MIRA INFORM REPORT

 

 

Report No. :

307489

Report Date :

14.02.2015

 

IDENTIFICATION DETAILS

 

Name :

EL CORTE INGLES SA

 

 

Registered Office :

Cl. Hermosilla, 112 - Madrid - 28009 – Madrid

 

 

Country :

Spain

 

 

Financials (as on) :

2014

 

 

Date of Incorporation :

28.06.1940

 

 

Legal Form :

Public Company

 

 

Line of Business :

Subject is Other retail sale in non-specialised stores.

 

 

No. of Employee :

52345 (2014)

 

 

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 – December 31, 2014

 

Country Name

Previous Rating

(30.09.2014)

Current Rating

(31.12.2014)

Spain

A1

A1

 

Risk Category

ECGC Classification

Insignificant

 

A1

Low

 

A2

Moderate

 

B1

High

 

B2

Very High

 

C1

Restricted

 

C2

Off-credit

 

D

 


 

SPAIN-ECONOMIC OVERVIEW

 

Spain experienced a prolonged recession in the wake of the global financial crisis. GDP contracted by 3.7% in 2009, ending a 16-year growth trend, and continued contracting through most of 2013. Economic growth resumed in late 2013, albeit only modestly, as credit contraction in the private sector, fiscal austerity, and high unemployment continued to weigh on domestic consumption and investment. Exports, however, have been resilient throughout the economic downturn, partially offsetting declines in domestic consumption and helped to bring Spain's current account into surplus in 2013 for the first time since 1986. The unemployment rate rose from a low of about 8% in 2007 to more than 26% in 2013, straining Spain's public finances as spending on social benefits increased while tax revenues fell. Spain’s budget deficit peaked at 11.4% of GDP in 2009. Spain gradually reduced the deficit to just under 7% of GDP in 2013, slightly above the 6.5% target negotiated between Spain and the EU. Public debt has increased substantially – from 60.1% of GDP in 2010 to 93.4% in 2013. Rising labor productivity, moderating labor costs, and lower inflation have helped to improve foreign investor interest in the economy and to reduce government borrowing costs. The government's ongoing efforts to implement reforms - labor, pension, health, tax, and education - are aimed at supporting investor sentiment. The government also has shored up struggling banks exposed to Spain's depressed domestic construction and real estate sectors by successfully completing an EU-funded restructuring and recapitalization program in December 2013.

 

Source : CIA

 


Company name and address

 

 

Name:

 

EL CORTE INGLES SA

 

NIF / Fiscal code:

 

A28017895

 

Trade Name

 

EL CORTE INGLÉS

 

Status:

 

ACTIVE

 

Incorporation Date:

 

28/06/1940

 

Register Data

 

Register Section 8 Sheet 9880

 

Last Publication in BORME:

 

29/01/2015 [Appointments]

 

Last Published Account Deposit:

 

2014

 

Share Capital:

 

486.864.000

 

 

Localization:

 

CL. HERMOSILLA, 112 - MADRID - 28009 - MADRID

 

Telephone - Fax - Email - Website:

 

Ph.:. 914 018 500 Email. administracion@elcorteingles.es Website. www.elcorteingles.es

 

Number of Branches

 

94

 

 

Activity:

 

 

NACE:

 

4719 - Other retail sale in non-specialised stores

 

Registered Trademarks:

 

 

Audited / Opinion:

 

Si /  

 

Tenders and Awards:

 

100 for a total cost of NaN

 

Subsidies:

 

0 for a total cost of 0

 

Quality Certificate:

 

No

 

 

 

Defaults, Legal Claims and Insolvency Proceedings :

 

 

 

 

 

Number

 

Amount (€)

 

Most Recent Entry

 

Insolvency Proceedings, Bankruptcy and Suspension of Payments

 

 

Unpublished

 

---

 

---

 

Defaults on debt with Financial Institutions and Large Companies

 

Description: 341

 

None

 

 ---

 

---

 

Judicial Claims (Notices, Executive Proceedings, Attachments, Auctions, Bad Debt)

 

 

None

 

 0

 

---

 

Proceedings heard by the Civil Court

 

 

Unpublished

 

 0

 

---

 

Proceedings heard by the Labour Court

 

 

15

 

 0

 

---

 

 

 

 

 

Partners

 

 

 

 

ACCIONES PROPIAS DE EL CORTE INGLES, S.A.

 

6.76 %

 

 

Shares:

 

48

 

 

Other Links:

 

44

 

 

No. of Active Corporate Bodies:

 

 

 

 

Ratios

 

2014

 

2013

 

Change

 

 

Nº of employees:

 

52345

 

 

 

 

 

 

Guarantees:

 

 

Properties Registered:

 

Company NO, Administrator NO

 

Financing / Guarantee Sources :

 

Sources YES, Guarantees YES

 

 

 

INVESTIGATION SUMMARY

 

 

Company founded in 1940, engaged in the exploitation of big surfaces of sale of all Kind of products. Family company, whose shareholders, according to the sources consulted, are more less distant relatives of the deceased. (Ramón Arces). Although the company is characterized by a jealous privacy in their reporting, indicated repeatedly that most of the package is in hands of Ramón Areces Foundation, for legacy of its founder Isidoro Álvarez. Nothing appears against the company in the sources consulted. Given the above we believe that the company can continue taking risk operations commensurate with its size.

 

Interviewed Person:

 

 

 

Enquiry Details

 

 

 

Identification

 

 

Social Denomination:

 

EL CORTE INGLES SA

 

Trade Name:

 

EL CORTE INGLÉS

 

NIF / Fiscal code:

 

A28017895

 

Corporate Status:

 

ACTIVE

 

Start of activity:

 

1952

 

Registered Office:

 

CL. HERMOSILLA, 112

 

Locality:

 

MADRID

 

Province:

 

MADRID

 

Postal Code:

 

28009

 

Telephone:

 

914 018 500

 

Fax:

 

913 093 433

 

Website:

 

www.elcorteingles.es

 

Email:

 

administracion@elcorteingles.es

 

Interviewed Person:

 

This information was obtained through indirect sources due to the refusal of the responsible members of society to provide any collaboration for the preparation of the current document

 

 

Branch Offices

 

 

 

 

Address

Postal Code

City

Province

CALLE CABA 4

2001

ALBACETE

ALBACETE

CALLE JUAN PEREZ ARRIETE S/N

11204

ALGECIRAS

CADIZ

Conde de Gondomar, 9

14003

CORDOBA

CORDOBA

Av. Linares Rivas, 27

15005

CORUÑA (A)

LA CORUÑA

CALLE CARRERA DE LA VIRGEN 20 22

18009

GRANADA

GRANADA

AVENI EDUARDO GUITIAN 17

19002

GUADALAJARA

GUADALAJARA

AVENI ALCALDE FEDERICO MOLINA 1

21003

HUELVA

HUELVA

Av. Juan Carlos I, S/N

28806

ALCALA DE HENARES

MADRID

Brihuega, 2

28805

ALCALA DE HENARES

MADRID

Av. Móstoles, 1

28922

ALCORCON

MADRID

Av. Infante Don Luis, 12

28660

BOADILLA DEL MONTE

MADRID

Francisco Tomás y Valiente, S/N

28660

BOADILLA DEL MONTE

MADRID

Ctra. La Coruña (Vía de Servicio), KM 38 4

28400

COLLADO VILLALBA

MADRID

Santo, 2

28400

COLLADO VILLALBA

MADRID

Ctra. Guadarrama, KM 18 6

28280

ESCORIAL (EL)

MADRID

Ctra. Galapagar-La Navata, 1

28260

GALAPAGAR

MADRID

Franklin, S/N

28906

GETAFE

MADRID

Escoriales, 5

28440

GUADARRAMA

MADRID

Av. Gran Bretaña, S/N

28916

LEGANES

MADRID

Abada, 3

28013

MADRID

MADRID

Agustín de Foxá, S/N

28036

MADRID

MADRID

Alcalá, 98

28009

MADRID

MADRID

Alfonso Gómez, 8

28037

MADRID

MADRID

Arapiles, 10-12

28015

MADRID

MADRID

Augusto Figueroa, 24

28004

MADRID

MADRID

Castillo, 26

28010

MADRID

MADRID

Clara del Rey, 50

28002

MADRID

MADRID

Chile, 4

28016

MADRID

MADRID

Duque de Sesto, 23

28009

MADRID

MADRID

Francisco Rojas, 6

28010

MADRID

MADRID

Fuencarral, 56

28004

MADRID

MADRID

Fuente Carrantona, 39

28030

MADRID

MADRID

Príncipe de Vergara, 108

28002

MADRID

MADRID

Rda. Atocha, 14

28012

MADRID

MADRID

Goya, 115

28009

MADRID

MADRID

Hermano Gárate, 4

28020

MADRID

MADRID

Hermanos García Noblejas, 25

28037

MADRID

MADRID

Gran Vía, 30

28013

MADRID

MADRID

Magallanes, 3

28015

MADRID

MADRID

Marcelo Usera, 3

28026

MADRID

MADRID

Miguel Yuste, 45

28037

MADRID

MADRID

Núñez de Balboa, 115

28006

MADRID

MADRID

Orense, 2

28020

MADRID

MADRID

Av. Plaza de Toros, S/N

28025

MADRID

MADRID

Preciados, 9

28013

MADRID

MADRID

Princesa, 47

28008

MADRID

MADRID

Glta. Quevedo, 8

28015

MADRID

MADRID

Raimundo Fernández Villaverde, 79

28003

MADRID

MADRID

Ramón de Aguinaga, 3

28028

MADRID

MADRID

Ríos Rosas, 46

28003

MADRID

MADRID

Serrano, 70

28001

MADRID

MADRID

Silvano, 75

28043

MADRID

MADRID

Toledo, 143

28005

MADRID

MADRID

Tomás Bretón, 21

28045

MADRID

MADRID

Valentín Llaguno, 36

28019

MADRID

MADRID

Velázquez, 47

28001

MADRID

MADRID

Villanueva, 20

28001

MADRID

MADRID

Virgen del Sagrario, 6

28027

MADRID

MADRID

Vitruvio, 5

28006

MADRID

MADRID

Julio Camba, 1

28028

MADRID

MADRID

Av. Monforte de Lemos, 195

28035

MADRID

MADRID

Palos de la Frontera, 22

28012

MADRID

MADRID

Ginzo de Limia, S/N

28029

MADRID

MADRID

Av. Cardenal Herrera Oria, 242

28035

MADRID

MADRID

Av. Manoteras, 32

28050

MADRID

MADRID

Santiago de Compostela, S/N

28029

MADRID

MADRID

Av. Padre Huidobro, S/N

28023

MADRID

MADRID

Av. Gran Vía de Hortaleza, S/N

28043

MADRID

MADRID

Av. Andes, 50

28042

MADRID

MADRID

Retama, 7

28045

MADRID

MADRID

Margarita de Parma, 4

28050

MADRID

MADRID

Rda. Comunicación, S/N

28050

MADRID

MADRID

Av. Reyes Católicos, 8

28220

MAJADAHONDA

MADRID

Granada, 50

28935

MOSTOLES

MADRID

Exacta, 16

28320

PINTO

MADRID

San Antón, 2

28320

PINTO

MADRID

Pablo Picasso, S/N

28320

PINTO

MADRID

Isaac Peral, 2

28521

RIVAS-VACIAMADRID

MADRID

Chile, S/N

28290

ROZAS DE MADRID (LAS)

MADRID

Ctra. Guadarrama, KM 18 6

28200

SAN LORENZO DE EL ESCORIAL

MADRID

Gral. Asensio, 21

28609

SEVILLA LA NUEVA

MADRID

Av. Madrid, S/N

28850

TORREJON DE ARDOZ

MADRID

Rufino Torres Manuel, 2

28250

TORRELODONES

MADRID

Av. Fontanilla, S/N

28250

TORRELODONES

MADRID

Río Turia, 5

28229

VILLANUEVA DEL PARDILLO

MADRID

Rda. Europa, 5

28760

TRES CANTOS

MADRID

Av. los Labradores, 9

28760

TRES CANTOS

MADRID

AVENI NUESTRO PADRE JESUS CAUTIVO 3 / LOS BOLICHES

29640

FUENGIROLA

MALAGA

AVENI ANDALUCIA 4 Y 6

29006

MALAGA

MALAGA

CALLE RAMON ARECES 2

33211

GIJON

ASTURIAS

CALLE URIA 9

33003

OVIEDO

ASTURIAS

CALLE MARIA AUXILIADORA 71 85

37004

SALAMANCA

SALAMANCA

AVENI TOLEDO DE 1

45600

TALAVERA DE LA REINA

TOLEDO

PASEO SAGASTA 3

50008

ZARAGOZA

ZARAGOZA

 

 

 

Activity

 

 

NACE:

 

4719

 

CNAE Obtaining Source:

 

4719

 

Additional Information:

 

Sale for retail of any articles. Addres; El The registered office and the head offices are indicated in the headlines of the document. The company has other shops whose adress will be indicated in the suitable section.

 

Franchise:

 

No

 

Import / export:

 

IMPORTS

 

Future Perspective:

 

Consolidation

 

Industry situation:

 

Maturity

 

 

 

 

Number of Employees

 

 

 

 

 

Year

 

No. of employees

 

Established

 

Incidentals

 

2014

 

52345

 

 

 

 

 

Description: wordml://2088 


Chronological Summary

Year

Act

1990

Accounts deposit (ejer. 1989) Adaptation to Law (1) Appointments/ Re-elections (11)

1991

Appointments/ Re-elections (9) Cessations/ Resignations/ Reversals (2) Increase of Capital (1)

1992

Accounts deposit (ejer. 1990) Appointments/ Re-elections (6) Increase of Capital (1)

1993

Appointments/ Re-elections (14) Cessations/ Resignations/ Reversals (1) Increase of Capital (2)

1994

Accounts deposit (ejer. 1992 consolidated, 1993 consolidated, 1992, 1993) Appointments/ Re-elections (7) Change of Social Purpose (1) Increase of Capital (1)

1995

Accounts deposit (ejer. 1994 consolidated, 1994) Appointments/ Re-elections (21) Cessations/ Resignations/ Reversals (1) Increase of Capital (1)

1996

Accounts deposit (ejer. 1996 consolidated, 1996) Appointments/ Re-elections (31) Cessations/ Resignations/ Reversals (5) Increase of Capital (1)

1997

Accounts deposit (ejer. 1997 consolidated, 1997) Appointments/ Re-elections (8) Board Meeting (1) Cessations/ Resignations/ Reversals (3) Increase of Capital (1)

1998

Accounts deposit (ejer. 1998 consolidated, 1998) Appointments/ Re-elections (9) Board Meeting (1) Cessations/ Resignations/ Reversals (3) Increase of Capital (1)

1999

Accounts deposit (ejer. 1999 consolidated, 1999) Appointments/ Re-elections (22) Board Meeting (1) Cessations/ Resignations/ Reversals (2) Increase of Capital (1) Statutory Modifications (1)

2000

Accounts deposit (ejer. 2000 consolidated, 2000) Appointments/ Re-elections (6) Board Meeting (1) Cessations/ Resignations/ Reversals (2) Increase of Capital (1)

2001

Appointments/ Re-elections (20) Board Meeting (1) Capital Reduction (2) Increase of Capital (1)

2002

Accounts deposit (ejer. 2001 consolidated, 2002 consolidated, 2001) Appointments/ Re-elections (19) Board Meeting (1) Cessations/ Resignations/ Reversals (2) Increase of Capital (1) Statutory Modifications (1) Take-over Merger (5)

2003

Accounts deposit (ejer. 2003 consolidated, 2003) Appointments/ Re-elections (29) Board Meeting (1) Cessations/ Resignations/ Reversals (8) Increase of Capital (1) Other Concepts/ Events (2)

2004

Accounts deposit (ejer. 2004 consolidated, 2004) Appointments/ Re-elections (20) Board Meeting (1) Cessations/ Resignations/ Reversals (5) Increase of Capital (1)

2005

Appointments/ Re-elections (8) Board Meeting (1) Cessations/ Resignations/ Reversals (3) Increase of Capital (1) Other Concepts/ Events (1)

2006

Accounts deposit (ejer. 2005 consolidated, 2006 consolidated, 2005, 2006) Appointments/ Re-elections (20) Board Meeting (1) Cessations/ Resignations/ Reversals (1) Errata (2) Increase of Capital (1) Other Concepts/ Events (2)

2007

Accounts deposit (ejer. 2007) Appointments/ Re-elections (26) Board Meeting (1) Cessations/ Resignations/ Reversals (2) Errata (2) Increase of Capital (1)

2008

Accounts deposit (ejer. 2007 consolidated, 2008 consolidated, 2008) Appointments/ Re-elections (16) Board Meeting (1) Cessations/ Resignations/ Reversals (3) Increase of Capital (1)

2009

Accounts deposit (ejer. 2009 consolidated, 2009) Appointments/ Re-elections (20) Board Meeting (1) Cessations/ Resignations/ Reversals (18) Other Concepts/ Events (5)

2010

Accounts deposit (ejer. 2010 consolidated, 2010) Appointments/ Re-elections (51) Board Meeting (1) Cessations/ Resignations/ Reversals (23) Other Concepts/ Events (6)

2011

Appointments/ Re-elections (20) Board Meeting (1) Cessations/ Resignations/ Reversals (17)

2012

Accounts deposit (ejer. 2011 consolidated, 2011, 2012) Appointments/ Re-elections (29) Board Meeting (1) Cessations/ Resignations/ Reversals (8) Other Concepts/ Events (5) Take-over Merger (3)

2013

Accounts deposit (ejer. 2012 consolidated, 2013 consolidated, 2013) Appointments/ Re-elections (22) Board Meeting (1) Cessations/ Resignations/ Reversals (24) Other Concepts/ Events (1)

2014

Accounts deposit (ejer. 2014 consolidated, 2014) Appointments/ Re-elections (28) Board Meeting (1) Cessations/ Resignations/ Reversals (11)

2015

Appointments/ Re-elections (1)

 

 

Breakdown of Owners' Equity

 

 

Registered Capital:

 

486.864.000

 

Paid up capital:

 

486.864.000

 

 

Description: 2493Updated Evolution of the Subscribed and Paid-in Capital

 

 

 

 

 

 

 

 

Description: 2503

 

 

Publishing Date

 

Registration Type

 

Capital Subscribed

 

Paid up capital

 

Underwritten result

 

Disbursed Result

 

15/02/1991

 

Increase of Capital

 

 20.320.219

 

 20.320.219

 

 226.909.115

 

 226.909.115

 

29/01/1992

 

Increase of Capital

 

 30.480.329

 

 30.480.329

 

 257.389.444

 

 257.389.444

 

03/02/1993

 

Increase of Capital

 

 20.320.219

 

 20.320.219

 

 277.709.663

 

 277.709.663

 

05/11/1993

 

Increase of Capital

 

 10.160.110

 

 10.160.110

 

 287.869.773

 

 287.869.773

 

19/10/1994

 

Increase of Capital

 

 10.160.110

 

 10.160.110

 

 298.029.882

 

 298.029.882

 

14/11/1995

 

Increase of Capital

 

 13.546.813

 

 13.546.813

 

 311.576.695

 

 311.576.695

 

18/10/1996

 

Increase of Capital

 

 13.546.813

 

 13.546.813

 

 325.123.508

 

 325.123.508

 

15/10/1997

 

Increase of Capital

 

 13.546.813

 

 13.546.813

 

 338.670.321

 

 338.670.321

 

01/10/1998

 

Increase of Capital

 

 13.546.813

 

 13.546.813

 

 352.217.134

 

 352.217.134

 

21/10/1999

 

Increase of Capital

 

 13.546.813

 

 13.546.813

 

 365.763.946

 

 365.763.946

 

30/10/2000

 

Increase of Capital

 

 13.546.813

 

 13.546.813

 

 379.310.759

 

 379.310.759

 

02/11/2001

 

Capital Reduction

 

 -638.759

 

 -638.759

 

 378.672.000

 

 378.672.000

 

02/11/2001

 

Increase of Capital

 

 13.524.000

 

 13.524.000

 

 392.196.000

 

 392.196.000

 

07/10/2002

 

Increase of Capital

 

 13.524.000

 

 13.524.000

 

 405.720.000

 

 405.720.000

 

07/10/2003

 

Increase of Capital

 

 13.524.000

 

 13.524.000

 

 419.244.000

 

 419.244.000

 

29/09/2004

 

Increase of Capital

 

 13.524.000

 

 13.524.000

 

 432.768.000

 

 432.768.000

 

26/10/2005

 

Increase of Capital

 

 13.524.000

 

 13.524.000

 

 446.292.000

 

 446.292.000

 

06/10/2006

 

Increase of Capital

 

 13.524.000

 

 13.524.000

 

 459.816.000

 

 459.816.000

 

01/10/2007

 

Increase of Capital

 

 13.524.000

 

 13.524.000

 

 473.340.000

 

 473.340.000

 

07/10/2008

 

Increase of Capital

 

 13.524.000

 

 13.524.000

 

 486.864.000

 

 486.864.000

 


 

 

 

Active Social Bodies

 

 

 

 

 

Post published

 

Social Body's Name

 

Appointment Date

 

Other Positions in this Company

 

PRESIDENT

 

GIMENO ALVAREZ DIMAS RODRIGO

 

21/10/2014

 

5

 

MEMBER OF THE BOARD

 

ALVAREZ GUIL MARTA FRANCISCA

 

22/01/2015

 

