
% CA |
78.4
% |
|||||||
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
Sector
Median 2014 |
|||||
|
Operating
result |
3,109,451
€ |
18.3
% |
2,627,701
€ |
24.9
% |
2,103,263
€ |
50,085
€ |
6108.3
% |
|||
|
+/-
Result of joint-venture transferred from/to other partners |
0
|
0% |
0
|
0% |
0
|
-
|
||||
|
+
Financial income |
175,749
|
-3.5
% |
182,130
|
1.1
% |
180,132
|
-
|
||||
|
-
Financial charges |
353,439
|
-23.0
% |
459,032
|
-15.8
% |
545,483
|
-
|
||||
|
Pre-tax
result |
2,931,761
€ |
24.7
% |
2,350,799
€ |
35.3
% |
1,737,912
€ |
44,963
€ |
6420.4
% |
|||
|
4.29
% CA |
33.2
% |
3.22
% CA |
20.1
% |
2.68
% CA |
2.48
% CA |
73.0
% |
||||
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
Sector
Median 2014 |
|||||
|
Extraordinary
income |
289,915
|
136.4
% |
122,637
|
-50.8
% |
249,061
|
1,891
|
15231.3
% |
|||
|
-
Extraordinary charges |
776,959
|
-27.7
% |
1,074,221
|
79.0
% |
600,000
|
-
|
||||
|
Extraordinary
result |
-487,044
€ |
48.8
% |
-951,584
€ |
-171.2
% |
-350,939
€ |
0
€ |
0%
|
|||
|
-0.71
% CA |
45.4
% |
-1.30
% CA |
-140.7
% |
-0.54
% CA |
0.00
% CA |
0%
|
||||
|
31/07/2014 |
Variation |
31/07/2013 |
Variation |
31/07/2012 |
Sector
Median 2014 |
|||
|
Pre-tax
result |
2,931,761
€ |
24.7
% |
2,350,799
€ |
35.3
% |
1,737,912
€ |
44,963
€ |
6420.4
% |
|
|
Extraordinary
result |
-487,044
€ |
48.8
% |
-951,584
€ |
-171.2
% |
-350,939
€ |
0
€ |
0%
|
|
|
-
Employee profit sharing |
0
|
0% |
0
|
0% |
0
|
-
|
||
|
-
Tax on profits |
697,138
|
82.6
% |
381,887
|
-6.7
% |
409,219
|
-
|
||
|
Net
result |
1,747,579
€ |
71.8
% |
1,017,328
€ |
4.0
% |
977,754
€ |
39,649
€ |
4307.6
% |
|
|
2.56
% CA |
84.2
% |
1.39
% CA |
-7.9
% |
1.51
% CA |
2.02
% CA |
26.7
% |
||
FOREIGN EXCHANGE RATES
|
Currency |
Unit
|
Indian Rupees |
|
US Dollar |
1 |
Rs.65.83 |
|
UK Pound |
1 |
Rs.103.39 |
|
Euro |
1 |
Rs.74.27 |
INFORMATION DETAILS
|
Analysis Done by
: |
TRI |
|
|
|
|
Report Prepared
by : |
ASH |
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%)
This report is issued at your request without any
risk and responsibility on the part of MIRA INFORM PRIVATE LIMITED (MIPL)
or its officials.