1

 

 

PIZARRO MORENO MANUEL

 

07/10/2014

 

1

 

 

LASAGA MUNARRIZ FLORENCIO

 

08/10/2013

 

10

 

 

HERMOSO ARMADA JUAN

 

08/10/2013

 

7

 

 

MARTINEZ ECHAVARRIA ANSELMO CARLOS

 

08/10/2013

 

11

 

 

CORPORACION CESLAR SL

 

08/10/2013

 

7

 

 

CARTERA MANCOR SL

 

08/10/2013

 

4

 

 

GIMENO ALVAREZ DIMAS RODRIGO

 

03/11/2010

 

5

 

 

DEL NOGAL ROPERO JOSE LEOPOLDO

 

03/11/2010

 

4

 

JOINT CHIEF EXECUTIVE OFFICER

 

GIMENO ALVAREZ DIMAS RODRIGO

 

08/10/2013

 

5

 

 

CARTERA MANCOR SL

 

08/10/2013

 

4

 

 

CORPORACION CESLAR SL

 

08/10/2013

 

7

 

 

DEL NOGAL ROPERO JOSE LEOPOLDO

 

08/10/2013

 

4

 

 

HERMOSO ARMADA JUAN

 

08/10/2013

 

7

 

 

LASAGA MUNARRIZ FLORENCIO

 

08/10/2013

 

10

 

 

MARTINEZ ECHAVARRIA ANSELMO CARLOS

 

08/10/2013

 

11

 

NON CONSELLOR SECRETARY

 

HERNANDEZ GIL ALVAREZ CIENFUEGOS ANTONIO

 

03/09/2014

 

1

 

REPRESENTATIVE

 

GARCIA PEÑA PALOMA

 

08/10/2013

 

2

 

 

ARECES GALAN ANA CARLOTA

 

08/10/2013

 

4

 

ACCOUNTS' AUDITOR / HOLDER

 

DELOITTE SL

 

09/10/2014

 

12

 

 

 

 

Historical Social Bodies

 

 

 

 

 

Social Body's Name

 

Post published

 

End Date

 

Other Positions in this Company

 

ALVAREZ ALVAREZ ISIDORO

 

MEMBER OF THE BOARD

 

19/09/1996

 

24

 

 

MEMBER OF THE BOARD

 

14/10/1998

 

 

 

MEMBER OF THE BOARD

 

11/01/1999

 

 

 

MEMBER OF THE BOARD

 

06/10/2003

 

 

 

MEMBER OF THE BOARD

 

03/10/2008

 

 

 

MEMBER OF THE BOARD

 

08/10/2013

 

 

 

MEMBER OF THE BOARD

 

21/10/2014

 

 

 

JOINT CHIEF EXECUTIVE OFFICER

 

06/10/2003

 

 

 

JOINT CHIEF EXECUTIVE OFFICER

 

08/10/2013

 

 

 

JOINT CHIEF EXECUTIVE OFFICER

 

21/10/2014

 

 

 

CHIEF EXECUTIVE OFFICER

 

11/01/1999

 

 

 

CHIEF EXECUTIVE OFFICER

 

03/10/2008

 

 

 

PRESIDENT

 

14/10/1998

 

 

 

PRESIDENT

 

06/10/2003

 

 

 

PRESIDENT

 

03/10/2008

 

 

 

PRESIDENT

 

08/10/2013

 

 

 

PRESIDENT

 

21/10/2014

 

 

ARECES GALAN ANA CARLOTA

 

REPRESENTATIVE

 

06/10/2003

 

4

 

 

REPRESENTATIVE

 

03/10/2008

 

 

 

REPRESENTATIVE

 

08/10/2013

 

 

ARECES RODRIGUEZ CELESTINO

 

MEMBER OF THE BOARD

 

19/09/1996

 

4

 

 

MEMBER OF THE BOARD

 

14/10/1998

 

 

 

MEMBER OF THE BOARD

 

16/06/1999

 

 

 

JOINT CHIEF EXECUTIVE OFFICER

 

06/10/2003

 

 

ARECES RODRIGUEZ LUIS

 

MEMBER OF THE BOARD

 

14/10/1998

 

5

 

 

MEMBER OF THE BOARD

 

19/09/1996

 

 

 

MEMBER OF THE BOARD

 

03/10/2002

 

 

 

JOINT CHIEF EXECUTIVE OFFICER

 

03/10/2002

 

 

 

VICE CHAIRMAN

 

03/10/2002

 

 

ARTHUR ANDERSEN Y CIA S COM

 

ACCOUNTS' AUDITOR / HOLDER

 

25/10/1999

 

4

 

 

ACCOUNTS' AUDITOR / HOLDER

 

31/10/2000

 

 

 

ACCOUNTS' AUDITOR / HOLDER

 

28/11/2001

 

 

 

ACCOUNTS' AUDITOR / HOLDER

 

25/10/2002

 

 

CARTERA MANCOR SL

 

MEMBER OF THE BOARD

 

08/10/2013

 

4

 

 

JOINT CHIEF EXECUTIVE OFFICER

 

08/10/2013

 

 

CORPORACION CESLAR SL

 

MEMBER OF THE BOARD

 

08/10/2013

 

7

 

 

JOINT CHIEF EXECUTIVE OFFICER

 

08/10/2013

 

 

 

CHIEF EXECUTIVE OFFICER

 

03/10/2008

 

 

 

MEMBER OF THE BOARD

 

03/10/2008

 

 

 

MEMBER OF THE BOARD

 

06/10/2003

 

 

DE MINGO CONTRERAS JUAN MANUEL

 

JOINT CHIEF EXECUTIVE OFFICER

 

06/10/2003

 

18

 

 

MEMBER OF THE BOARD

 

06/10/2003

 

 

 

SECRETARY

 

06/10/2003

 

 

 

MEMBER OF THE BOARD

 

14/10/1998

 

 

 

MEMBER OF THE BOARD

 

11/01/1999

 

 

 

SECRETARY

 

03/10/2008

 

 

 

MEMBER OF THE BOARD

 

03/10/2008

 

 

 

CHIEF EXECUTIVE OFFICER

 

03/10/2008

 

 

 

SECRETARY

 

08/10/2012

 

 

 

MEMBER OF THE EXECUTIVE COMM.

 

01/08/2013

 

 

 

MEMBER OF THE BOARD

 

01/08/2013

 

 

 

JOINT CHIEF EXECUTIVE OFFICER

 

01/08/2013

 

 

DEL NOGAL ROPERO JOSE LEOPOLDO

 

MEMBER OF THE BOARD

 

03/11/2010

 

4

 

DELOITTE & TOUCHE ESPAÑA SL

 

ACCOUNTS' AUDITOR / HOLDER

 

13/10/2003

 

2

 

 

ACCOUNTS' AUDITOR / HOLDER

 

29/10/2004

 

 

DELOITTE ESPAÑA SL

 

ACCOUNTS' AUDITOR / HOLDER

 

13/10/2003

 

2

 

 

ACCOUNTS' AUDITOR / HOLDER

 

25/10/2002

 

 

DELOITTE S L

 

ACCOUNTS' AUDITOR / HOLDER

 

19/10/2006

 

2

 

 

ACCOUNTS' AUDITOR / HOLDER

 

06/10/2007

 

 

DELOITTE SL

 

ACCOUNTS' AUDITOR / HOLDER

 

29/10/2004

 

12

 

 

ACCOUNTS' AUDITOR / HOLDER

 

26/10/2005

 

 

 

ACCOUNTS' AUDITOR / HOLDER

 

19/10/2006

 

 

 

ACCOUNTS' AUDITOR / HOLDER

 

28/10/2010

 

 

 

ACCOUNTS' AUDITOR / HOLDER

 

10/11/2008

 

 

 

ACCOUNTS' AUDITOR / HOLDER

 

10/12/2009

 

 

 

CONSOLIDATED ACCOUNTS' AUDITOR

 

26/11/2013

 

 

 

ACCOUNTS' AUDITOR / HOLDER

 

26/11/2013

 

 

 

ACCOUNTS' AUDITOR / HOLDER

 

09/10/2014

 

 

 

ACCOUNTS' AUDITOR / HOLDER

 

22/11/2011

 

 

 

ACCOUNTS' AUDITOR / HOLDER

 

31/10/2012

 

 

GARCIA MIRANDA JOSE ANTONIO

 

MEMBER OF THE BOARD

 

19/09/1996

 

7

 

 

MEMBER OF THE BOARD

 

14/10/1998

 

 

 

REPRESENTATIVE

 

25/10/2010

 

 

 

CHIEF EXECUTIVE OFFICER

 

03/10/2008

 

 

 

MEMBER OF THE BOARD

 

03/10/2008

 

 

 

MEMBER OF THE BOARD

 

06/10/2003

 

 

 

JOINT CHIEF EXECUTIVE OFFICER

 

06/10/2003

 

 

GARCIA PEÑA PALOMA

 

REPRESENTATIVE

 

08/10/2013

 

2

 

GIMENO ALVAREZ DIMAS RODRIGO

 

REPRESENTATIVE

 

27/10/2010

 

5

 

 

MEMBER OF THE BOARD

 

03/11/2010

 

 

GOMEZ PASTRANA MORALES MANUEL

 

CHIEF EXECUTIVE OFFICER

 

03/10/2008

 

5

 

 

MEMBER OF THE BOARD

 

03/10/2008

 

 

 

MEMBER OF THE BOARD

 

03/03/2011

 

 

 

JOINT CHIEF EXECUTIVE OFFICER

 

03/03/2011

 

 

 

MEMBER OF THE BOARD

 

06/10/2003

 

 

GONZALEZ DELGADO JUAN CARLOS

 

REPRESENTATIVE

 

03/10/2008

 

2

 

 

REPRESENTATIVE

 

16/03/2009

 

 

GONZALEZ FERNANDEZ DAVID

 

MEMBER OF THE BOARD

 

19/09/1996

 

5

 

 

MEMBER OF THE BOARD

 

14/10/1998

 

 

 

MEMBER OF THE BOARD

 

06/10/2003

 

 

 

JOINT CHIEF EXECUTIVE OFFICER

 

06/10/2003

 

 

 

REPRESENTATIVE

 

11/09/2007

 

 

HERMOSO ARMADA JUAN

 

MEMBER OF THE BOARD

 

06/10/2003

 

7

 

 

MEMBER OF THE BOARD

 

03/10/2008

 

 

 

CHIEF EXECUTIVE OFFICER

 

03/10/2008

 

 

 

MEMBER OF THE BOARD

 

08/10/2013

 

 

 

JOINT CHIEF EXECUTIVE OFFICER

 

08/10/2013

 

 

INGONDEL SL

 

MEMBER OF THE BOARD

 

27/10/2010

 

4

 

 

JOINT CHIEF EXECUTIVE OFFICER

 

27/10/2010

 

 

 

CHIEF EXECUTIVE OFFICER

 

03/10/2008

 

 

 

MEMBER OF THE BOARD

 

03/10/2008

 

 

LASAGA MUNARRIZ FLORENCIO

 

MEMBER OF THE BOARD

 

19/09/1996

 

10

 

 

MEMBER OF THE BOARD

 

14/10/1998

 

 

 

CHIEF EXECUTIVE OFFICER

 

03/10/2008

 

 

 

JOINT CHIEF EXECUTIVE OFFICER

 

06/10/2003

 

 

 

MEMBER OF THE BOARD

 

06/10/2003

 

 

 

MEMBER OF THE BOARD

 

03/10/2008

 

 

 

JOINT CHIEF EXECUTIVE OFFICER

 

08/10/2013

 

 

 

MEMBER OF THE BOARD

 

08/10/2013

 

 

MARTINEZ ECHAVARRIA ANSELMO CARLOS

 

MEMBER OF THE BOARD

 

14/10/1998

 

11

 

 

MEMBER OF THE BOARD

 

11/01/1999

 

 

 

MEMBER OF THE BOARD

 

06/10/2003

 

 

 

MEMBER OF THE BOARD

 

03/10/2008

 

 

 

MEMBER OF THE BOARD

 

08/10/2013

 

 

 

JOINT CHIEF EXECUTIVE OFFICER

 

06/10/2003

 

 

 

JOINT CHIEF EXECUTIVE OFFICER

 

08/10/2013

 

 

 

CHIEF EXECUTIVE OFFICER

 

03/10/2008

 

 

MARTINEZ ECHEVARRIA ANSELMO CARLOS

 

MEMBER OF THE BOARD

 

19/09/1996

 

1

 

MARTINEZ IÑIGUEZ MIGUEL

 

CHIEF EXECUTIVE OFFICER

 

03/10/2008

 

5

 

 

MEMBER OF THE BOARD

 

03/10/2008

 

 

 

MEMBER OF THE BOARD

 

06/10/2003

 

 

 

MEMBER OF THE BOARD

 

27/10/2010

 

 

 

JOINT CHIEF EXECUTIVE OFFICER

 

27/10/2010

 

 

MINGO CONTRERAS JUAN MANUEL

 

MEMBER OF THE BOARD

 

19/09/1996

 

2

 

 

SECRETARY

 

14/10/1998

 

 

SORIANO ATENCIA FAUSTINO JOSE

 

NON CONSELLOR SECRETARY

 

03/09/2014

 

3

 

 

 

 

Executive board

 

 

 

 

 

 

Post

 

NIF

 

Name

 

BRANCH OFFICE MANAGER

 

 

JUAN SABATER ROSELL

 

COMMERCIAL MANAGER

 

 

JUAN M PARET

 

FINANCIAL DIRECTOR

 

 

OSCAR FERNANDEZ LLANO

 

MANAGING DIRECTOR

 

 

DIMAS GIMENO ALVAREZ

 

 

 

 

Defaults, Legal Claims and Insolvency Proceedings

 

 

 

 

Section enabling assessment of the degree of compliance of the company queried with its payment obligations. It provides information on the existence and nature of all stages of Insolvency and Legal Proceedings published with reference to the Company in the country's various Official Bulletins and national newspapers, as well Defaults Registered in the main national credit bureaus (ASNEF Industrial and RAI ).

> Summary

 

Chronological summary

 

 

 

 

Number of Publications

 

Amount (_)

 

Start date

 

End date

 

Insolvency Proceedings, Bankruptcy and Suspension of Payments

 

 

Unpublished

 

---

 

---

 

---

 

Request/Declaration

 

 

0

 

---

 

date

 

 

Proceedings

 

 

---

 

---

 

 

---

 

Resolution

 

 

---

 

---

 

 

---

 

Defaults on debt with Financial Institutions and Large Companies

 

Bank and Commercial Delinquency Description: 4693

 

None

 

 0

 

 

 

Status: Friendly

 

 

---

 

 

 

 

Status: Pre-Litigation

 

 

---

 

 

 

 

Status: Litigation

 

 

---

 

 

 

 

Status: Non-performing

 

 

---

 

 

 

 

Status: insolvency proceedings, bankruptcy and suspension of payments

 

 

---

 

 

 

 

Other status

 

 

---

 

 

 

 

Legal and Administrative Proceedings

 

 

Unpublished

 

---

 

 

 

Notices of defaults and enforcement

 

 

---

 

---

 

 

---

 

Seizures

 

 

---

 

---

 

 

---

 

Auctions

 

 

---

 

---

 

 

---

 

Declarations of insolvency and bad debt

 

 

---

 

---

 

 

---

 

Proceedings heard by the Civil Court

 

 

Unpublished

 

---

 

 

 

Proceedings heard by the Labour Court

 

 

15

 

---

 

05/05/2009

 

11/12/2014

 

 

Positive Factors

 

Adverse Factors

 

Dado que se mantiene el problema respecto a la variable NumConsulRAIParticipada12M continúa, si rebajamos de 6 a 5 el número de consultas, la calificación final pasa de 6 a 9. y tras revisión de las cuentas actualizadas, renovamos la nota al mantener la situación de nuestro crterio anterior. A modo de conclusión puede concluirse: · La situación económica tanto del grupo como de la sociedad no ha experimentado cambios significativos. · Su situación financiera ha mejorado gracias a la reestructuración de la

No irregular payment performance has been detected based on information obtained from credit bureaus.

It is one of the major domestic companies in terms of sales volume.

Significant level of financial autonomy. The asset is financed mostly with equity and financing with maturity exceeding one year, providing a solid financial structure.

The cost of debt of [@ BDR_DENOMINACION], depending on the volume of external financing sources posing, is considered medium level in relation to the reference companies.

 

 

 

 

 

TREND OF SCORING

 

 

 

 

> Latest Scoring Changes :

 

 

After the study conducted by Axesor's Risks Analysts, the Scoring value has been adjusted to reflect the company environment and financial situation.

 

 

Probability of default

 

 

 

 

> Estimated Probability of Default for the next 12 months:  0.305 %

> Latest Scoring Changes:

 

 

Sector in which comparison is carried out:

471 Retail sale in non-specialised stores

 

Description: 5133

 

Relative Position:

Description: 5140 Credit quality is superior to that of other companies in the same sector.

 

The company's comparative analysis with the rest of the companies that comprise the sector, shows the company holds a better position with regard to the probability of non-compliance.

The 99.00% of the companies of the sector EL CORTE INGLES SA belongs to show a higher probability of non-compliance.

 

The probability of the company's non-compliance with its payment obligations within deadlines estimated by our qualifications models is 0.305%.

In the event they fail to comply with the payment, the seriousness of the loss will depend on factors such as the promptness of the commencement of the charging management, the existence of executive documents which match the credit or the existence of guarantees and free debt assets under the name of the debtor. Therefore, the probability of non-compliance should not be solely interpreted as the total loss of the owed amount.

 

Result of query submitted to the R.A.I. (Spanish Bad Debt Register) on

 

 

 

 

LEGAL CLAIMS

 

 

 

 

 

Summary of Judicial Claims

 

 

 

 

 

 

 

 

 

 

 Description: 5248  PROCEDURES OF CONTEST, BANKRUPTCY AND BANKRUPTCY PROTECTION

 

 

 

 

 Description: 5259  Legal Proceedings (Bankruptcy Law 22/2003)

 

 No se han publicado  Description: 5264

 

 

 

 Description: 5272  Quiebras y Suspensiones de Pagos (anterior legislación concursal)

 

 No se han publicado  Description: 5277

 

 Description: 5282  INCIDENCES WITH THE PUBLIC ADMINISTRATIONS

 

 

 

 

 Description: 5293  Incidences with the Tax Agency

 

 No se han publicado  Description: 5298

 

 

 

 Description: 5306  Incidences with the Social Security

 

 No se han publicado  Description: 5311

 

 

 

 Description: 5319  Incidences with the Autonomous Administration

 

 No se han publicado  Description: 5324

 

 

 

 Description: 5332  Incidences with the Local Administration

 

 No se han publicado  Description: 5337

 

 Description: 5342  PROCEDURES BEFORE COURTS OF CIVIL MATTERS

 

 

 

 

 Description: 5353  Procedures by the Civil Procedural Law 1/2000

 

 No se han publicado  Description: 5358

 

 

 

 Description: 5366  Proceedings by the old Civil Procedural Law 1.881

 

 No se han publicado  Description: 5371

 

 Description: 5376  PROCEEDINGS BEFORE THE INDUSTRIAL TRIBUNAL

 

 

 

 

 Description: 5387  Procedimientos ante Juzgados de lo Social

 

Description: 539115 Legal Claims for a total cost of 19.615,98 E

 

 

Incidences Detailed

 

 

 

Procedimientos ante Juzgados de lo Social

 

 

 

 Description: 5422 IN THE SOCIAL COURT Nº 5 DE VIGO (PONTEVEDRA) - Date 03/06/2014

 

 

Last Published Stage:

 

EXECUTION

 

Record Number:

 

44/2014

 

Amount of the incidence:

 

1.625,22 E

 

Requested by:

 

VARIOS DEMANDANTES

 

Published domicile:

 

VIGO (PONTEVEDRA)

 

Source:

 

B.O.P. PONTEVEDRA Nº117, 2014 PAGINA 68

 

 

 

 Description: 5479 IN THE SOCIAL COURT Nº 4 DE VIGO (PONTEVEDRA) - Date 11/12/2013

 

 

Last Published Stage:

 

SENTENCE NOTIFICATION

 

Record Number:

 

1094/2012

 

Amount of the incidence:

 

1.625,22 E

 

Requested by:

 

LUIS PEDROSO FERNANDEZ, IAGO GARCIA JUSTE, ANA GAR

 

Published domicile:

 

VIGO (PONTEVEDRA)

 

Source:

 

B.O.P. PONTEVEDRA Nº8, 2014 PAGINA 43

 

 

 

 Description: 5536 IN THE SOCIAL COURT Nº 2 DE CORDOBA - Date 03/12/2013

 

 

Last Published Stage:

 

SENTENCE NOTIFICATION

 

Record Number:

 

1499/2012

 

Amount of the incidence:

 

8.782,66 E

 

Requested by:

 

VARIOS DEMANDANTES

 

Published domicile:

 

CORDOBA

 

Source:

 

BOLETIN OFICIAL DE LA COMUNIDAD DE MADRID Nº15, 2014 PAGINA 254

 

 

 

 Description: 5593 IN THE SOCIAL COURT Nº 3 DE A CORUÑA (LA CORUÑA) - Date 09/10/2012

 

 

Last Published Stage:

 

SENTENCE NOTIFICATION

 

Record Number:

 

760/2010

 

Amount of the incidence:

 

4.549,27 E

 

Requested by:

 

EUSEBIO MOURE VEIRAS

 

Published domicile:

 

MADOSA (LA) C.P.:00000 (LA CORUÑA)

 

Source:

 

DIARIO OFICIAL DE GALICIA Nº207, 2012 PAGINA 40889

 

 

 

 Description: 5650 IN THE SOCIAL COURT Nº 1 DE A CORUÑA (LA CORUÑA) - Date 30/09/2011

 

 

Last Published Stage:

 

SENTENCE NOTIFICATION

 

Record Number:

 

980/2010

 

Amount of the incidence:

 

3.033,61 E

 

Requested by:

 

EDUARDO GARCIA RODRIGUEZ

 

Published domicile:

 

MADOSA (LA) C.P.:00000 (LA CORUÑA)

 

Source:

 

DIARIO OFICIAL DE GALICIA Nº70, 2012 PAGINA 13064

 

 

 

Link List

 

 

PARTICIPATES IN:

 

48 Entities

 

SHAREHOLDERS:

 

1 Entities

 

PARENT COMPANY OF:

 

12 Entities

 

ABSORBS TO:

 

2 Entities

 

BELONGS TO THE ADMINISTRATION BOARD OF:

 

5 Entities

 

HAS IN ITS ADMINISTRATION BOARD TO:

 

2 Entities

 

IS ASSOCIATED WITH:

 

1 Entities

 

IS RELATED WITH:

 

22 Entities

 

> Shareholders

 

 

Relationship

 

Entity

 

Province

 

Shareholding stake

 

SHAREHOLDERS

 

ACCIONES PROPIAS DE EL CORTE INGLES, S.A.

 

 

6.76

 

PARTICIPATES IN

 

GESTION DE PUNTOS DE VENTA GESPEVESA SA

 

MADRID

 

50

 

 

SEINVE SA

 

MADRID

 

100

 

 

VIAJES EL CORTE INGLES SA

 

MADRID

 

100

 

 

CONFECCIONES TERUEL SA

 

MADRID

 

100

 

 

INFORMATICA EL CORTE INGLES SA

 

MADRID

 

100

 

 

HIPERCOR SA

 

MADRID

 

100

 

 

PARINVER SA

 

MADRID

 

100

 

 

SEGUROS EL CORTE INGLES VIDA PENSIONES Y REASEGUROS SA

 

MADRID

 

100

 

 

CONSTRUCCION PROMOCIONES E INSTALACIONES SA

 

MADRID

 

100

 

 

CENTRO DE SEGUROS Y SERVICIOS CORREDURIA DE SEGUROS SA GRUPO DE SEGUROS EL CORTEINGLES

 

MADRID

 

100

 

 

TIENDAS DE CONVENIENCIA SA

 

MADRID

 

100

 

 

BRICOR SA

 

MADRID

 

100

 

 

SUPERCOR SA

 

MADRID

 

100

 

 

ASON INMOBILIARIA DE ARRIENDOS SL

 

MADRID

 

100

 

 

CANAL CLUB DE DISTRIBUCION DE OCIO Y CULTURA SA

 

MADRID

 

74.95

 

 

OPTICA 2000 SL

 

BARCELONA

 

100

 

 

SFERA JOVEN SA

 

MADRID

 

100

 

 

SEPHORA COSMETICOS ESPAÑA SL

 

MADRID

 

50

 

 

EL CORTE INGLES GRANDES ARMAZENS, SOCIEDAD ANONIMA, (PORTUGAL)

 

 

99.56

 

 

URIA VEINTE SA

 

MADRID

 

99

 

 

FINANCIERA EL CORTE INGLES E F C SA.

 

MADRID

 

49

 

 

EDITORIAL CENTRO DE ESTUDIOS RAMON ARECES SA

 

MADRID

 

100

 

 

INGONDEL SL

 

MADRID

 

100

 

 

ECI HONG KONG, S.A.

 

 

90

 

 

PERFUMES Y COSMETICOS GRAN VIA SL

 

MADRID

 

55

 

 

CITOREL SL

 

MADRID

 

50

 

 

TAGUS BOOKS SL

 

MADRID

 

24

 

 

ECI SHANGHAI

 

 

100

 

 

GRUPO DE SEGUROS EL CORTE INGLES

 

 

100

 

 

IBERIA LINEAS AEREAS DE ESPAÑA SA

 

MADRID

 

3.37

 

 

FST HOTELS SL

 

BALEARES

 

 

 

EUROFORUM ESCORIAL SA

 

MADRID

 

6

 

 

PUBLICIDAD PUNTO DE VENTA ECI SA

 

MADRID

 

 

 

INDUSTRIAS DEL VESTIDO SA

 

MADRID

 

100

 

 

SEED CAPITAL DE BIZKAIA SOCIEDAD GESTORA DE ENTIDADES DE CAPITAL RIESGO SOCIEDAD ANONIMA

 

VIZCAYA

 

1.82

 

 

VIAJES EL CORTE INGLES INC (EEUU)

 

 

 

 

INFORMATICA EL CORTE INGLES MEXICO, SOCIEDAD ANONIMA, DE CV

 

 

 

 

INFORMATICA EL CORTE INGLES BRASIL LTDA

 

 

 

 

VIAJES EL CORTE INGLES COLOMBIA, S.A.

 

 

 

 

ECI HONG KONG (CHINA)

 

 

90

 

 

INFORMATICA EL CORTE INGLES REPUBLICA DOMINICANA, S.A.

 

 

 

 

VIAJES EL CORTE INGLES REPUBLICA DOMINICANA, S.L.

 

 

 

 

ASESORES DE VIAJE, SOCIEDAD ANONIMA, (CHILE)

 

 

 

 

ECI SHANGAI (CHINA)

 

 

100

 

 

GALERY, SOCIEDAD ANONIMA, VISAO-SERVICIOS DE OPTICA UNIPESSOAL LDA (PORTUGAL)

 

 

 

 

TOUR MUNDIAL URUGUAY, S.A.

 

 

 

 

HKU DOCUMENT SERVICES SARIA DE CV (MEXICO)

 

 

 

 

ASEPEYO MUTUA DE ACCIDENTES DE TRABAJO Y ENFERMEDADES PROFESIONALES DE LA SEGURIDAD SOCIAL N151

 

BARCELONA

 

 

 

> Other relationships

 

 

Relationship

 

Entity

 

Province

 

Shareholding stake

 

PARENT COMPANY OF

 

CENTRO DE SEGUROS Y SERVICIOS CORREDURIA DE SEGUROS SA GRUPO DE SEGUROS EL CORTEINGLES

 

MADRID

 

 

 

CONSTRUCCION PROMOCIONES E INSTALACIONES SA

 

MADRID

 

100

 

 

HIPERCOR SA

 

MADRID

 

100

 

 

INFORMATICA EL CORTE INGLES SA

 

MADRID

 

100

 

 

EDITORIAL CENTRO DE ESTUDIOS RAMON ARECES SA

 

MADRID

 

100

 

 

FINANCIERA EL CORTE INGLES E F C SA.

 

MADRID

 

100

 

 

THE HARRIS COMPANY

 

 

100

 

 

VIAJES EL CORTE INGLES SA

 

MADRID

 

100

 

 

SEGUROS EL CORTE INGLES VIDA PENSIONES Y REASEGUROS SA

 

MADRID

 

100

 

 

INVESTRONICA SA

 

MADRID

 

 

 

PARINVER SA

 

MADRID

 

100

 

 

PUBLICIDAD PUNTO DE VENTA ECI SA

 

MADRID

 

 

IS ASSOCIATED WITH

 

GESTION DE PUNTOS DE VESTA, GESPEVESA, S.A.

 

 

 

IS RELATED WITH

 

| |

 

 

 

 

VIAJES EL CORTE INGLES R. DOMINICANA, S.L.

 

 

 

 

VIAJES EL CORTE INGLES R PANAMA

 

 

 

 

VIAJES EL CORTE INGLES, SOCIEDAD ANONIMA, DE CV

 

 

 

 

PERFUMES Y COSMETICOS GRAN VIA SL

 

MADRID

 

 

 

ASESORES DE VIAJE, S.A.

 

 

 

 

GALLERY DA VISAO SERVICOS DE OPTICA UNIPESSOAL LDA

 

 

 

 

HIKU DOCUMENT SERVICES SAPI DE CV

 

 

 

 

INFORMATICA EL CORTE INGLES BRASIL LTDA

 

 

 

 

INFORMATICA EL CORTE INGLES COLOMBIA SAS

 

 

 

 

INFORMATICA EL CORTE INGLES MEXICO, SOCIEDAD ANONIMA, DE CV

 

 

 

 

INFORMATICA EL CORTE INGLES PERU, S.A.

 

 

 

 

INFORMATICA EL CORTE INGLES REPUBLICA DOMINICANA, S.A.

 

 

 

 

MODA SFERA JOVEN MEXICO, SOCIEDAD ANONIMA, DECV

 

 

 

 

TOURMUNDIAL URUGUAY, S.A.

 

 

 

 

VIAJES EL CORTE INGLES ARGENTINA, S.A.

 

 

 

 

VIAJES EL CORTE INGLES COLOMBIA, S.A.

 

 

 

 

VIAJES EL CORTE INGLES INC

 

 

 

 

VIAJES EL CORTE INGLES PERU, S.A.

 

 

 

 

FST HOTELS SL

 

BALEARES

 

 

IS RELATED WITH

 

MOSTOLES INDUSTRIAL SA

 

MADRID

 

 

 

PROCOM DESARROLLO COMERCIAL DE ZARAGOZA SA

 

MADRID

 

 

 

ESGUEVA SA

 

MADRID

 

 

ABSORBS TO

 

MARKS SPENCER ESPAÑA SA

 

MADRID

 

 

 

INDUSTRIAS Y CONFECCIONES SA

 

MADRID

 

 

HAS IN ITS ADMINISTRATION BOARD TO

 

CARTERA MANCOR SL

 

NAVARRA

 

 

 

CORPORACION CESLAR SL

 

NAVARRA

 

 

 

CONSTRUCCIONES EDISAN SA

 

MADRID

 

 

BELONGS TO THE ADMINISTRATION BOARD OF

 

EUROFORUM ESCORIAL SA

 

MADRID

 

 

 

FUTURA INTERNATIONAL AIRWAYS SA

 

BALEARES

 

 

 

FABRICA ESPAÑOLA DE CONFECCIONES S.A. INDUSTRIAS Y CONFECCIONES S.A. ITURRI S.A. SAGRES SL EL CORTE INGLES S.A. INDUSTRIAS DEL VESTIDO S.A. INYECTADOS Y VULCANIZADOS S.A. MORALEDA CACHO Y CIA SRC TECN

 

MADRID

 

 

 

FABRICA ESPAÑOLA DE CONFECCIONES SA INDUSTRIAS Y CONFECCIONES SA LORCA INDUSTRIAL SA ITURRI SA INDUSTRIAS DEL VESTIDO SAU MORALEDA CACHO Y CIA SRC CERLIPS SA TEXTULAN SA TEXTIL COMERCIAL BEJAR SA CALZ

 

MADRID

 

 

 

 

 

Turnover

 

 

Total Sales 2014

 

9.452.013.000

 

 

 

 

Estimated Balance

 

 

The last deposit accounts listed in the commercial register corresponds to the end of the accounting year 2.014, while not knowing the exact date of closing. Given the above, this time we can not include in this section estimated figures which are commonly used in this type of practice.

 

 

 

 

Financial Accounts and Balance Sheets

 

 

 

 

Financial Years Presented

 

Ejercicio

 

Tipo de Cuentas Anuales

 

Fecha Presentacion

 

2014

 

Consolidadas

 

December  2014

 

2014

 

Normales

 

October  2014

 

2013

 

Consolidadas

 

November  2013

 

2013

 

Normales

 

November  2013

 

2012

 

Consolidadas

 

January  2013

 

2012

 

Normales

 

November  2012

 

2011

 

Consolidadas

 

January  2012

 

2011

 

Normales

 

January  2012

 

2010

 

Consolidadas

 

November  2010

 

2010

 

Normales

 

November  2010

 

2009

 

Consolidadas

 

October  2009

 

2009

 

Normales

 

October  2009

 

2008

 

Consolidadas

 

November  2008

 

2008

 

Normales

 

October  2008

 

2007

 

Consolidadas

 

December  2007

 

2007

 

Normales

 

November  2007

 

2006

 

Consolidadas

 

November  2006

 

2006

 

Normales

 

November  2006

 

2005

 

Consolidadas

 

January  2006

 

2005

 

Normales

 

January  2006

 

2004

 

Consolidadas

 

November  2004

 

2004

 

Normales

 

November  2004

 

2003

 

Consolidadas

 

December  2003

 

2003

 

Normales

 

December  2003

 

2002

 

Consolidadas

 

December  2002

 

2002

 

Normales

 

No publicado en BORME

 

2001

 

Consolidadas

 

December  2001

 

2001

 

Normales

 

December  2001

 

2001

 

Normales

 

December  2002

 

2000

 

Consolidadas

 

November  2000

 

2000

 

Normales

 

November  2000

 

1999

 

Consolidadas

 

October  1999

 

1999

 

Normales

 

November  1999

 

1998

 

Consolidadas

 

October  1998

 

1998

 

Normales

 

October  1998

 

1997

 

Consolidadas

 

October  1997

 

1997

 

Normales

 

October  1997

 

1996

 

Consolidadas

 

November  1996

 

1996

 

Normales

 

November  1996

 

1994

 

Consolidadas

 

October  1995

 

1994

 

Normales

 

October  1995

 

1993

 

Consolidadas

 

October  1994

 

1993

 

Normales

 

October  1994

 

1992

 

Consolidadas

 

December  1993

 

1992

 

Normales

 

December  1993

 

1990

 

Normales

 

December  1991

 

1989

 

Normales

 

November  1990

 

1989

 

Normales

 

November  1990

 

 

The data in the report regarding the last Company Accounts submitted by the company is taken from the TRADE REGISTER serving the region in which the company's address is located 28/02/2014

 

>  Balance en formato Normal de acuerdo al Nuevo Plan General Contable 2007

 

Information corresponding to the fiscal year 2014 2013 2012 2011 2010  is taken from information submitted to the TRADE REGISTER. Data corresponding to fiscal years before 2014 2013 2012 2011 2010  has been compiled based on the equivalence criteria stipulated in Act JUS/206/2009. Where the provisions of the Act did not establish relevant equivalence criteria, axesor created such criteria using its own methodology. To view details on the methodology.

 

 

 

 

ORIGINAL

 

ORIGINAL

 

ORIGINAL

 

ORIGINAL

 

ORIGINAL

 

 

Assets

 

2014

 

2013

 

2012

 

2011

 

2010

 

 

A) NON-CURRENT ASSETS: 11000

 

10.506.039.000,00

 

10.714.232.000,00

 

10.484.923.000,00

 

9.961.668.000,00

 

9.969.157.000,00

 

 

      I. Intangible fixed assets : 11100

 

364.369.000,00

 

349.979.000,00

 

312.422.000,00

 

313.240.000,00

 

322.672.000,00

 

 

            1. Development: 11110

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            2. Concessions: 11120

 

59.684.000,00

 

61.886.000,00

 

64.346.000,00

 

67.425.000,00

 

70.470.000,00

 

 

            3. Patents, licencing, trade marks and similar: 11130

 

29.916.000,00

 

33.242.000,00

 

5.988.000,00

 

6.107.000,00

 

6.622.000,00

 

 

            4. Goodwill: 11140

 

10.688.000,00

 

10.688.000,00

 

10.688.000,00

 

10.688.000,00

 

10.688.000,00

 

 

            5. IT applications: 11150

 

263.959.000,00

 

243.967.000,00

 

231.075.000,00

 

228.391.000,00

 

234.047.000,00

 

 

            6. Investigation: 11160

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            7. Intellectual property: 11180

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            8. Greenhouse gas emission allowance: 11190

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            9. Other intangible fixed assets. : 11170

 

122.000,00

 

196.000,00

 

325.000,00

 

629.000,00

 

845.000,00

 

 

      II. Tangible fixed assets : 11200

 

6.429.108.000,00

 

6.664.496.000,00

 

6.552.475.000,00

 

6.463.130.000,00

 

6.313.708.000,00

 

 

            1. Land and buildings: 11210

 

4.158.464.000,00

 

4.250.117.000,00

 

4.062.078.000,00

 

3.926.140.000,00

 

3.691.108.000,00

 

 

            2. Technical installations and other tangible fixed assets: 11220

 

2.162.831.000,00

 

2.335.401.000,00

 

2.360.730.000,00

 

2.427.384.000,00

 

2.458.823.000,00

 

 

            3. Tangible asset in progress and advances: 11230

 

107.813.000,00

 

78.978.000,00

 

129.667.000,00

 

109.606.000,00

 

163.777.000,00

 

 

      III. Real estate investment: 11300

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            1. Land: 11310

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            2. Buildings: 11320

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      IV. Long-term investments in Group companies and associates : 11400

 

2.838.282.000,00

 

3.152.718.000,00

 

3.199.401.000,00

 

2.959.033.000,00

 

3.111.507.000,00

 

 

            1. Equity instruments: 11410

 

2.605.748.000,00

 

2.917.858.000,00

 

3.006.899.000,00

 

2.945.582.000,00

 

3.103.259.000,00

 

 

            2. Credits to businesses: 11420

 

228.025.000,00

 

230.375.000,00

 

188.451.000,00

 

10.000.000,00

 

5.000.000,00

 

 

            3. Debt securities: 11430

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            4. Derivatives : 11440

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            5. Other financial assets : 11450

 

4.509.000,00

 

4.485.000,00

 

4.051.000,00

 

3.451.000,00

 

3.248.000,00

 

 

            6. Other investments: 11460

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      V. Long-term financial investments: 11500

 

54.775.000,00

 

166.549.000,00

 

164.144.000,00

 

187.868.000,00

 

167.785.000,00

 

 

            1. Equity instruments: 11510

 

7.774.000,00

 

101.089.000,00

 

73.245.000,00

 

94.940.000,00

 

79.199.000,00

 

 

            2. Credits to third parties : 11520

 

36.575.000,00

 

55.765.000,00

 

81.661.000,00

 

83.364.000,00

 

77.132.000,00

 

 

            3. Debt securities: 11530

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            4. Derivatives : 11540

 

0,00

 

0,00

 

0,00

 

1.282.000,00

 

3.340.000,00

 

 

            5. Other financial assets : 11550

 

10.426.000,00

 

9.695.000,00

 

9.238.000,00

 

8.282.000,00

 

8.114.000,00

 

 

            6. Other investments: 11560

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      VI. Assets for deferred tax : 11600

 

819.505.000,00

 

380.490.000,00

 

256.481.000,00

 

38.397.000,00

 

53.485.000,00

 

 

      VII. Non-current trade debts : 11700

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

B) CURRENT ASSETS: 12000

 

2.456.382.000,00

 

2.880.935.000,00

 

2.640.212.000,00

 

2.880.541.000,00

 

2.596.145.000,00

 

 

      I. Non-current assets held for sale : 12100

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      II. Stocks: 12200

 

1.200.686.000,00

 

1.774.623.000,00

 

1.685.222.000,00

 

1.810.475.000,00

 

1.686.973.000,00

 

 

            1. Commercial: 12210

 

1.186.784.000,00

 

1.764.336.000,00

 

1.675.628.000,00

 

1.799.913.000,00

 

1.677.515.000,00

 

 

            2. Primary material and other supplies: 12220

 

13.902.000,00

 

10.287.000,00

 

9.594.000,00

 

10.562.000,00

 

9.458.000,00

 

 

            3. Work in progress: 12230

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

                  a) Of long-term production cycle : 12231

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

                  b) Of short-term production cycle : 12232

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            4. Finished goods: 12240

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

                  a) Of long-term production cycle : 12241

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

                  b) Of short-term production cycle : 12242

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            5. By-products, residues and recycled materials: 12250

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            6. Advances to suppliers: 12260

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      III. Trade debtors and others receivable accounts: 12300

 

1.188.531.000,00

 

934.220.000,00

 

864.963.000,00

 

989.810.000,00

 

702.549.000,00

 

 

            1. Trade debtors / accounts receivable: 12310

 

103.842.000,00

 

111.515.000,00

 

155.184.000,00

 

146.578.000,00

 

148.419.000,00

 

 

                  a) Long-term receivables from sales and services supplied : 12311

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

                  b) Customers for sales and provisions of services : 12312

 

103.842.000,00

 

111.515.000,00

 

155.184.000,00

 

146.578.000,00

 

0,00

 

 

            2. Customers, Group companies and associates : 12320

 

902.311.000,00

 

549.985.000,00

 

537.072.000,00

 

665.385.000,00

 

391.849.000,00

 

 

            3. Other accounts receivable: 12330

 

173.755.000,00

 

266.280.000,00

 

164.427.000,00

 

166.811.000,00

 

145.721.000,00

 

 

            4. Personnel: 12340

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            5. Assets for deferred tax: 12350

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            6. Other debtors, including tax and social security: 12360

 

8.623.000,00

 

6.440.000,00

 

8.280.000,00

 

11.036.000,00

 

16.560.000,00

 

 

            7. Called up share capital: 12370

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      IV. Short-term investments in Group companies and associates: 12400

 

2.606.000,00

 

43.000,00

 

6.016.000,00

 

13.000,00

 

10.000,00

 

 

            1. Equity instruments: 12410

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            2. Credits to businesses: 12420

 

2.606.000,00

 

43.000,00

 

6.016.000,00

 

13.000,00

 

10.000,00

 

 

            3. Debt securities: 12430

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            4. Derivatives : 12440

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            5. Other financial assets : 12450

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            6. Other investments: 12460

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      V. Short-term financial investments : 12500

 

2.260.000,00

 

102.711.000,00

 

11.199.000,00

 

5.662.000,00

 

58.754.000,00

 

 

            1. Equity instruments: 12510

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            2. Credits to businesses: 12520

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            3. Debt securities: 12530

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            4. Derivatives : 12540

 

0,00

 

1.783.000,00

 

10.750.000,00

 

0,00

 

13.211.000,00

 

 

            5. Other financial assets : 12550

 

2.260.000,00

 

100.928.000,00

 

449.000,00

 

5.662.000,00

 

45.543.000,00

 

 

            6. Other investments: 12560

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      VI. Short-term accruals: 12600

 

14.242.000,00

 

16.136.000,00

 

14.246.000,00

 

16.505.000,00

 

17.430.000,00

 

 

      VII. Cash and other equivalent liquid assets : 12700

 

48.057.000,00

 

53.202.000,00

 

58.566.000,00

 

58.076.000,00

 

130.429.000,00

 

 

            1. Treasury: 12710

 

48.057.000,00

 

53.202.000,00

 

58.566.000,00

 

58.076.000,00

 

130.429.000,00

 

 

            2. Other equivalent liquid assets: 12720

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

TOTAL ASSETS (A + B) : 10000

 

12.962.421.000,00

 

13.595.167.000,00

 

13.125.135.000,00

 

12.842.209.000,00

 

12.565.302.000,00

 

 

 

 

 

 

ORIGINAL

 

ORIGINAL

 

ORIGINAL

 

ORIGINAL

 

ORIGINAL

 

 

Liabilities and Net Worth

 

2014

 

2013

 

2012

 

2011

 

2010

 

 

A) NET WORTH: 20000

 

5.142.942.000,00

 

5.521.401.000,00

 

5.447.080.000,00

 

5.835.779.000,00

 

5.542.303.000,00

 

 

      A-1) Shareholders' equity: 21000

 

5.195.976.000,00

 

5.534.735.000,00

 

5.481.328.000,00

 

5.868.854.000,00

 

5.568.476.000,00

 

 

      I. Capital: 21100

 

486.864.000,00

 

486.864.000,00

 

486.864.000,00

 

486.864.000,00

 

486.864.000,00

 

 

            1. Registered capital : 21110

 

486.864.000,00

 

486.864.000,00

 

486.864.000,00

 

486.864.000,00

 

486.864.000,00

 

 

            2. (Uncalled capital): 21120

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      II. Share premium: 21200

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      III. Reserves: 21300

 

4.908.118.000,00

 

5.202.282.000,00

 

5.014.300.000,00

 

5.290.134.000,00

 

4.962.010.000,00

 

 

            1. Legal y estatutarias: 21310

 

97.373.000,00

 

97.373.000,00

 

97.373.000,00

 

97.373.000,00

 

97.373.000,00

 

 

            2. Other reserves: 21320

 

4.810.745.000,00

 

5.104.909.000,00

 

4.916.927.000,00

 

5.192.761.000,00

 

4.864.637.000,00

 

 

            3. Revaluation reserves: 21330

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      IV. (Common stock equity): 21400

 

-465.525.000,00

 

-415.105.000,00

 

-315.679.000,00

 

-283.161.000,00

 

-247.471.000,00

 

 

      V. Results from previous periods: 21500

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            1. Brought forward: 21510

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            2. (Negative results from previous periods): 21520

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      VI. Other shareholders' contributions: 21600

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      VII. Result of the period: 21700

 

266.519.000,00

 

260.694.000,00

 

295.843.000,00

 

375.017.000,00

 

367.073.000,00

 

 

      VIII. (Interim dividend): 21800

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      IX. Other net worth instruments: 21900

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      A-2) Adjustments due to changes in value: 22000

 

-53.034.000,00

 

-13.334.000,00

 

-34.248.000,00

 

-33.075.000,00

 

-26.173.000,00

 

 

      I. Financial assets held for sale: 22100

 

62.000,00

 

1.574.000,00

 

-17.201.000,00

 

-15.564.000,00

 

-13.239.000,00

 

 

      II. Hedge operations: 22200

 

-53.096.000,00

 

-14.908.000,00

 

-17.047.000,00

 

-17.511.000,00

 

-12.934.000,00

 

 

      III. Linked non-current assets and liabilities held for sale : 22300

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      IV. Exchange rate difference: 22400

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      V. Other: 22500

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      A-3) Received subsidies, donations and legacies: 23000

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

B) NON-CURRENT LIABILITIES: 31000

 

5.183.628.000,00

 

3.565.310.000,00

 

3.063.591.000,00

 

2.863.558.000,00

 

3.090.268.000,00

 

 

      I. Long-term provisions: 31100

 

111.373.000,00

 

127.879.000,00

 

66.798.000,00

 

7.638.000,00

 

7.500.000,00

 

 

            1. Long-term employee benefits liability: 31110

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            2. Environmental actions: 31120

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            3. Restructuring provisions: 31130

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            4. Other provisions: 31140

 

111.373.000,00

 

127.879.000,00

 

66.798.000,00

 

7.638.000,00

 

7.500.000,00

 

 

      II Long-term creditors: 31200

 

4.815.580.000,00

 

3.207.073.000,00

 

2.861.175.000,00

 

2.817.227.000,00

 

3.046.238.000,00

 

 

            1. Liabilities and other securities: 31210

 

1.402.076.000,00

 

1.437.086.000,00

 

1.416.450.000,00

 

1.344.287.000,00

 

1.186.529.000,00

 

 

            2. Amounts owed to credit institutions: 31220

 

3.288.265.000,00

 

1.671.829.000,00

 

1.323.742.000,00

 

1.322.380.000,00

 

1.677.811.000,00

 

 

            3. Creditors from financial leasing: 31230

 

40.106.000,00

 

55.857.000,00

 

65.665.000,00

 

28.258.000,00

 

44.130.000,00

 

 

            4. Derivatives : 31240

 

84.814.000,00

 

28.683.000,00

 

31.261.000,00

 

23.583.000,00

 

41.021.000,00

 

 

            5. Other financial liabilities : 31250

 

319.000,00

 

13.618.000,00

 

24.057.000,00

 

98.719.000,00

 

96.747.000,00

 

 

      III. Long-term debts with Group companies and associates: 31300

 

158.499.000,00

 

175.353.000,00

 

95.405.000,00

 

793.000,00

 

833.000,00

 

 

      IV. Liabilities for deferred tax: 31400

 

48.183.000,00

 

54.898.000,00

 

40.076.000,00

 

37.900.000,00

 

35.697.000,00

 

 

      V. Long-term accruals: 31500

 

260.000,00

 

107.000,00

 

137.000,00

 

0,00

 

0,00

 

 

      VI. Non-current trade creditors : 31600

 

49.733.000,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      VII. Special long-term debts : 31700

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

C) CURRENT LIABILITIES : 32000

 

2.635.851.000,00

 

4.508.456.000,00

 

4.614.464.000,00

 

4.142.872.000,00

 

3.932.731.000,00

 

 

      I. Liabilities linked to non-current assets held for sale: 32100

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      II. Short-term provisions: 32200

 

0,00

 

0,00

 

0,00

 

0,00

 

2.351.000,00

 

 

            1. Provisions from greenhouse gas emission allowance: 32210

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            2. Other provisions: 32220

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      III. Short-term creditors : 32300

 

119.699.000,00

 

2.147.712.000,00

 

2.036.158.000,00

 

1.538.759.000,00

 

1.296.177.000,00

 

 

            1. Liabilities and other securities: 32310

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            2. Amounts owed to credit institutions: 32320

 

1.623.000,00

 

2.016.017.000,00

 

1.920.532.000,00

 

1.274.134.000,00

 

893.277.000,00

 

 

            3. Creditors from financial leasing: 32330

 

15.751.000,00

 

9.808.000,00

 

9.406.000,00

 

15.873.000,00

 

8.948.000,00

 

 

            4. Derivatives : 32340

 

6.683.000,00

 

2.166.000,00

 

1.915.000,00

 

8.498.000,00

 

16.000,00

 

 

            5. Other financial liabilities : 32350

 

95.642.000,00

 

119.721.000,00

 

104.305.000,00

 

240.254.000,00

 

393.936.000,00

 

 

      IV. Short-term debts with Group companies and associates: 32400

 

283.533.000,00

 

241.821.000,00

 

230.940.000,00

 

343.977.000,00

 

453.564.000,00

 

 

      V. Trade creditors and other accounts payable: 32500

 

2.229.537.000,00

 

2.115.087.000,00

 

2.345.087.000,00

 

2.257.399.000,00

 

2.179.789.000,00

 

 

            1. Suppliers: 32510

 

1.490.032.000,00

 

1.495.615.000,00

 

1.550.785.000,00

 

1.681.162.000,00

 

1.710.499.000,00

 

 

                  a) Long-term debts : 32511

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

                  b) Short-term debts : 32512

 

1.490.032.000,00

 

1.495.615.000,00

 

1.550.785.000,00

 

1.681.162.000,00

 

0,00

 

 

            2. Suppliers, Group companies and associates: 32520

 

77.027.000,00

 

43.055.000,00

 

35.537.000,00

 

39.801.000,00

 

19.212.000,00

 

 

            3. Other creditors: 32530

 

101.886.000,00

 

25.054.000,00

 

24.997.000,00

 

21.527.000,00

 

39.308.000,00

 

 

            4. Personnel (remuneration due): 32540

 

346.624.000,00

 

341.717.000,00

 

475.427.000,00

 

294.040.000,00

 

310.464.000,00

 

 

            5. Liabilities for current tax: 32550

 

0,00

 

0,00

 

0,00

 

32.149.000,00

 

20.580.000,00

 

 

            6. Other accounts payable to Public Administrations.: 32560

 

90.022.000,00

 

88.860.000,00

 

131.119.000,00

 

69.162.000,00

 

68.635.000,00

 

 

            7. Advances from clients: 32570

 

123.946.000,00

 

120.786.000,00

 

127.222.000,00

 

119.558.000,00

 

11.091.000,00

 

 

      VI. Short-term accruals: 32600

 

3.082.000,00

 

3.836.000,00

 

2.279.000,00

 

2.737.000,00

 

850.000,00

 

 

      VII. Special short-term debts : 32700

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

TOTAL NET WORTH AND LIABILITIES (A + B + C) : 30000

 

12.962.421.000,00

 

13.595.167.000,00

 

13.125.135.000,00

 

12.842.209.000,00

 

12.565.302.000,00

 

 

 

 

 

 

ORIGINAL

 

ORIGINAL

 

ORIGINAL

 

ORIGINAL

 

ORIGINAL

 

 

Profit and Loss

 

2014

 

2013

 

2012

 

2011

 

2010

 

 

1. Net turnover: 40100

 

9.452.013.000,00

 

9.555.016.000,00

 

10.464.026.000,00

 

11.050.024.000,00

 

11.201.939.000,00

 

 

      a) Sales: 40110

 

7.708.558.000,00

 

9.214.928.000,00

 

10.111.913.000,00

 

10.711.788.000,00

 

10.836.674.000,00

 

 

      b) Rendering of services: 40120

 

334.131.000,00

 

340.088.000,00

 

352.113.000,00

 

338.236.000,00

 

365.265.000,00

 

 

      c) Income of financial nature of holding companies: 40130

 

1.409.324.000,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

2. Changes in stocks of finished goods and work in progress: 40200

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

3. Works carried out by the company for its assets: 40300

 

111.199.000,00

 

124.253.000,00

 

122.619.000,00

 

125.496.000,00

 

129.391.000,00

 

 

4. Supplies : 40400

 

-6.731.727.000,00

 

-6.822.167.000,00

 

-7.501.052.000,00

 

-7.937.548.000,00

 

-8.106.169.000,00

 

 

      a) Stock consumption: 40410

 

-6.650.988.000,00

 

-6.947.655.000,00

 

-7.527.193.000,00

 

-7.892.477.000,00

 

-8.052.622.000,00

 

 

      b) Consumption of raw materials and miscellaneous consumable ones: 40420

 

-52.669.000,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      c) Works carried out by other companies: 40430

 

-28.070.000,00

 

-29.067.000,00

 

-36.859.000,00

 

-44.596.000,00

 

-49.255.000,00

 

 

      d) Impairment of stock, primary material and other supplies: 40440

 

0,00

 

154.555.000,00

 

63.000.000,00

 

-475.000,00

 

-4.292.000,00

 

 

5. Other operating income: 40500

 

331.982.000,00

 

416.327.000,00

 

391.464.000,00

 

396.021.000,00

 

385.887.000,00

 

 

      a) Auxiliary income and other from current management: 40510

 

326.994.000,00

 

411.373.000,00

 

385.283.000,00

 

390.702.000,00

 

378.835.000,00

 

 

      b) Operation subsidies included in the Period's result: 40520

 

4.988.000,00

 

4.954.000,00

 

6.181.000,00

 

5.319.000,00

 

7.052.000,00

 

 

6. Personnel costs: 40600

 

-1.765.125.000,00

 

-1.709.943.000,00

 

-1.801.448.000,00

 

-1.867.594.000,00

 

-1.821.254.000,00

 

 

      a) Wages, salaries et al.: 40610

 

-1.370.567.000,00

 

-1.310.341.000,00

 

-1.402.400.000,00

 

-1.463.238.000,00

 

-1.419.853.000,00

 

 

      b) Social security costs: 40620

 

-394.558.000,00

 

-399.602.000,00

 

-399.048.000,00

 

-404.356.000,00

 

-401.401.000,00

 

 

      c) Provisions : 40630

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

7. Other operating costs: 40700

 

-1.017.873.000,00

 

-1.080.528.000,00

 

-1.127.992.000,00

 

-1.098.399.000,00

 

-1.080.455.000,00

 

 

      a) External services: 40710

 

-875.467.000,00

 

-912.175.000,00

 

-956.403.000,00

 

-936.161.000,00

 

-917.616.000,00

 

 

      b) Taxes: 40720

 

-78.321.000,00

 

-74.835.000,00

 

-60.591.000,00

 

-56.362.000,00

 

-52.609.000,00

 

 

      c) Losses, impairments and variation in provisions from trade operations : 40730

 

13.094.000,00

 

-2.120.000,00

 

-1.632.000,00

 

2.652.000,00

 

-6.373.000,00

 

 

      d) Other current management expenditure : 40740

 

-77.179.000,00

 

-91.398.000,00

 

-109.366.000,00

 

-108.528.000,00

 

-103.857.000,00

 

 

      e) Expenses due to greenhouse gas emissions: 40750

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

8. Amortisation of fixed assets: 40800

 

-376.196.000,00

 

-330.968.000,00

 

-326.888.000,00

 

-363.406.000,00

 

-346.446.000,00

 

 

9. Allocation of subsidies of non-financial fixed assets and other: 40900

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

10. Excess provisions : 41000

 

-160.805.000,00

 

230.321.000,00

 

5.682.000,00

 

23.000,00

 

95.000,00

 

 

11. Impairment and result of transfers of fixed assets: 41100

 

0,00

 

-113.496.000,00

 

-5.565.000,00

 

347.000,00

 

1.911.000,00

 

 

      a) Impairment and losses : 41110

 

0,00

 

-698.000,00

 

-5.659.000,00

 

0,00

 

0,00

 

 

      b) Results for transfers and other : 41120

 

0,00

 

-112.798.000,00

 

94.000,00

 

347.000,00

 

1.911.000,00

 

 

      c) Impairment and profit due to disposals of assets of holding companies: 41130

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

12. Negative difference in combined businesses: 41200

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

13. Other results : 41300

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

A.1) OPERATING INCOME (1 + 2 + 3 + 4 + 5 + 6 + 7 + 8 + 9 + 10 + 11 + 12 + 13) : 49100

 

-156.532.000,00

 

268.815.000,00

 

220.846.000,00

 

304.964.000,00

 

364.899.000,00

 

 

14. Financial income : 41400

 

693.896.000,00

 

311.290.000,00

 

316.088.000,00

 

421.897.000,00

 

307.551.000,00

 

 

      a) Of shares in equity instruments : 41410

 

686.022.000,00

 

308.590.000,00

 

312.435.000,00

 

414.739.000,00

 

304.522.000,00

 

 

            a 1) In Group companies and associates: 41411

 

683.459.000,00

 

308.537.000,00

 

312.382.000,00

 

414.673.000,00

 

304.481.000,00

 

 

            a 2) In third parties: 41412

 

2.563.000,00

 

53.000,00

 

53.000,00

 

66.000,00

 

41.000,00

 

 

      b) From negotiable securities and other financial instruments : 41420

 

7.874.000,00

 

2.700.000,00

 

3.653.000,00

 

7.158.000,00

 

3.029.000,00

 

 

            b 1) From Group companies and associates : 41421

 

5.375.000,00

 

566.000,00

 

880.000,00

 

1.015.000,00

 

745.000,00

 

 

            b 2) From third parties : 41422

 

2.499.000,00

 

2.134.000,00

 

2.773.000,00

 

6.143.000,00

 

2.284.000,00

 

 

      c) Allocation of financial subsidies, donations and legacies : 41430

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

15. Financial expenditure: 41500

 

-304.909.000,00

 

-247.634.000,00

 

-215.788.000,00

 

-182.267.000,00

 

-173.618.000,00

 

 

      a) Amounts owed to Group companies and associates : 41510

 

-13.177.000,00

 

-11.275.000,00

 

-13.193.000,00

 

-17.670.000,00

 

-21.702.000,00

 

 

      b) For debts with third parties : 41520

 

-291.732.000,00

 

-236.359.000,00

 

-202.595.000,00

 

-164.597.000,00

 

-151.916.000,00

 

 

      c) Stock renewal : 41530

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

16. Changes in fair value of financial instruments : 41600

 

10.885.000,00

 

-948.000,00

 

-345.000,00

 

19.888.000,00

 

-10.424.000,00

 

 

      a) Trading book and other : 41610

 

-4.891.000,00

 

-768.000,00

 

-345.000,00

 

1.317.000,00

 

-10.424.000,00

 

 

      b) Allocation of financial assets held for sale to the result for the period: 41620

 

15.776.000,00

 

-180.000,00

 

0,00

 

18.571.000,00

 

0,00

 

 

17. Exchange rate differences : 41700

 

1.406.000,00

 

947.000,00

 

316.000,00

 

2.090.000,00

 

1.176.000,00

 

 

18. Impairment and result for transfers of financial instruments: 41800

 

-200.927.000,00

 

-101.823.000,00

 

-87.573.000,00

 

-155.219.000,00

 

-101.553.000,00

 

 

      a) Impairment and losses : 41810

 

-257.648.000,00

 

-101.864.000,00

 

-87.614.000,00

 

-156.855.000,00

 

-101.553.000,00

 

 

      b) Results for transfers and other : 41820

 

56.721.000,00

 

41.000,00

 

41.000,00

 

1.636.000,00

 

0,00

 

 

19. Other financial income and expenditure: 42100

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      a) Incorporation of financial expenditure to assets: 42110

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      b) Financial income from arrangement with creditors: 42120

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      c) Other income and expenditure: 42130

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

A.2) FINANCIAL REVENUE (14+15+16+17+18+19) : 49200

 

200.351.000,00

 

-38.168.000,00

 

12.698.000,00

 

106.389.000,00

 

23.132.000,00

 

 

A.3) NET RESULT BEFORE TAXES (A.1+A.2) : 49300

 

43.819.000,00

 

230.647.000,00

 

233.544.000,00

 

411.353.000,00

 

388.031.000,00

 

 

20. Income taxes: 41900

 

222.700.000,00

 

30.047.000,00

 

62.299.000,00

 

-36.336.000,00

 

-20.958.000,00

 

 

A.4) PROFIT AFTER TAXES (A.3+20) : 49400

 

266.519.000,00

 

260.694.000,00

 

295.843.000,00

 

375.017.000,00

 

367.073.000,00

 

 

21. Result of the year coming from interrupted operations : 42000

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

A.5) RESULT OF THE PERIOD (A.4+21) : 49500

 

266.519.000,00

 

260.694.000,00

 

295.843.000,00

 

375.017.000,00

 

367.073.000,00

 

 

 

> Normal Balance Sheet under the rules of the 1990 General Accounting Plan (repealed since 1st January of 2008)

 

Information corresponding to the fiscal year 2014 2013 2012 2011 2010  has been compiled based on the equivalence criteria stipulated in Act JUS/206/2009. Where the provisions of the Act did not establish relevant equivalence criteria, Axesor created such criteria using its own methodology. To view details on the methodology 2014 2013 2012 2011 2010  is taken from information submitted to the TRADE REGISTER.

 

 

 

 

EQUIVALENCIA

 

EQUIVALENCIA

 

EQUIVALENCIA

 

EQUIVALENCIA

 

EQUIVALENCIA

 

 

ASSETS

 

2014

 

2013

 

2012

 

2011

 

2010

 

 

A) SHAREHOLDERS (PARTNERS) BY UNCALLED SUSCRIBED CAPITAL: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

B) FIXED ASSETS: 

 

9.686.534.000,00

 

10.333.742.000,00

 

10.228.442.000,00

 

9.921.989.000,00

 

9.912.332.000,00

 

 

      I. Formation expenses: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      II. Intangible fixed assets: 

 

364.369.000,00

 

349.979.000,00

 

312.422.000,00

 

313.240.000,00

 

322.672.000,00

 

 

            1. Research and development costs: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            2. Concessions, patents, licences, trademarks et al.: 

 

89.600.000,00

 

95.128.000,00

 

70.334.000,00

 

73.532.000,00

 

77.092.000,00

 

 

            3. Goodwill: 

 

10.688.000,00

 

10.688.000,00

 

10.688.000,00

 

10.688.000,00

 

10.688.000,00

 

 

            4. Key money paid for premises: 

 

122.000,00

 

196.000,00

 

325.000,00

 

629.000,00

 

845.000,00

 

 

            5. Software: 

 

263.959.000,00

 

243.967.000,00

 

231.075.000,00

 

228.391.000,00

 

234.047.000,00

 

 

            6. Assets under capital leases: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            7. Payments on account: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            8. Provisions: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            9. Accumulated depreciation: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      III. Tangible fixed assets: 

 

6.429.108.000,00

 

6.664.496.000,00

 

6.552.475.000,00

 

6.463.130.000,00

 

6.313.708.000,00

 

 

            1. Land and construction: 

 

4.158.464.000,00

 

4.250.117.000,00

 

4.062.078.000,00

 

3.926.140.000,00

 

3.691.108.000,00

 

 

            2. Technical installations and machinery: 

 

154.250.329,00

 

166.557.800,00

 

168.364.232,00

 

173.117.910,00

 

175.360.099,00

 

 

            3. Other installations, tools and furniture: 

 

1.800.448.337,00

 

1.944.104.207,00

 

1.965.189.330,00

 

2.020.675.442,00

 

2.046.846.833,00

 

 

            4. Payments on account and tangible fixed assets under construction: 

 

107.813.000,00

 

78.978.000,00

 

129.667.000,00

 

109.606.000,00

 

163.777.000,00

 

 

            5. Other tangible assets: 

 

208.132.334,00

 

224.738.993,00

 

227.176.439,00

 

233.590.649,00

 

236.616.069,00

 

 

            6. Provisions: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            7. Accumulated depreciation: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      IV. Financial investments: 

 

2.893.057.000,00

 

3.319.267.000,00

 

3.363.545.000,00

 

3.145.619.000,00

 

3.275.952.000,00

 

 

            1. Equity investments in group companies: 

 

2.584.666.273,00

 

2.894.251.157,00

 

2.982.571.773,00

 

2.921.750.857,00

 

3.078.152.176,00

 

 

            2. Receivables from group companies: 

 

217.537.012,00

 

219.778.924,00

 

179.783.214,00

 

9.540.051,00

 

4.770.025,00

 

 

            3. Equity investment in associated companies: 

 

21.081.727,00

 

23.606.843,00

 

24.327.227,00

 

23.831.143,00

 

25.106.824,00

 

 

            4. Credits to associated companies: 

 

10.487.988,00

 

10.596.076,00

 

8.667.786,00

 

459.949,00

 

229.975,00

 

 

            5. Long-term securities portfolio: 

 

7.774.000,00

 

101.089.000,00

 

73.245.000,00

 

94.940.000,00

 

79.199.000,00

 

 

            6. Other receivables: 

 

36.575.000,00

 

55.765.000,00

 

81.661.000,00

 

83.364.000,00

 

77.132.000,00

 

 

            7. Long term guarantees and deposits: 

 

14.935.000,00

 

14.180.000,00

 

13.289.000,00

 

11.733.000,00

 

11.362.000,00

 

 

            8. Provisions: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            9. Long-term receivables from public bodies: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      V. Own shares: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      VI. Long-term trade receivables: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

C) Deferred expenses: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

D) CURRENT ASSETS: 

 

3.741.412.000,00

 

3.674.747.000,00

 

3.201.622.000,00

 

3.202.099.000,00

 

2.883.890.000,00

 

 

      I. Called-up share capital (not paid): 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      II. Stocks: 

 

1.200.686.000,00

 

1.774.623.000,00

 

1.685.222.000,00

 

1.810.475.000,00

 

1.686.973.000,00

 

 

            1. Goods for resale: 

 

1.186.784.000,00

 

1.764.336.000,00

 

1.675.628.000,00

 

1.799.913.000,00

 

1.677.515.000,00

 

 

            2. Raw materials and other consumables: 

 

13.902.000,00

 

10.287.000,00

 

9.594.000,00

 

10.562.000,00

 

9.458.000,00

 

 

            3. Goods in process and semifinished ones: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            4. Finished products: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            5. Byproducts, scrap and recovered materials: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            6. Payments on account: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            7. Provisions: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      III. Debtors: 

 

2.008.036.000,00

 

1.314.710.000,00

 

1.121.444.000,00

 

1.028.207.000,00

 

756.034.000,00

 

 

            1. Trade debtors / accounts receivable: 

 

103.842.000,00

 

111.515.000,00

 

155.184.000,00

 

146.578.000,00

 

148.419.000,00

 

 

            2. Accounts receivable, Group companies: 

 

875.099.863,00

 

533.399.014,00

 

520.875.434,00

 

645.318.878,00

 

380.031.947,00

 

 

            3. Accounts receivable, associated companies: 

 

27.211.137,00

 

16.585.986,00

 

16.196.566,00

 

20.066.122,00

 

11.817.053,00

 

 

            4. Other debtors: 

 

173.755.000,00

 

266.280.000,00

 

164.427.000,00

 

166.811.000,00

 

145.721.000,00

 

 

            5. Staff: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            6. Public bodies: 

 

828.128.000,00

 

386.930.000,00

 

264.761.000,00

 

49.433.000,00

 

70.045.000,00

 

 

            7. Provisions: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      IV. Short-term investments: 

 

4.866.000,00

 

100.971.000,00

 

6.465.000,00

 

5.675.000,00

 

45.553.000,00

 

 

            1. Equity investments in group companies: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            2. Receivables from group companies: 

 

2.606.000,00

 

43.000,00

 

6.016.000,00

 

13.000,00

 

10.000,00

 

 

            3. Equity investment in associated companies: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            4. Credits to associated companies: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            5. Short term securities portfolio: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            6. Other receivables: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            7. Shor term guarantees and deposits: 

 

2.260.000,00

 

100.928.000,00

 

449.000,00

 

5.662.000,00

 

45.543.000,00

 

 

            8. Provisions: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      V. Short-term treasury shares: 

 

465.525.000,00

 

415.105.000,00

 

315.679.000,00

 

283.161.000,00

 

247.471.000,00

 

 

      VI. Cash at bank and in hand: 

 

48.057.000,00

 

53.202.000,00

 

58.566.000,00

 

58.076.000,00

 

130.429.000,00

 

 

      VII. Prepayments and accrued income: 

 

14.242.000,00

 

16.136.000,00

 

14.246.000,00

 

16.505.000,00

 

17.430.000,00

 

 

GENERAL TOTAL (A + B + C + D): 

 

13.427.946.000,00

 

14.008.489.000,00

 

13.430.064.000,00

 

13.124.088.000,00

 

12.796.222.000,00

 

 

 

MERCANTILE REGISTRY

 

 

 

 

EQUIVALENCIA

 

EQUIVALENCIA

 

EQUIVALENCIA

 

EQUIVALENCIA

 

EQUIVALENCIA

 

 

LIABILITIES

 

2014

 

2013

 

2012

 

2011

 

2010

 

 

A) EQUITY: 

 

5.699.964.000,00

 

5.965.572.000,00

 

5.785.185.000,00

 

6.149.739.000,00

 

5.814.260.000,00

 

 

      I. Subscribed capital: 

 

486.864.000,00

 

486.864.000,00

 

486.864.000,00

 

486.864.000,00

 

486.864.000,00

 

 

      II. Share premium: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      III. Revaluation reserves: 

 

171.056.315,00

 

182.075.329,00

 

174.948.977,00

 

184.682.433,00

 

172.952.585,00

 

 

      IV. Reserves: 

 

4.775.524.685,00

 

5.035.938.671,00

 

4.827.529.023,00

 

5.103.175.567,00

 

4.787.370.415,00

 

 

            1. Legal reserve: 

 

97.373.000,00

 

97.373.000,00

 

97.373.000,00

 

97.373.000,00

 

97.373.000,00

 

 

            2. Reserves for own shares: 

 

80.938.221,00

 

86.152.056,00

 

82.780.101,00

 

87.385.652,00

 

81.835.474,00

 

 

            3. Reserves for shares of the controlling company: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            4. Statutory reserves: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            5. Miscellaneous reserves: 

 

4.597.213.464,00

 

4.852.413.615,00

 

4.647.375.922,00

 

4.918.416.915,00

 

4.608.161.942,00

 

 

            Differences due to capital adjustement to euros: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      V. Profit or loss brought forward: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            1. Retained earnings: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            2. Prior year losses: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            3. Partners' contributions so as to compensate losses: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      VI. Profit or loss for the financial year: 

 

266.519.000,00

 

260.694.000,00

 

295.843.000,00

 

375.017.000,00

 

367.073.000,00

 

 

      VII. Interim dividend paid: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      VIII. Own shares for capital reduction: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

B) Deferred income: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            1. Capital grants: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            2. Unrealised exchange gains: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            3. Other deferred income: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            4. Public revenues to distribute in several financial years: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

C) PROVISIONS FOR LIABILITIES AND CHARGES: 

 

111.373.000,00

 

127.879.000,00

 

66.798.000,00

 

7.638.000,00

 

7.500.000,00

 

 

            1. Provisions for pension fund and other similar obligations: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            2. Provisions for taxes: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            3. Other provisions: 

 

111.373.000,00

 

127.879.000,00

 

66.798.000,00

 

7.638.000,00

 

7.500.000,00

 

 

            4. Reversion fund: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

D) LONG TERM LIABILITIES: 

 

4.987.181.000,00

 

3.408.641.000,00

 

2.965.395.000,00

 

2.832.337.000,00

 

3.041.747.000,00

 

 

      I. Issued debentures and other marketable securities: 

 

1.402.076.000,00

 

1.437.086.000,00

 

1.416.450.000,00

 

1.344.287.000,00

 

1.186.529.000,00

 

 

            1. Non-convertible debentures: 

 

1.402.076.000,00

 

1.437.086.000,00

 

1.416.450.000,00

 

1.344.287.000,00

 

1.186.529.000,00

 

 

            2. Convertible debentures: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            3. Other debt securities: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      II. Amounts owed to credit institutions: 

 

3.328.371.000,00

 

1.727.686.000,00

 

1.389.407.000,00

 

1.350.638.000,00

 

1.721.941.000,00

 

 

            1. Loans and other liabilities: 

 

3.288.265.000,00

 

1.671.829.000,00

 

1.323.742.000,00

 

1.322.380.000,00

 

1.677.811.000,00

 

 

            2. Long-term liabilities from capital leases: 

 

40.106.000,00

 

55.857.000,00

 

65.665.000,00

 

28.258.000,00

 

44.130.000,00

 

 

      III. Debts with companies of the group and affiliated ones: 

 

158.499.000,00

 

175.353.000,00

 

95.405.000,00

 

793.000,00

 

833.000,00

 

 

            1. Amounts owed to group companies: 

 

158.499.000,00

 

175.353.000,00

 

95.405.000,00

 

793.000,00

 

833.000,00

 

 

            2. Amounts owed to associated companies: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      IV. Other creditors: 

 

48.502.000,00

 

68.516.000,00

 

64.133.000,00

 

136.619.000,00

 

132.444.000,00

 

 

            1. Long-term bills of exchange payable: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            2. Other creditors: 

 

316.189,00

 

13.497.997,00

 

23.845.008,00

 

97.849.080,00

 

95.894.457,00

 

 

            3. Long term guarantees and deposits received: 

 

2.811,00

 

120.003,00

 

211.992,00

 

869.920,00

 

852.543,00

 

 

            4. Long term payables to public bodies: 

 

48.183.000,00

 

54.898.000,00

 

40.076.000,00

 

37.900.000,00

 

35.697.000,00

 

 

      V. Unpaid portion of equity investment: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            1. Group companies: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            2. Associated companies: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            3. Third parties: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      VI. Long term trade creditors: 

 

49.733.000,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

E) SHORT TERM CREDITORS: 

 

2.629.428.000,00

 

4.506.397.000,00

 

4.612.686.000,00

 

4.134.374.000,00

 

3.932.715.000,00

 

 

      I. Issued debentures and other marketable securities: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            1. Non-convertible debentures: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            2. Convertible debentures: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            3. Other debt securities: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            4. Accrued interest on debentures and other debt securities: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      II. Amounts owed to credit institutions: 

 

17.374.000,00

 

2.025.825.000,00

 

1.929.938.000,00

 

1.290.007.000,00

 

902.225.000,00

 

 

            1. Loans and other liabilities: 

 

1.623.000,00

 

2.016.017.000,00

 

1.920.532.000,00

 

1.274.134.000,00

 

893.277.000,00

 

 

            2. Accrued interest on liabilities with credit institutions: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            3. Short-term liabilities from capital leases: 

 

15.751.000,00

 

9.808.000,00

 

9.406.000,00

 

15.873.000,00

 

8.948.000,00

 

 

      III. Short-term amounts owed to group and associated companies: 

 

360.560.000,00

 

284.876.000,00

 

266.477.000,00

 

383.778.000,00

 

472.776.000,00

 

 

            1. Amounts owed to group companies: 

 

359.578.301,00

 

284.100.366,00

 

265.751.461,00

 

382.733.085,00

 

471.488.769,00

 

 

            2. Amounts owed to associated companies: 

 

981.699,00

 

775.634,00

 

725.539,00

 

1.044.915,00

 

1.287.231,00

 

 

      IV. Trade creditors: 

 

1.715.864.000,00

 

1.641.455.000,00

 

1.703.004.000,00

 

1.822.247.000,00

 

1.760.898.000,00

 

 

            1. Advanced payments from customers: 

 

123.946.000,00

 

120.786.000,00

 

127.222.000,00

 

119.558.000,00

 

11.091.000,00

 

 

            2. Amounts owed for purchases of goods or services: 

 

1.591.918.000,00

 

1.520.669.000,00

 

1.575.782.000,00

 

1.702.689.000,00

 

1.749.807.000,00

 

 

            3. Debts represented by notes payable: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      V. Other creditors: 

 

532.288.000,00

 

550.298.000,00

 

710.851.000,00

 

635.605.000,00

 

793.615.000,00

 

 

            1. Public bodies: 

 

90.022.000,00

 

88.860.000,00

 

131.119.000,00

 

101.311.000,00

 

89.215.000,00

 

 

            2. Bills of exchange payable: 

 

40.139.047,00

 

50.244.524,00

 

43.774.736,00

 

100.829.829,00

 

165.327.110,00

 

 

            3. Miscellaneous debts: 

 

55.502.953,00

 

69.476.476,00

 

60.530.264,00

 

139.424.171,00

 

228.608.890,00

 

 

            4. Wages and salaries payable: 

 

346.624.000,00

 

341.717.000,00

 

475.427.000,00

 

294.040.000,00

 

310.464.000,00

 

 

            5. Guarantees and deposits received at short term: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      VI. Provisions: 

 

0,00

 

0,00

 

0,00

 

0,00

 

2.351.000,00

 

 

      VII. Prepayments and accrued income: 

 

3.342.000,00

 

3.943.000,00

 

2.416.000,00

 

2.737.000,00

 

850.000,00

 

 

F) SHORT-TERM PROVISIONS FOR LIABILITIES AND CHARGES: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

GENERAL TOTAL (A + B + C + D + E + F): 

 

13.427.946.000,00

 

14.008.489.000,00

 

13.430.064.000,00

 

13.124.088.000,00

 

12.796.222.000,00

 

 

 

MERCANTILE REGISTRY

 

 

 

 

EQUIVALENCIA

 

EQUIVALENCIA

 

EQUIVALENCIA

 

EQUIVALENCIA

 

EQUIVALENCIA

 

 

DEBIT

 

2014

 

2013

 

2012

 

2011

 

2010

 

 

A) CHARGES (A.1 to A.15): 

 

10.235.669.000,00

 

10.377.501.000,00

 

11.004.487.000,00

 

11.642.405.000,00

 

11.660.877.000,00

 

 

            A.1. Stock reduction of both manufactured goods and the ones in process: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            A.2. Supplies: 

 

6.731.727.000,00

 

6.976.722.000,00

 

7.564.052.000,00

 

7.937.073.000,00

 

8.101.877.000,00

 

 

                  a) Stock consumption: 

 

6.650.988.000,00

 

6.947.655.000,00

 

7.527.193.000,00

 

7.892.477.000,00

 

8.052.622.000,00

 

 

                  b) Consumption of raw materials and miscellaneous consumable ones: 

 

52.669.000,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

                  c) Miscellaneous external expenditure: 

 

28.070.000,00

 

29.067.000,00

 

36.859.000,00

 

44.596.000,00

 

49.255.000,00

 

 

            A.3. Staff costs: 

 

1.765.125.000,00

 

1.709.943.000,00

 

1.801.448.000,00

 

1.867.594.000,00

 

1.821.254.000,00

 

 

                  a) Wages, salaries et al.: 

 

1.370.567.000,00

 

1.310.341.000,00

 

1.402.400.000,00

 

1.463.238.000,00

 

1.419.853.000,00

 

 

                  b) Social security costs: 

 

394.558.000,00

 

399.602.000,00

 

399.048.000,00

 

404.356.000,00

 

401.401.000,00

 

 

            A.4. Depreciation expense: 

 

376.196.000,00

 

330.968.000,00

 

326.888.000,00

 

363.406.000,00

 

346.446.000,00

 

 

            A.5. Variation of trade provisions and losses of unrecovered receivables: 

 

-13.094.000,00

 

-152.435.000,00

 

-61.368.000,00

 

-2.177.000,00

 

10.665.000,00

 

 

                  a) Stock provision variation: 

 

0,00

 

-154.555.000,00

 

-63.000.000,00

 

475.000,00

 

4.292.000,00

 

 

                  b) Variation in provision and bad debt losses: 

 

1.782.417,00

 

-288.584,00

 

-222.156,00

 

361.003,00

 

-867.523,00

 

 

                  c) Variation of other trade provisions: 

 

-14.876.417,00

 

2.408.584,00

 

1.854.156,00

 

-3.013.003,00

 

7.240.523,00

 

 

            A.6. Other operating charges: 

 

1.030.967.000,00

 

1.078.408.000,00

 

1.126.360.000,00

 

1.101.051.000,00

 

1.074.082.000,00

 

 

                  a) External services: 

 

875.467.000,00

 

912.175.000,00

 

956.403.000,00

 

936.161.000,00

 

917.616.000,00

 

 

                  b) Taxes: 

 

78.321.000,00

 

74.835.000,00

 

60.591.000,00

 

56.362.000,00

 

52.609.000,00

 

 

                  c) Other operating expenses: 

 

77.179.000,00

 

91.398.000,00

 

109.366.000,00

 

108.528.000,00

 

103.857.000,00

 

 

                  d) Allocation to revision fund: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      A.I. OPERATING BENEFITS (B.1+B.2+B.3+B.4-A.1-A.2-A.3-A.4-A.5-A.6): 

 

0,00

 

382.311.000,00

 

226.411.000,00

 

304.617.000,00

 

362.988.000,00

 

 

            A.7. Financial and similar charges: 

 

305.501.448,00

 

247.872.016,00

 

216.006.748,00

 

182.658.624,00

 

173.897.576,00

 

 

                  a) Due to liabilities with companies of the group: 

 

13.177.000,00

 

11.275.000,00

 

13.193.000,00

 

17.670.000,00

 

21.702.000,00

 

 

                  b) Due to liabilities with associated companies: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

                  c) Due to other debts.: 

 

291.732.000,00

 

236.359.000,00

 

202.595.000,00

 

164.597.000,00

 

151.916.000,00

 

 

                  d) Losses from financial investments: 

 

592.448,00

 

238.016,00

 

218.748,00

 

391.624,00

 

279.576,00

 

 

            A.8. Changes in financial investment provisions: 

 

47.827.927,00

 

17.249.896,00

 

14.982.240,00

 

26.204.994,00

 

18.707.447,00

 

 

            A.9. Exchange losses: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      A.II. NET FINANCIAL INCOME (B.5+B.6+B.7+B.8-A.7-A.8-A.9): 

 

409.578.625,00

 

47.156.088,00

 

85.456.012,00

 

236.647.382,00

 

116.121.977,00

 

 

      A.III. PROFIT FROM ORDINARY ACTIVITIES (A.I+A.II-B.I-B.II): 

 

0,00

 

429.467.088,00

 

311.867.012,00

 

541.264.382,00

 

479.109.977,00

 

 

            A.10. Changes in provisions for intangible, tangible and securities portfolio: 

 

214.118.625,00

 

86.022.088,00

 

78.417.012,00

 

130.258.382,00

 

92.989.977,00

 

 

            A.11. Losses from tangible and intangible fixed assets and securities portfolio: 

 

0,00

 

112.798.000,00

 

0,00

 

0,00

 

0,00

 

 

            A.12. Losses from transactions with own shares and debentures: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            A.13. Extraordinary expenses: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            A.14. Expenses and losses of former financial years: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      A.IV. EXTRAORDINARY PROFIT (B.9+B.10+B.11+B.12+B.13-A.10-A.11-A.12-A.13-A.14): 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      A.V. PROFIT BEFORE TAXES (A.III+A.IV-B.III-B.IV): 

 

0,00

 

230.647.000,00

 

233.544.000,00

 

411.353.000,00

 

388.031.000,00

 

 

            A.15. Corporation tax: 

 

-222.700.000,00

 

-30.047.000,00

 

-62.299.000,00

 

36.336.000,00

 

20.958.000,00

 

 

            A.16. Miscellaneous taxes: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      A.VI. FINANCIAL YEAR RESULTS (PROFIT) (A.V-A.15-A.16): 

 

0,00

 

260.694.000,00

 

295.843.000,00

 

375.017.000,00

 

367.073.000,00

 

 

 

MERCANTILE REGISTRY

 

 

 

 

EQUIVALENCIA

 

EQUIVALENCIA

 

EQUIVALENCIA

 

EQUIVALENCIA

 

EQUIVALENCIA

 

 

CREDIT

 

2014

 

2013

 

2012

 

2011

 

2010

 

 

B) INCOME ( B.1 to B.13): 

 

9.087.973.000,00

 

10.638.195.000,00

 

11.300.330.000,00

 

12.017.422.000,00

 

12.027.950.000,00

 

 

            B.1. Net total sales: 

 

8.042.689.000,00

 

9.555.016.000,00

 

10.464.026.000,00

 

11.050.024.000,00

 

11.201.939.000,00

 

 

                  a) Sales: 

 

7.708.558.000,00

 

9.214.928.000,00

 

10.111.913.000,00

 

10.711.788.000,00

 

10.836.674.000,00

 

 

                  b) Rendering of services: 

 

334.131.000,00

 

340.088.000,00

 

352.113.000,00

 

338.236.000,00

 

365.265.000,00

 

 

                  Returns and Rappel on sales: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            B.2. Stock increase of manufactured goods and products in process: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            B.3. Works performed by the company for fixed assets: 

 

111.199.000,00

 

124.253.000,00

 

122.619.000,00

 

125.496.000,00

 

129.391.000,00

 

 

            B.4. Miscellaneous operating income: 

 

171.177.000,00

 

646.648.000,00

 

397.146.000,00

 

396.044.000,00

 

385.982.000,00

 

 

                  a) Auxiliary income and other from current management: 

 

326.994.000,00

 

411.373.000,00

 

385.283.000,00

 

390.702.000,00

 

378.835.000,00

 

 

                  b) Grants: 

 

4.988.000,00

 

4.954.000,00

 

6.181.000,00

 

5.319.000,00

 

7.052.000,00

 

 

                  c) Liabilities and charges provisions surplus: 

 

-160.805.000,00

 

230.321.000,00

 

5.682.000,00

 

23.000,00

 

95.000,00

 

 

      B.I. PÉRDIDAS DE EXPLOTACIÓN (A.1+A.2+A.3+A.4+A.5-A.6-B.1-B.2-B.3-B.4): 

 

1.565.856.000,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            B.5. Income from equity investment: 

 

686.022.000,00

 

308.590.000,00

 

312.435.000,00

 

414.739.000,00

 

304.522.000,00

 

 

                  a) In companies of the group: 

 

683.459.000,00

 

308.537.000,00

 

312.382.000,00

 

414.673.000,00

 

304.481.000,00

 

 

                  b) In associated companies: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

                  c) Third parties: 

 

2.563.000,00

 

53.000,00

 

53.000,00

 

66.000,00

 

41.000,00

 

 

            B.6. Income from other marketable securities and long-term receivables: 

 

5.344.927,00

 

971.456,00

 

1.391.380,00

 

2.247.976,00

 

1.164.039,00

 

 

                  a) From companies of the group: 

 

4.799.107,00

 

505.357,00

 

785.714,00

 

906.250,00

 

665.179,00

 

 

                  b) From associated companies: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

                  c) From companies out of the group: 

 

545.820,00

 

466.099,00

 

605.666,00

 

1.341.726,00

 

498.861,00

 

 

            B.7. Miscellaneous interests or similar income: 

 

70.135.073,00

 

1.769.544,00

 

2.302.620,00

 

26.434.024,00

 

1.864.961,00

 

 

                  a) From companies of the group: 

 

575.893,00

 

60.643,00

 

94.286,00

 

108.750,00

 

79.821,00

 

 

                  b) From associated companies: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

                  c) Miscellaneous interests: 

 

1.953.180,00

 

1.667.901,00

 

2.167.334,00

 

4.801.274,00

 

1.785.139,00

 

 

                  d) Profit on financial investment: 

 

67.606.000,00

 

41.000,00

 

41.000,00

 

21.524.000,00

 

0,00

 

 

            B.8. Exchange positive differences: 

 

1.406.000,00

 

947.000,00

 

316.000,00

 

2.090.000,00

 

1.176.000,00

 

 

      B.II. NEGATIVE FINANCIAL RESULTS (A.7+A.8+A.9-B.5-B.6-B.7-B.8): 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      B.III. LOSSES ON ORDINARY ACTIVITIES ( B.I + B.II - A.I - A.II ): 

 

1.156.277.375,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            B.9.Profit on disposal of both tangible and intangible fixed assets and securities portfolio: 

 

0,00

 

0,00

 

94.000,00

 

347.000,00

 

1.911.000,00

 

 

            B.10. Profit on transactions with own shares and debentures: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            B.11. Capital grants transferred to profit and loss: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            B.12. Extraordinary income: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

            B.13. Income and profit of former financial years: 

 

0,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      B.IV. NEGATIVE EXTRAORDINARY RESULTS (A.10+A.11+A.12+A.13+A.14-B.9-B.10-B.11-B.12-B.13): 

 

214.118.625,00

 

198.820.088,00

 

78.323.012,00

 

129.911.382,00

 

91.078.977,00

 

 

      B.V. LOSSES BEFORE TAXES (B.III+B.IV-A.III-A.IV): 

 

1.370.396.000,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      B.VI. RESULT OF THE PERIOD (LOSSES) (B.V+A.15+A.16): 

 

1.147.696.000,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

 

MERCANTILE REGISTRY

 

 

CASHFLOW STATEMENT

 

 

 

 

Model: Normal

> Source of information: Data contained in this section is taken from the information declared in the Annual Accounts submitted to the Trade Register.

 

 

 

 

2014

 

2013

 

2012

 

2011

 

2010

 

 

1. Fiscal year result before taxes.: 61100

 

43.819.000,00

 

230.647.000,00

 

233.544.000,00

 

411.353.000,00

 

388.031.000,00

 

 

2. Results adjustments.: 61200

 

302.554.000,00

 

223.736.000,00

 

344.533.000,00

 

275.379.000,00

 

316.866.000,00

 

 

      a) Fixed Assets Amortization (+).: 61201

 

376.196.000,00

 

330.968.000,00

 

326.888.000,00

 

363.406.000,00

 

346.446.000,00

 

 

      b) Obsolescence Allowances (+/-). : 61202

 

423.500.000,00

 

8.171.000,00

 

87.591.000,00

 

156.855.000,00

 

101.553.000,00

 

 

      c) Variation in Provision (+/-). : 61203

 

-16.506.000,00

 

61.081.000,00

 

30.460.000,00

 

138.000,00

 

0,00

 

 

      e) Results on disposal of fixed assets (+/-). : 61205

 

-22.637.000,00

 

-112.788.000,00

 

-94.000,00

 

-347.000,00

 

-1.911.000,00

 

 

      f) Results on disposal of financial instruments (+/-).: 61206

 

-56.721.000,00

 

-41.000,00

 

-41.000,00

 

-1.636.000,00

 

0,00

 

 

      g) Financial income (-).: 61207

 

-693.896.000,00

 

-311.290.000,00

 

-316.088.000,00

 

-421.897.000,00

 

-307.551.000,00

 

 

      h) Financial Expenses (+). : 61208

 

304.909.000,00

 

247.634.000,00

 

215.788.000,00

 

182.267.000,00

 

173.618.000,00

 

 

      i) Exchange differences (+/-). : 61209

 

-1.406.000,00

 

-947.000,00

 

-316.000,00

 

-2.090.000,00

 

-1.176.000,00

 

 

      j) Reasonable Value Variation in Financial Instruments (+/-).: 61210

 

-10.885.000,00

 

948.000,00

 

345.000,00

 

-1.317.000,00

 

5.887.000,00

 

 

3. Changes in current capital equity.: 61300

 

-284.478.000,00

 

-578.037.000,00

 

-190.930.000,00

 

-393.001.000,00

 

108.794.000,00

 

 

      a) Stock (+/-).: 61301

 

-28.873.000,00

 

-89.401.000,00

 

-33.647.000,00

 

-123.502.000,00

 

173.934.000,00

 

 

      d) Debtors and other accounts receivable (+/-). : 61302

 

-268.902.000,00

 

-69.257.000,00

 

124.847.000,00

 

-287.261.000,00

 

9.220.000,00

 

 

      c) Other current assets (+/-). : 61303

 

1.894.000,00

 

-87.429.000,00

 

-9.281.000,00

 

54.014.000,00

 

-64.837.000,00

 

 

      d) Creditors and other accounts payable (+/-). : 61304

 

114.450.000,00

 

-199.953.000,00

 

-68.208.000,00

 

-58.388.000,00

 

-20.009.000,00

 

 

      e) Other current liabilities (+/-).: 61305

 

-23.984.000,00

 

14.948.000,00

 

-13.016.000,00

 

1.887.000,00

 

283.000,00

 

 

      f) Other non-current assets and liabilities (+/-).: 61306

 

-79.063.000,00

 

-146.945.000,00

 

-191.625.000,00

 

20.249.000,00

 

10.203.000,00

 

 

4. Other cash flows for operating activities.: 61400

 

388.983.000,00

 

63.656.000,00

 

132.448.000,00

 

234.449.000,00

 

124.706.000,00

 

 

      a) Interest payments (-). : 61401

 

-304.909.000,00

 

-247.634.000,00

 

-215.788.000,00

 

-182.267.000,00

 

-173.618.000,00

 

 

      b) Dividend payment collection (+). : 61402

 

686.022.000,00

 

308.590.000,00

 

312.435.000,00

 

414.739.000,00

 

304.522.000,00

 

 

      c) Interest collection (+). : 61403

 

7.870.000,00

 

2.700.000,00

 

3.653.000,00

 

7.158.000,00

 

3.029.000,00

 

 

      d) Income tax payment collection (payments) (+/-).: 61404

 

0,00

 

0,00

 

32.148.000,00

 

-5.181.000,00

 

-9.227.000,00

 

 

5. Operating activity cash flows (1 + 2 + 3 + 4) : 61500

 

450.878.000,00

 

-59.998.000,00

 

519.595.000,00

 

528.180.000,00

 

938.397.000,00

 

 

6. Payments for investment (-).: 62100

 

-395.450.000,00

 

-795.303.000,00

 

-1.041.395.000,00

 

-631.210.000,00

 

-827.719.000,00

 

 

      a) Companies of the group and affiliates. : 62101

 

-31.704.000,00

 

-238.777.000,00

 

-454.370.000,00

 

-5.451.000,00

 

-80.093.000,00

 

 

      b) Intangible fixed assets. : 62102

 

-78.830.000,00

 

-71.081.000,00

 

-57.365.000,00

 

-47.104.000,00

 

-58.241.000,00

 

 

      c) Fixed assets. : 62103

 

-284.185.000,00

 

-411.493.000,00

 

-537.086.000,00

 

-510.241.000,00

 

-654.716.000,00

 

 

      e) Other financial assets. : 62105

 

-731.000,00

 

-73.952.000,00

 

7.426.000,00

 

-68.414.000,00

 

-34.669.000,00

 

 

7. Divestment payment collection (+). : 62200

 

410.716.000,00

 

445.361.000,00

 

16.010.000,00

 

53.174.000,00

 

28.185.000,00

 

 

      a) Companies of the group and affiliates. : 62201

 

142.651.000,00

 

280.657.000,00

 

11.388.000,00

 

1.097.000,00

 

0,00

 

 

      b) Intangible fixed assets. : 62202

 

1.595.000,00

 

697.000,00

 

1.605.000,00

 

2.114.000,00

 

6.302.000,00

 

 

      c) Fixed assets. : 62203

 

60.550.000,00

 

137.976.000,00

 

3.017.000,00

 

3.343.000,00

 

4.341.000,00

 

 

      e) Other financial assets. : 62205

 

205.920.000,00

 

26.031.000,00

 

0,00

 

46.620.000,00

 

17.542.000,00

 

 

8. Investment activity cash flows (6 + 7) minus Amortization: 62300

 

15.266.000,00

 

-349.942.000,00

 

-1.025.385.000,00

 

-578.036.000,00

 

-799.534.000,00

 

 

9. Payment collection and payments for equity instruments. : 63100

 

-50.420.000,00

 

-99.426.000,00

 

-32.518.000,00

 

-35.690.000,00

 

-117.068.000,00

 

 

      c) Acquisition of own equity instruments (-). : 63103

 

-50.420.000,00

 

-99.426.000,00

 

-32.518.000,00

 

-35.690.000,00

 

-117.068.000,00

 

 

10. Payment collection and payments for financial liabilities instruments.: 63200

 

-379.565.000,00

 

547.532.000,00

 

582.606.000,00

 

50.052.000,00

 

27.534.000,00

 

 

      a) Issuance : 63201

 

80.581.000,00

 

557.340.000,00

 

906.614.000,00

 

549.454.000,00

 

553.615.000,00

 

 

      1. Debentures and other negotiable securities (+). : 63202

 

0,00

 

20.636.000,00

 

72.163.000,00

 

157.758.000,00

 

293.068.000,00

 

 

      2. Debts incurred with credit institutions (+). : 63203

 

0,00

 

443.572.000,00

 

702.432.000,00

 

384.771.000,00

 

260.512.000,00

 

 

      3. Debts incurred with companies of the group and affiliates (+).: 63204

 

41.712.000,00

 

90.829.000,00

 

94.612.000,00

 

0,00

 

35.000,00

 

 

      5. Other debts (+). : 63206

 

38.869.000,00

 

2.303.000,00

 

37.407.000,00

 

6.925.000,00

 

0,00

 

 

      b) Repayment and amortization of : 63207

 

-460.146.000,00

 

-9.808.000,00

 

-324.008.000,00

 

-499.402.000,00

 

-526.081.000,00

 

 

      1. Debentures and other negotiable securities (-). : 63208

 

-35.010.000,00

 

0,00

 

0,00

 

0,00

 

0,00

 

 

      2. Debts incurred with credit institutions (-).: 63209

 

-397.958.000,00

 

0,00

 

-120.856.000,00

 

-355.431.000,00

 

-379.497.000,00

 

 

      3. Debts incurred with companies of the group and affiliates (-). : 63210

 

-16.854.000,00

 

0,00

 

-113.037.000,00

 

-40.000,00

 

-66.449.000,00

 

 

      4. Special characteristic debts (-). : 63211

 

-9.808.000,00

 

0,00

 

-83.648.000,00

 

0,00

 

0,00

 

 

      5. Other debts (-). : 63212

 

-516.000,00

 

-9.808.000,00

 

-6.467.000,00

 

-143.931.000,00

 

-80.135.000,00

 

 

11. Payments from dividends and remunerations from other assets instruments. : 63300

 

-42.710.000,00

 

-44.477.000,00

 

-44.124.000,00

 

-38.949.000,00

 

-28.400.000,00

 

 

      a) Dividends (-).: 63301

 

-42.710.000,00

 

-43.529.000,00

 

-43.779.000,00

 

-38.949.000,00

 

-28.400.000,00

 

 

      b) Remuneration from other assets instruments (-).: 63302

 

0,00

 

-948.000,00

 

-345.000,00

 

0,00

 

0,00

 

 

12. Cash flows for financing activities (9+10+11).: 63400

 

-472.695.000,00

 

403.629.000,00

 

505.964.000,00

 

-24.587.000,00

 

-117.934.000,00

 

 

D) EFFECT OF EXCHANGE RATE CHANGES: 64000

 

1.406.000,00

 

947.000,00

 

316.000,00

 

2.090.000,00

 

1.176.000,00

 

 

E) NET INCREASE/DECREASE OF CASH OR EQUIVALENT ASSETS (+/-5+/-8+/12+/-D) : 65000

 

-5.145.000,00

 

-5.364.000,00

 

490.000,00

 

-72.353.000,00

 

22.105.000,00

 

 

      Cash or equivalent assets as of beginning of the fiscal year.: 65100

 

53.202.000,00

 

58.566.000,00

 

58.076.000,00

 

130.429.000,00

 

108.324.000,00

 

 

      Cash or equivalent assets as of end of the fiscal year.: 65200

 

48.057.000,00

 

53.202.000,00

 

58.566.000,00

 

58.076.000,00

 

130.429.000,00

 

 

 

FINANCIAL DIAGNOSIS

 

> Economic-Financial Comparative Analysis

 

 Data used in the following ratios and indicators is taken from the Annual Accounts submitted by the company to the TRADE REGISTER.

> Comparison within the Sector

 

Cash Flow

 

2014

 

2013

 

Variación 2014 - 2013

 

 

 

 

Empresa

 

Sector

 

Empresa

 

Sector

 

Empresa

 

Sector

 

 

Cash Flow over Sales: 

 

0,00 %

 

0,00 %

 

0,00 %

 

0,06 %

 

 

-95,17 %

 

 

EBITDA over Sales: 

 

4,03 %

 

10,21 %

 

5,05 %

 

11,50 %

 

-20,36 %

 

-11,25 %

 

 

Cash Flow Yield: 

 

0,00 %

 

0,00 %

 

0,00 %

 

0,03 %

 

 

-89,41 %

 

 

 

 

Profitability

 

2014

 

2013

 

Variación 2014 - 2013

 

 

 

 

Empresa

 

Sector

 

Empresa

 

Sector

 

Empresa

 

Sector

 

 

Operating economic profitability: 

 

-1,56 %

 

9,08 %

 

2,64 %

 

7,19 %

 

-158,86 %

 

26,21 %

 

 

Total economic profitability: 

 

2,69 %

 

7,89 %

 

3,52 %

 

3,93 %

 

-23,53 %

 

100,66 %

 

 

Financial profitability: 

 

5,13 %

 

14,43 %

 

4,71 %

 

4,66 %

 

8,90 %

 

209,76 %

 

 

Margin: 

 

-1,58 %

 

6,00 %

 

2,66 %

 

6,92 %

 

-159,41 %

 

-13,29 %

 

 

Mark-up: 

 

0,44 %

 

6,07 %

 

2,28 %

 

4,81 %

 

-80,62 %

 

26,25 %

 

 

 

 

Solvency

 

2014

 

2013

 

Variación 2014 - 2013

 

 

 

 

Empresa

 

Sector

 

Empresa

 

Sector

 

Empresa

 

Sector

 

 

Liquidity: 

 

0,02

 

0,14

 

0,01

 

0,14

 

54,49

 

3,67

 

 

Acid Test: 

 

0,47

 

0,77

 

0,24

 

0,87

 

94,76

 

-10,97

 

 

Working Capital / Investment: 

 

-0,01

 

0,04

 

-0,12

 

0,05

 

88,43

 

-21,52

 

 

Solvency: 

 

1,24

 

1,14

 

0,72

 

1,19

 

71,79

 

-3,54

 

 

 

 

Indebtedness

 

2014

 

2013

 

Variación 2014 - 2013

 

 

 

 

Empresa

 

Sector

 

Empresa

 

Sector

 

Empresa

 

Sector

 

 

Indebtedness level: 

 

1,45

 

1,33

 

1,40

 

1,35

 

3,50

 

-1,26

 

 

Borrowing Composition: 

 

1,92

 

0,54

 

0,76

 

0,99

 

152,37

 

-45,75

 

 

Repayment Ability: 

 

-1.498,17

 

190,47

 

-1.481,34

 

20,26

 

-1,14

 

839,98

 

 

Warranty: 

 

1,68

 

1,76

 

1,71

 

1,75

 

-1,71

 

0,51

 

 

Generated resources / Total creditors: 

 

0,11

 

0,18

 

0,07

 

0,09

 

61,37

 

107,67

 

 

 

 

Efficiency

 

2014

 

2013

 

Variación 2014 - 2013

 

 

 

 

Empresa

 

Sector

 

Empresa

 

Sector

 

Empresa

 

Sector

 

 

Productivity: 

 

1,22

 

1,78

 

1,28

 

1,88

 

-5,22

 

-5,50

 

 

Turnover of Collection Rights : 

 

8,33

 

6,43

 

10,81

 

5,11

 

-22,96

 

26,00

 

 

Turnover of Payment Entitlements: 

 

3,48

 

3,73

 

3,74

 

3,70

 

-6,97

 

1,04

 

 

Stock rotation: 

 

8,24

 

9,72

 

5,60

 

7,44

 

47,02

 

30,67

 

 

Assets turnover: 

 

0,98

 

1,51

 

0,99

 

1,04

 

-0,93

 

45,57

 

 

Borrowing Cost: 

 

3,96

 

2,39

 

3,12

 

2,83

 

26,93

 

-15,63

 

 

 

> Trend of indicators under the General Accounting Plan of 2007 (2014, 2013, 2012, 2011, 2010)

 

Cash Flow

 

2014

 

2013

 

2012

 

2011

 

2010

 

 

Cash Flow over Sales: 

 

0,00 %

 

0,00 %

 

0,00 %

 

-0,01 %

 

0,00 %

 

 

EBITDA over Sales: 

 

4,03 %

 

5,05 %

 

5,23 %

 

6,05 %

 

6,33 %

 

 

Cash Flow Yield: 

 

0,00 %

 

0,00 %

 

0,00 %

 

-0,01 %

 

0,00 %

 

 

 

 

Profitability

 

2014

 

2013

 

2012

 

2011

 

2010

 

 

Operating economic profitability: 

 

-1,56 %

 

2,64 %

 

2,27 %

 

3,15 %

 

3,95 %

 

 

Total economic profitability: 

 

2,69 %

 

3,52 %

 

3,42 %

 

4,62 %

 

4,47 %

 

 

Financial profitability: 

 

5,13 %

 

4,71 %

 

5,40 %

 

6,39 %

 

6,59 %

 

 

Margin: 

 

-1,58 %

 

2,66 %

 

2,01 %

 

2,64 %

 

3,11 %

 

 

Mark-up: 

 

0,44 %

 

2,28 %

 

2,13 %

 

3,55 %

 

3,31 %

 

 

 

 

Solvency

 

2014

 

2013

 

2012

 

2011

 

2010

 

 

Liquidity: 

 

0,02

 

0,01

 

0,01

 

0,01

 

0,03

 

 

Acid Test: 

 

0,47

 

0,24

 

0,20

 

0,25

 

0,23

 

 

Working Capital / Investment: 

 

-0,01

 

-0,12

 

-0,15

 

-0,10

 

-0,11

 

 

Solvency: 

 

1,24

 

0,72

 

0,63

 

0,70

 

0,67

 

 

 

 

Indebtedness

 

2014

 

2013

 

2012

 

2011

 

2010

 

 

Indebtedness level: 

 

1,45

 

1,40

 

1,37

 

1,19

 

1,26

 

 

Borrowing Composition: 

 

1,92

 

0,76

 

0,65

 

0,69

 

0,78

 

 

Repayment Ability: 

 

-1.498,17

 

-1.481,34

 

15.533,18

 

-96,73

 

317,27

 

 

Warranty: 

 

1,68

 

1,71

 

1,72

 

1,83

 

1,79

 

 

Generated resources / Total creditors: 

 

0,11

 

0,07

 

0,09

 

0,13

 

0,12

 

 

 

 

Efficiency

 

2014

 

2013

 

2012

 

2011

 

2010

 

 

Productivity: 

 

1,22

 

1,28

 

1,30

 

1,36

 

1,39

 

 

Turnover of Collection Rights : 

 

8,33

 

10,81

 

12,69

 

11,69

 

16,68

 

 

Turnover of Payment Entitlements: 

 

3,48

 

3,74

 

3,68

 

4,00

 

4,21

 

 

Stock rotation: 

 

8,24

 

5,60

 

6,38

 

6,22

 

6,73

 

 

Assets turnover: 

 

0,98

 

0,99

 

1,13

 

1,19

 

1,27

 

 

Borrowing Cost: 

 

3,96

 

3,12

 

2,84

 

2,60

 

2,48

 

 

 

 

COMPARATIVE SECTORIAL BALANCE

 

Sector-based Comparison under the rules of the New General Accounting Plan.

 

 

 

 

Variación -

 

 

 

Empresa

 

Sector

 

 

 

 

 

Variación -

 

 

 

Empresa

 

Sector

 

 

 

 

 

Variación -

 

 

 

Empresa

 

Sector

 

 

News

 

 

 

Alimarket

 

03/02/2015

 

Productos Pelayo estrecha lazos con El Corte Inglés

 

Companies related

 

PRODUCTOS PELAYO SA

 

 

 

Levante-emv.com

 

02/02/2015

 

El Corte Inglés sigue en familia

 

Companies related

 

 

 

 

Public Tenders and Works Won

 

 

Organisation that calls the tender:

 

AYUNTAMIENTO DE OVIEDO

 

Objective of Tender:

 

CONTRATO DE OBRAS DE AMPLIACION LATERAL DEL POLIDEPORTIVO DE PUMARIN

 

Date Awarded:

 

22/01/2015

 

Cost:

 

293.540,76 EURO.

 

 

 

Organisation that calls the tender:

 

SERVICIO NAVARRO DE SALUD

 

Objective of Tender:

 

EQUIPAMIENTO MEDICO Y GENERAL PARA EL COMPLEJO HOSPITALARIO DE NAVARRA UCI, ENDOSCOPIAS Y CIRUGIA MAYOR AMBULATORIA EN PABELLON C, Y UCI EN EDIFICIO VIRGEN DEL CAMINO

 

Date Awarded:

 

22/01/2015

 

Cost:

 

10.874,23 EURO.

 

 

 

Organisation that calls the tender:

 

UNIVERSIDAD DE CORDOBA

 

Objective of Tender:

 

SUMINISTRO E INSTALACION DE MOBILIARIO DE SALAS DE LECTURA DEL NUEVO EDIFICIO DE FACULTAD DE ENFERMERIA DE LA UNIVERSIDAD DE CORDOBA, FINANCIADO POR LA CONSEJERIA DE ECONOMIA, INNOVACION, CIENCIA Y EMPLEO DE LA JUNTA DE ANDALUCIA

 

Date Awarded:

 

19/01/2015

 

Cost:

 

177.312,19 EURO.

 

 

 

Organisation that calls the tender:

 

RED NACIONAL DE LOS FERROCARRILES ESPAÑOLES RENFE

 

Objective of Tender:

 

SUMINISTRO DE MATERIAL DE ALMA

 

Date Awarded:

 

15/01/2015

 

Cost:

 

19.820,00 EURO.

 

 

 

Organisation that calls the tender:

 

AYUNTAMIENTO DE CUENCA

 

Objective of Tender:

 

Adquisición de 55 equipos de protección personal para intervención de incendios.

 

Date Awarded:

 

14/01/2015

 

Cost:

 

55.276,57 EURO.

 

 

 

Organisation that calls the tender:

 

AYUNTAMIENTO DE CUENCA

 

Objective of Tender:

 

ADQUISICION DE 55 EQUIPOS DE PROTECCION PERSONAL PARA INTERVENCION DE INCENDIOS

 

Date Awarded:

 

14/01/2015

 

Cost:

 

66.884,65 EURO.

 

 

 

Organisation that calls the tender:

 

AUTORIDAD PORTUARIA DE SEVILLA

 

Objective of Tender:

 

DOTACION DE VESTUARIO AL PERSONAL DE OFICINAS PARA EL AÑO 2015

 

Date Awarded:

 

08/01/2015

 

Cost:

 

9.150,00 EURO.

 

 

 

Organisation that calls the tender:

 

SERVICIO MURCIANO DE SALUD

 

Objective of Tender:

 

Adquisición de equipamiento de odontología con destino al Centro de Salud Sutullena-Lorca

 

Date Awarded:

 

19/12/2014

 

Cost:

 

103.108,50 EURO.

 

 

 

Organisation that calls the tender:

 

AYUNTAMIENTO DE L' HOSPITALET DE LLOBREGAT

 

Objective of Tender:

 

Subministrament de diferents elements d'uniformitat per a la Guàrdia Urbana. (3 Lots)

 

Date Awarded:

 

12/12/2014

 

Cost:

 

7.438,02 EURO.

 

 

 

Organisation that calls the tender:

 

AYUNTAMIENTO DE L' HOSPITALET DE LLOBREGAT

 

Objective of Tender:

 

Subministrament de diferents elements d'uniformitat per a la Guàrdia Urbana. (3 Lots)

 

Date Awarded:

 

12/12/2014

 

Cost:

 

32.231,40 EURO.

 

 

 

Organisation that calls the tender:

 

AYUNTAMIENTO DE L' HOSPITALET DE LLOBREGAT

 

Objective of Tender:

 

SUBMINISTRAMENT DE DIFERENTS ELEMENTS D UNIFORMITAT PER A LA GUARDIA URBANA

 

Date Awarded:

 

12/12/2014

 

Cost:

 

7.438,02 EURO.

 

 

 

Organisation that calls the tender:

 

FUNDACION MUNICIPAL DE CULTURA EDUCACION Y UNIVERSIDAD POPULAR DEL AYUNTAMIENTO DE GIJON

 

Objective of Tender:

 

ADHESION AL CONTRATO DE SUMINISTRO DE VESTUARIO Y DEMAS MATERIAL PARA LOS EMPLEADOS MUNICIPALES DEL AYUNTAMIENTO DE GIJON XIXON Y SUS ORGANISMOS AUTONOMOS PARA LOS EJERCICIOS 2014 A 2016

 

Date Awarded:

 

18/11/2014

 

Cost:

 

34.064,89 EURO.

 

 

 

Organisation that calls the tender:

 

COMPLEJO HOSPITALARIO DE JAEN

 

Objective of Tender:

 

Suministro de útiles de cocina y comedor con destino a los centros sanitarios vinculados a la Plataforma de Logística Sanitaria de Jaén.

 

Date Awarded:

 

07/11/2014

 

Cost:

 

Importe compartido entre distintos Contratistas

 

 

 

Organisation that calls the tender:

 

CONSEJERIA DE FOMENTO, VIVIENDA, ORDENACION DEL TERRITORIO Y TURISMO DE LA COMUNIDAD AUTONOMA DE EXTREMADURA

 

Objective of Tender:

 

Suministro de mobiliario para ampliación de Hospedería de Alcántara

 

Date Awarded:

 

06/11/2014

 

Cost:

 

99.991,15 EURO.

 

 

 

Organisation that calls the tender:

 

CONSEJERIA DE FOMENTO, VIVIENDA, ORDENACION DEL TERRITORIO Y TURISMO DE LA COMUNIDAD AUTONOMA DE EXTREMADURA

 

Objective of Tender:

 

Suministro de equipamiento de Spa y gimnasio para la ampliación de la Hospedería "Puente de Alconétar", en Garrovillas del Alconétar (Cáceres).

 

Date Awarded:

 

05/11/2014

 

Cost:

 

105.110,23 EURO.

 

 

 

Organisation that calls the tender:

 

AYUNTAMIENTO DE GIJON

 

Objective of Tender:

 

Suministro, por el sistema de lotes, de vestuario y demás materiales de protección para el personal de la policía local del Ayuntamiento de Gijón, durante los años 2014 a 2016

 

Date Awarded:

 

24/10/2014

 

 

 

Organisation that calls the tender:

 

AYUNTAMIENTO DE GIJON

 

Objective of Tender:

 

SUMINISTRO, POR EL SISTEMA DE LOTES, DE VESTUARIO Y DEMAS MATERIALES DE PROTECCION PARA EL PERSONAL DE LA POLICIA LOCAL DEL AYUNTAMIENTO DE GIJON XIXON, DURANTE LOS AÑOS 2014 A 2016

 

Date Awarded:

 

24/10/2014

 

Cost:

 

VER IMAGEN

 

 

 

Organisation that calls the tender:

 

DIPUTACION PROVINCIAL DE VALENCIA

 

Objective of Tender:

 

SUMINISTRO DE EQUIPOS DE BIOMASA, QUEMADORES, SILOS, CAPTADORES SOLARES Y MANTENIMIENTO.

 

Date Awarded:

 

29/09/2014

 

Cost:

 

Según pliegos

 

 

 

Organisation that calls the tender:

 

EMPRESA MUNICIPAL DE SERVICIOS DE MEDIO AMBIENTE URBANO DE GIJON SA

 

Objective of Tender:

 

SUMINISTRO, REPOSICION Y PEQUEÑOS ARREGLOS DE VESTUARIO DE TRABAJO DE INVIERNO PARA EL PERSONAL DE EMULSA DURANTE DOS AÑOS PRORROGABLES OTROS DOS

 

Date Awarded:

 

05/08/2014

 

Cost:

 

166.375,00 EURO.

 

 

 

Organisation that calls the tender:

 

DIRECCION PROVINCIAL DE ALMERIA DE LA TESORERIA GENERAL DE LA SEGURIDAD SOCIAL

 

Objective of Tender:

 

EJECUCION DE LAS OBRAS REFERIDAS A LA ADAPTACION DE DEPENDENCIAS EN SOTANO I,PARA LA INSTALACION DE AULAS DE FORMACION EN LA SEDE DE LA DIRECCION PROVINCIAL DE LA TESORERIA GENERAL DE LA SEGURIDAD SOCIAL EN ALMERIA

 

Date Awarded:

 

01/08/2014

 

Cost:

 

98.622,96 EURO.

 

 

 

Organisation that calls the tender:

 

ASEPEYO MUTUA DE ACCIDENTES DE TRABAJO Y ENFERMEDADES PROFESIONALES

 

Objective of Tender:

 

OBRAS DE REFORMA EN EL CENTRO ASISTENCIAL DE VIGO DE ASEPEYO, MUTUA DE ACCIDENTES DE TRABAJO Y ENFERMEDADES PROFESIONALES DE LA SEGURIDAD SOCIAL, NUM 151

 

Date Awarded:

 

01/08/2014

 

Cost:

 

398.030,02 EURO.

 

 

 

Organisation that calls the tender:

 

ENTIDAD PUBLICA EMPRESARIAL CORREOS Y TELEGRAFOS SA

 

Objective of Tender:

 

COORDINACION DE SEGURIDAD Y SALUD Y OBRA DE REFORMA DEL EDIFICIO DE LA OFICINA COMERCIAL, SUCURSAL 41, UNIDAD DE REPARTO 41 Y USE 6 DE MADRID, SITUADO EN C SAHARA, 42 Y 44

 

Date Awarded:

 

29/07/2014

 

Cost:

 

489.735,40 EURO.

 

 

 

Organisation that calls the tender:

 

PARADORES DE TURISMO DE ESPAÑA SA

 

Objective of Tender:

 

CONTRATO DE SUMINISTRO DE GRIFERIAS Y SANITARIOS CON DESTINO A LOS ESTABLECIMIENTOS DE PARADORES DE TURISMO DE ESPAÑA, S A

 

Date Awarded:

 

23/07/2014

 

Cost:

 

70.397,44 EURO.

 

 

 

Organisation that calls the tender:

 

INSTITUTO NACIONAL DE ESTADISTICA

 

Objective of Tender:

 

SUMINISTRO E INSTALACION DE UNA ENFRIADORA EN LA D P DEL INE EN LAS PALMAS DE G C

 

Date Awarded:

 

15/07/2014

 

Cost:

 

22.905,49 EURO.

 

 

 

Organisation that calls the tender:

 

MINISTERIO DE INTERIOR

 

Objective of Tender:

 

SUMINISTRO DE ANORAKS PARA SER SUMINISTRADOS AL PERSONAL DE LA GUARDIA CIVIL DE LAS DIFERENTES UNIDADES DEL CUERPO

 

Date Awarded:

 

15/07/2014

 

Cost:

 

72.472,95 EURO.

 

 

 

Organisation that calls the tender:

 

AUTORIDAD PORTUARIA DE VALENCIA

 

Objective of Tender:

 

SUMINISTRO DE ROPA DE TRABAJO PARA EL PERSONAL DE SOPORTE Y CONDUCTORES DE LA AUTORIDAD PORTUARIA DE VALENCIA PARA LOS EJERCICIOS 2014 Y 2015

 

Date Awarded:

 

09/07/2014

 

Cost:

 

14.520,00 EURO.

 

 

 

Organisation that calls the tender:

 

AYUNTAMIENTO DE EIBAR

 

Objective of Tender:

 

REFORMA DE LAS SALAS PEQUEÑAS DEL TEATRO COLISEO

 

Date Awarded:

 

08/07/2014

 

Cost:

 

123.896,07 EURO.

 

 

 

Organisation that calls the tender:

 

ADMINISTRADOR DE INFRAESTRUCTURAS FERROVIARIAS ADIF

 

Objective of Tender:

 

ACUERDO MARCO PARA EL SUMINISTRO DE EQUIPOS DE PROTECCION INDIVIDUAL PARA LOS TRABAJADORES DE ADIF PERIODO 2014 2016 4 LOTES

 

Date Awarded:

 

07/07/2014

 

Cost:

 

141.324,45 EURO.

 

 

 

Organisation that calls the tender:

 

DIPUTACION PROVINCIAL DE ALICANTE

 

Objective of Tender:

 

SUMINISTRO DE LA UNIFORMIDAD DEL PERSONAL SUBALTERNO DE LA EXCMA DIPUTACION PROVINCIAL DE ALICANTE PARA 2014

 

Date Awarded:

 

04/07/2014

 

Cost:

 

26.100,00 EURO.

 

 

 

Organisation that calls the tender:

 

AYUNTAMIENTO DE ALMODOVAR DEL CAMPO

 

Objective of Tender:

 

Remodelación Teatro Municipal

 

Date Awarded:

 

03/07/2014

 

Cost:

 

96.182,90 EURO.

 

 

 

Organisation that calls the tender:

 

PARQUE Y CENTRO DE ABASTECIMIENTO DE MATERIAL DE INTENDENCIA

 

Objective of Tender:

 

ADQUISICION DE UNIFORMES DE REPRESENTACION Y DE TRABAJO

 

Date Awarded:

 

02/07/2014

 

Cost:

 

68.931,00 EURO.

 

 

 

Organisation that calls the tender:

 

AERODROMO MILITAR DE LEON

 

Objective of Tender:

 

CONFECCION DE UNIFORME DE ETIQUETA XXV PROMOCION

 

Date Awarded:

 

30/06/2014

 

Cost:

 

22.500,00 EURO.

 

 

 

Organisation that calls the tender:

 

AYUNTAMIENTO DE OVIEDO

 

Objective of Tender:

 

EL SUMINISTRO DE VESTUARIO PARA EL PERSONAL QUE PRESTA SERVICIOS EN LAS ESCUELAS DE EDUCACION INFANTIL DE 0 A 3 AÑOS

 

Date Awarded:

 

26/06/2014

 

Cost:

 

1.714,40 EURO.

 

 

 

Organisation that calls the tender:

 

CLINICA PUERTA DE HIERRO-HOSPITAL UNIVERSITARIO DE MADRID

 

Objective of Tender:

 

Suministro de material de higiene y aseo

 

Date Awarded:

 

24/06/2014

 

Cost:

 

Importe compartido entre distintos Contratistas

 

 

 

Organisation that calls the tender:

 

ENTIDAD PUBLICA EMPRESARIAL CORREOS Y TELEGRAFOS SA

 

Objective of Tender:

 

COORDINACION DE SEGURIDAD Y SALUD Y OBRA DE ADAPTACION DEL NUEVO LOCAL ALQUILADO PARA LA OFICINA PRINCIPAL Y SERVICIOS ADMINISTRATIVOS DE LOGROÑO LA RIOJ , SITUADO EN C ONCE DE JUNIO, 1 Y AVENIDA DE PORTUGAL, 32

 

Date Awarded:

 

24/06/2014

 

Cost:

 

413.156,93 EURO.

 

 

 

Organisation that calls the tender:

 

AYUNTAMIENTO DE PALMA DE MALLORCA

 

Objective of Tender:

 

Acuerdo marco para la homologación del vestuario de la policía local de palma (49 lotes)

 

Date Awarded:

 

12/06/2014

 

Cost:

 

Segons preus unitaris amb IVA inclòs oferts a les respectives propostes econòmiques signades pels licitadors.

 

 

 

Organisation that calls the tender:

 

TRABAJO PENITENCIARIO Y FORMACION PARA EL EMPLEO

 

Objective of Tender:

 

SUMINISTRO DE ARTICULOS PARA LA ELABORACION DE LOTES HIGIENICOS

 

Date Awarded:

 

06/06/2014

 

Cost:

 

385.024,42 EURO.

 

 

 

Organisation that calls the tender:

 

AYUNTAMIENTO DE PALENCIA

 

Objective of Tender:

 

Obras de reforma de la cubierta y cerramientos de la piscina climatizada "Eras de Santa Marina"

 

Date Awarded:

 

05/06/2014

 

Cost:

 

579.199,97 EURO.

 

 

 

Organisation that calls the tender:

 

AERODROMO MILITAR DE LEON

 

Objective of Tender:

 

ADQUISICION DE VESTUARIO PARA ALUMNOS DE LA ACADEMIA BASICA DEL AIRE XXV PROMOCION

 

Date Awarded:

 

05/06/2014

 

Cost:

 

31.000,00 EURO.

 

 

 

Organisation that calls the tender:

 

RENFE OPERADORA

 

Objective of Tender:

 

SUMINISTRO DE MATERIAL DE ALMA

 

Date Awarded:

 

05/06/2014

 

Cost:

 

19.872,00 EURO.

 

 

 

Organisation that calls the tender:

 

RENFE OPERADORA

 

Objective of Tender:

 

SUMINISTRO DE MATERIAL DE ALMA

 

Date Awarded:

 

05/06/2014

 

Cost:

 

19.872,00 EURO.

 

 

 

Organisation that calls the tender:

 

CONSEJERIA DE EDUCACION Y CULTURA DE LA COMUNIDAD AUTONOMA DE EXTREMADURA

 

Objective of Tender:

 

Equipamiento del nuevo I.E.S. de Coria (12+4Uds), dependiente da la Consejería de Educación y Cultura del Gobierno de Extremadura. Lote n.º 1: Mobiliario General. Lote n.º 2: Material Didáctico. Lote n.º 3: Material Deportivo. Lote n.º 4: Laboratorios.

 

Date Awarded:

 

03/06/2014

 

Cost:

 

171.202,90 EURO.

 

 

 

Organisation that calls the tender:

 

BASE AEREA DE SAN JAVIER

 

Objective of Tender:

 

SUMINISTRO DE UNIFORMES DE ALUMNOS CURSO 2014 2015

 

Date Awarded:

 

29/05/2014

 

Cost:

 

46.875,40 EURO.

 

 

 

Organisation that calls the tender:

 

AYUNTAMIENTO DE MURCIA

 

Objective of Tender:

 

Licitación del suministro de «Vestuario año 2014 con destino a la Policía Local».

 

Date Awarded:

 

28/05/2014

 

Cost:

 

136.129,84 EURO.

 

 

 

Organisation that calls the tender:

 

UNIDAD MILITAR DE EMERGENCIAS

 

Objective of Tender:

 

Adqusición de vestuario para la UME.

 

Date Awarded:

 

23/05/2014

 

Cost:

 

89.712,00 EURO.

 

 

 

Organisation that calls the tender:

 

UNIDAD MILITAR DE EMERGENCIAS

 

Objective of Tender:

 

Adqusición de vestuario para la UME.

 

Date Awarded:

 

23/05/2014

 

Cost:

 

65.950,00 EURO.

 

 

 

Organisation that calls the tender:

 

UNIDAD MILITAR DE EMERGENCIAS

 

Objective of Tender:

 

ADQUSICION DE VESTUARIO PARA LA UME

 

Date Awarded:

 

23/05/2014

 

Cost:

 

lote 1: 89712.00 euros lote 3: 65950.00 euros

 

 

 

Organisation that calls the tender:

 

CONSEJERIA DE SANIDAD Y POLITICA SOCIAL DE LA COMUNIDAD AUTONOMA DE LA REGION DE MURCIA

 

Objective of Tender:

 

Suministro de material sanitario para el Centro de Salud de Totana Sur

 

Date Awarded:

 

22/05/2014

 

Cost:

 

Importe compartido entre distintos Contratistas

 

 

 

Organisation that calls the tender:

 

COMPLEJO ASISTENCIAL DE AVILA

 

Objective of Tender:

 

SUMINISTRO DE GUANTES DE CIRUGIA, EXPLORACION Y CURAS

 

Date Awarded:

 

19/05/2014

 

Cost:

 

598,00 EURO.

 

 

 

Organisation that calls the tender:

 

UNIVERSIDAD DE CADIZ

 

Objective of Tender:

 

Suministro e instalación de mobiliario de aulas para la Escuela Superior de Ingeniería de la Universidad de Cádiz ubicada en el Campus de Puerto Real, subvencionado por la Consejería de Economía, Innovación, Ciencia y Empleo de la Junta de Andalucía.

 

Date Awarded:

 

16/05/2014

 

Cost:

 

214.264,91 EURO.

 

 

 

Organisation that calls the tender:

 

UNIVERSIDAD DE CADIZ

 

Objective of Tender:

 

SUMINISTRO E INSTALACION DE MOBILIARIO DE AULAS PARA LA ESCUELA SUPERIOR DE INGENIERIA DE LA UNIVERSIDAD DE CADIZ UBICADA EN EL CAMPUS DE PUERTO REAL, SUBVENCIONADO POR LA CONSEJERIA DE ECONOMIA, INNOVACION, CIENCIA Y EMPLEO DE LA JUNTA DE ANDALUCIA, DESGLOSADO EN LOS SIGUIENTES LOTES LOTE 1 PUPITRES FIJOS Y LOTE 2 MESAS DE ALUMNOS, SILLAS DE ALUMNOS, MESAS DE PROFESOR, SILLAS DE PROFESOR Y PIZARRAS DE TIZA Y ROTULADOR

 

Date Awarded:

 

16/05/2014

 

Cost:

 

214.264,91 EURO.

 

 

 

Organisation that calls the tender:

 

EMPRESA DE TRANSFORMACION AGRARIA SA

 

Objective of Tender:

 

CONTRATACION DE SUMINISTRO DE EQUIPOS DE PROTECCION INDIVIDUAL Y COMPLEMENTOS PARA COMPONENTES DE RETENES Y EQUIPOS DE LUCHA EN INCENDIOS FORESTALES

 

Date Awarded:

 

06/05/2014

 

Cost:

 

48.418,76 EURO.

 

 

 

Organisation that calls the tender:

 

AYUNTAMIENTO DE EL PRAT DE LLOBREGAT

 

Objective of Tender:

 

Subministrament de vestuari, complements i calçat per a la Policia Local.

 

Date Awarded:

 

05/05/2014

 

Cost:

 

9.819,15 EUR, anuals.

 

 

 

Organisation that calls the tender:

 

SERVICIO MURCIANO DE SALUD

 

Objective of Tender:

 

Suministro de mobiliario (encimeras, muebles cambiadores de bebes y frontales de paritorios), para el equipamiento del nuevo pabellón maternal del Hospital Clínico Universitario "Virgen de la Arrixaca".

 

Date Awarded:

 

05/05/2014

 

Cost:

 

215.883,36 EURO.

 

 

 

Organisation that calls the tender:

 

AYUNTAMIENTO DE PRAT DE COMTE

 

Objective of Tender:

 

Suministro de vestuario, complementos y calzado para la Policia Local.

 

Date Awarded:

 

05/05/2014

 

Cost:

 

9.819,50 EURO.

 

 

 

Organisation that calls the tender:

 

SERVICIO GALLEGO DE SALUD

 

Objective of Tender:

 

adquisición de mobiliario general.

 

Date Awarded:

 

30/04/2014

 

Cost:

 

Importe compartido entre distintos Contratistas

 

 

 

Organisation that calls the tender:

 

AYUNTAMIENTO DE L' HOSPITALET DE LLOBREGAT

 

Objective of Tender:

 

Subministrament de la uniformitat per a diferent personal, subaltern i conserges d escola per a l any 2014.

 

Date Awarded:

 

29/04/2014

 

Cost:

 

4.000,00 EURO.

 

 

 

Organisation that calls the tender:

 

UNIVERSIDAD DE CADIZ

 

Objective of Tender:

 

Suministro con instalación de mobiliario de despachos con destino a la Escuela Superior de Ingeniería de la Universidad de Cádiz.

 

Date Awarded:

 

29/04/2014

 

Cost:

 

169.388,35 EURO.

 

 

 

Organisation that calls the tender:

 

UNIVERSIDAD DE CADIZ

 

Objective of Tender:

 

SUMINISTRO CON INSTALACION DEL MOBILIARIO DE DESPACHOS DE PROFESORES, DESPACHOS DE DIRECCION Y DESPACHOS ADMINISTRATIVOS PARA LA ESCUELA SUPERIOR DE INGENIERIA DE LA UNIVERSIDAD DE CADIZ EN EL CAMPUS DE PUERTO REAL, SUBVENCIONADO POR LA CONSEJERIA DE ECONOMIA, INNOVACION, CIENCIA Y EMPLEO DE LA JUNTA DE ANDALUCIA, COMPUESTO POR DOS LOTES LOTE 1, MOBILIARIO DE DESPACHOS DE PROFESORES Y, LOTE 2, MOBILIARIO DE DESPACHOS DE DIRECCION Y ADMINISTRATIVOS

 

Date Awarded:

 

29/04/2014

 

Cost:

 

169.388,35 EURO.

 

 

 

Organisation that calls the tender:

 

AUTORIDAD PORTUARIA DE SEVILLA

 

Objective of Tender:

 

DOTACION DE VESTUARIO AL PERSONAL DE OFICINAS DENTRO DE CONVENIO, FUERA DE CONVENIO Y ALTOS CARGOS PARA EL AÑO 2014

 

Date Awarded:

 

28/04/2014

 

Cost:

 

8.250,00 EURO.

 

 

 

Organisation that calls the tender:

 

COMPLEJO HOSPITALARIO DE PALENCIA

 

Objective of Tender:

 

SUMINISTRO DE GUANTES DE CIRUGIA, EXPLORACION Y CURAS

 

Date Awarded:

 

28/04/2014

 

Cost:

 

41.768,20 EURO.

 

 

 

Organisation that calls the tender:

 

AYUNTAMIENTO DE BENALMADENA

 

Objective of Tender:

 

Suministro Uniformidad, calzado y equipos de protección individual para el personal de mantenimiento y otros del Ayuntamiento.

 

Date Awarded:

 

24/04/2014

 

Cost:

 

153.498,36 EURO.

 

 

 

Organisation that calls the tender:

 

DIRECCION GENERAL DE LA GUARDIA CIVIL DEL MINISTERIO DE INTERIOR

 

Objective of Tender:

 

Contratación de prendas y artículos reglamentarios de uniformidad con destino al personal de distintas especialidades de la Guardia Civil, para el año 2014.

 

Date Awarded:

 

14/04/2014

 

Cost:

 

84.851,25 EURO.

 

 

 

Organisation that calls the tender:

 

DIRECCION GENERAL DE LA GUARDIA CIVIL DEL MINISTERIO DE INTERIOR

 

Objective of Tender:

 

CONTRATACION DE PRENDAS Y ARTICULOS REGLAMENTARIOS DE UNIFORMIDAD CON DESTINO AL PERSONAL DE DISTINTAS ESPECIALIDADES DE LA GUARDIA CIVIL, PARA EL AÑO 2014

 

Date Awarded:

 

14/04/2014

 

Cost:

 

84.851,25 EURO.

 

 

 

Organisation that calls the tender:

 

AYUNTAMIENTO DE CHICLANA DE LA FRONTERA

 

Objective of Tender:

 

Suministro de vestuario y calzado con destino a la Policía Local

 

Date Awarded:

 

11/04/2014

 

Cost:

 

96.595,58 EURO.

 

 

 

Organisation that calls the tender:

 

SERVICIO DE SALUD DE LAS ISLAS BALEARES

 

Objective of Tender:

 

Suministro mediante arrendamiento con opción de compra del suministro de mobiliario de oficina para el nuevo hospital Can Misses de Ibiza.

 

Date Awarded:

 

11/04/2014

 

Cost:

 

1.525.835,00 EURO.

 

 

 

Organisation that calls the tender:

 

AYUNTAMIENTO DE SANT FRUITOS DE BAGES

 

Objective of Tender:

 

subministrament d aparells audiovisuals.

 

Date Awarded:

 

09/04/2014

 

Cost:

 

12.406,76 EURO.

 

 

 

Organisation that calls the tender:

 

UNIVERSIDAD DE SEVILLA

 

Objective of Tender:

 

SUMINISTRO E INSTALACION DE CORTINAS Y MOBILIARIO DE HOGAR PARA LA NUEVA FACULTAD DE ENFERMERIA, FISIOTERAPIA Y PODOLOGIA

 

Date Awarded:

 

03/04/2014

 

Cost:

 

27.592,99 EURO.

 

 

 

Organisation that calls the tender:

 

DEPARTAMENTO DE INTERIOR DE LA COMUNIDAD AUTONOMA DE CATALUÑA

 

Objective of Tender:

 

SUMINISTRO DE DIVERSO VESTUARIO PARA EL CUERPO DE MOZOS DE ESCUADRA, DIVIDIDO EN 3 LOTES

 

Date Awarded:

 

03/04/2014

 

Cost:

 

43.799,99 EURO.

 

 

 

Organisation that calls the tender:

 

SERVICIO MURCIANO DE SALUD

 

Objective of Tender:

 

Suministros. Papel A3 y A4.

 

Date Awarded:

 

26/03/2014

 

Cost:

 

Importe compartido entre distintos Contratistas

 

 

 

Organisation that calls the tender:

 

SERVICIO MURCIANO DE SALUD

 

Objective of Tender:

 

Suministro de lencería calzado y vestuario.

 

Date Awarded:

 

25/03/2014

 

Cost:

 

Importe compartido entre distintos Contratistas

 

 

 

Organisation that calls the tender:

 

CABILDO INSULAR DE LANZAROTE

 

Objective of Tender:

 

Contratación del suministro de equipamiento y materiales varios de la Residencia de Mayores Las Cabreras, para su puesta en funcionamiento.

 

Date Awarded:

 

24/03/2014

 

Cost:

 

62.484,30 EURO.

 

 

 

Organisation that calls the tender:

 

AYUNTAMIENTO DE ALICANTE

 

Objective of Tender:

 

Suministro de vestuario, uniformes y accesorios para el personal del Cuerpo de la Policía Local.

 

Date Awarded:

 

24/03/2014

 

Cost:

 

1.027.323,88 EURO.

 

 

 

Organisation that calls the tender:

 

AYUNTAMIENTO DE ALICANTE

 

Objective of Tender:

 

Suministro de vestuario, uniformes y accesorios para el personal del Servicio de Prevención, Extinción de Incendios y Salvamento.

 

Date Awarded:

 

24/03/2014

 

Cost:

 

246.785,55 EURO.

 

 

 

Organisation that calls the tender:

 

CENTRO MUNICIPAL DE EMPRESAS DE GIJON SA

 

Objective of Tender:

 

OBRAS DE ADECUACION DEL CENTRO DE SERVICIOS MORA GARAY PARA OFICINAS Y LAS OBRAS DE HABILITACION DE UN NUEVO ACCESO AL EDIFICIO DE OFICINAS INTRA 2

 

Date Awarded:

 

24/03/2014

 

Cost:

 

146.358,66 EURO.

 

 

 

Organisation that calls the tender:

 

CENTRO MUNICIPAL DE EMPRESAS DE GIJON SA

 

Objective of Tender:

 

OBRAS DE ADECUACION DEL CENTRO DE SERVICIOS MORA GARAY PARA OFICINAS Y LAS OBRAS DE HABILITACION DE UN NUEVO ACCESO AL EDIFICIO DE OFICINAS INTRA 2

 

Date Awarded:

 

24/03/2014

 

Cost:

 

146.858,66 EURO.

 

 

 

Organisation that calls the tender:

 

CONFEDERACION HIDROGRAFICA DEL EBRO

 

Objective of Tender:

 

Suministro de vestuario, complementos, calzado y pantalones térmicos para personal laboral y agentes medioambientales de la Confederación Hidrográfica del Ebro para 2014.

 

Date Awarded:

 

18/03/2014

 

Cost:

 

100.792,84 EURO.

 

 

 

Organisation that calls the tender:

 

CONFEDERACION HIDROGRAFICA DEL EBRO

 

Objective of Tender:

 

SUMINISTRO DE VESTUARIO, COMPLEMENTOS, CALZADO Y PANTALONES TERMICOS PARA PERSONAL LABORAL Y AGENTES MEDIOAMBIENTALES DE LA CONFEDERACION HIDROGRAFICA DEL EBRO PARA 2014

 

Date Awarded:

 

18/03/2014

 

Cost:

 

segun lote

 

 

 

Organisation that calls the tender:

 

CONSORCIO SANITARIO INTEGRAL

 

Objective of Tender:

 

acord marc amb un únic proveïdor per lot per al subministrament de bosses d escombreries als Centres del Consorci Sanitari Integral.CPV: 19640000-4 CPA: 22.22.11.

 

Date Awarded:

 

14/03/2014

 

Cost:

 

115.536,52 EURO.

 

 

 

Organisation that calls the tender:

 

CONSORCIO SANITARIO INTEGRAL

 

Objective of Tender:

 

acord marc amb un únic proveïdor per al subministrament de paper higiènic i celluloses als Centres del Consorci Sanitari Integral.

 

Date Awarded:

 

14/03/2014

 

Cost:

 

110.044,96 EURO.

 

 

 

Organisation that calls the tender:

 

SERVICIO MURCIANO DE SALUD

 

Objective of Tender:

 

Suministro de material desechable para protección.

 

Date Awarded:

 

12/03/2014

 

Cost:

 

Importe compartido entre distintos Contratistas

 

 

 

Organisation that calls the tender:

 

AYUNTAMIENTO DE VILLATOBAS

 

Objective of Tender:

 

EQUIPAMIENTOS VARIOS PARA LA FACULTAD DE ENFERMERIA, FISIOTERAPIA Y PODOLOGIA

 

Date Awarded:

 

10/03/2014

 

Cost:

 

LOTE 3: 6.926,06 EUR; LOTE 4: 11.506,64 EUR; LOTE 5: 10.594,36 EUR

 

 

 

Organisation that calls the tender:

 

SERVICIO NAVARRO DE SALUD

 

Objective of Tender:

 

SUMINISTRO DE EQUIPAMIENTO GENERAL Y MOBILIARIO PARA EL EDIFICIO DE URGENCIAS DEL COMPLEJO HOSPITALARIO DE NAVARRA

 

Date Awarded:

 

28/02/2014

 

Cost:

 

12.314,51 EURO.

 

 

 

Organisation that calls the tender:

 

SERVICIO NAVARRO DE SALUD

 

Objective of Tender:

 

EQUIPAMIENTO GENERAL DEL PABELLON C EN C H N

 

Date Awarded:

 

28/02/2014

 

Cost:

 

29.180,29 EURO.

 

 

 

Organisation that calls the tender:

 

SERVICIO NAVARRO DE SALUD

 

Objective of Tender:

 

EQUIPAMIENTO GENERAL DEL PABELLON C EN C H N

 

Date Awarded:

 

28/02/2014

 

Cost:

 

32.081,19 EURO.

 

 

 

Organisation that calls the tender:

 

CONSEJERIA DE AGRICULTURA DESARROLLO RURAL MEDIO AMBIENTE Y ENERGIA DE LA COMUNIDAD AUTONOMA DE EXTREMADURA

 

Objective of Tender:

 

Suministro de vestuario ignífugo para labores de extinción del personal adscrito al Plan Infoex (Dos lotes)

 

Date Awarded:

 

27/02/2014

 

Cost:

 

90.648,11 EURO.

 

 

 

Organisation that calls the tender:

 

HOSPITAL RAMON Y CAJAL DE MADRID

 

Objective of Tender:

 

Suministro de material de limpieza, aseo e higiene (cepillos quirúrgicos, vasos unidosis, pañuelos celulosa, etc.) para el almacén general del Hospital Universitario Ramón y Cajal.

 

Date Awarded:

 

24/02/2014

 

Cost:

 

Importe compartido entre distintos Contratistas

 

 

 

Organisation that calls the tender:

 

ASEPEYO MUTUA DE ACCIDENTES DE TRABAJO Y ENFERMEDADES PROFESIONALES

 

Objective of Tender:

 

OBRAS DE REFORMA INTEGRAL DEL CENTRO ASISTENCIAL DE ASEPEYO, MUTUA DE ACCIDENTES DE TRABAJO Y ENFERMEDADES PROFESIONALES DE LA SEGURIDAD SOCIAL, NUM 151, SITO EN A CORUÑA

 

Date Awarded:

 

24/02/2014

 

Cost:

 

335.041,83 EURO.

 

 

 

Organisation that calls the tender:

 

DIPUTACION FORAL DE ALAVA

 

Objective of Tender:

 

MANTENIMIENTO DE LOS PROGRAMAS INFORMATICOS ORACLE Y FATWIRE INSTALADOS EN LA DIPUTACION FORAL DE ALAVA

 

Date Awarded:

 

24/02/2014

 

Cost:

 

193.574,59 EURO.

 

 

 

Organisation that calls the tender:

 

HOSPITAL UNIVERSITARIO DEL RIO HORTEGA DE VALLADOLID

 

Objective of Tender:

 

Suministro de menaje de cocina

 

Date Awarded:

 

20/02/2014

 

Cost:

 

75.901,74 EURO.

 

 

 

Organisation that calls the tender:

 

AYUNTAMIENTO DE PALENCIA

 

Objective of Tender:

 

SUMINISTRO DE VESTUARIO PARA LA PLANTILLA DE POLICIA LOCAL PARA LOS PROXIMOS CUATRO AÑOS

 

Date Awarded:

 

19/02/2014

 

Cost:

 

segun lotes

 

 

 

Organisation that calls the tender:

 

AYUNTAMIENTO DE LEGANES

 

Objective of Tender:

 

Suministro de Vestuario para el servicio de Extinción de Incendios del Ayuntamiento de Leganés.

 

Date Awarded:

 

05/02/2014

 

Cost:

 

39.929,88 EURO.

 

 

 

Organisation that calls the tender:

 

AYUNTAMIENTO DE LEGANES

 

Objective of Tender:

 

Suministro de Vestuario para el servicio de Extinción de Incendios del Ayuntamiento de Leganés.

 

Date Awarded:

 

05/02/2014

 

Cost:

 

212.766,40 EURO.

 

 

 

Organisation that calls the tender:

 

AYUNTAMIENTO DE LEGANES

 

Objective of Tender:

 

Suministro de Vestuario para el servicio de Extinción de Incendios del Ayuntamiento de Leganés.

 

Date Awarded:

 

05/02/2014

 

Cost:

 

20.322,86 EURO.

 

 

 

Organisation that calls the tender:

 

ENTE PUBLICO EUSKAL TRENBIDE SAREA

 

Objective of Tender:

 

suministro del vestuario laboral para el personal de Euskal Trenbide Sarea

 

Date Awarded:

 

05/02/2014

 

Cost:

 

91.416,90 EURO.

 

 

 

Organisation that calls the tender:

 

UNIVERSIDAD DE SEVILLA

 

Objective of Tender:

 

ADQUISICION DE SILLERIA PARA LA FACULTAD DE ENFERMERIA, FISIOTERAPIA Y PODOLOGIA

 

Date Awarded:

 

05/02/2014

 

Cost:

 

8.816,13 EURO.

 

 

 

Organisation that calls the tender:

 

AYUNTAMIENTO DE IRUN

 

Objective of Tender:

 

Suministro de vestuario laboral.

 

Date Awarded:

 

29/01/2014

 

 

 

Organisation that calls the tender:

 

AYUNTAMIENTO DE OVIEDO

 

Objective of Tender:

 

Suministro de vestuario, calzado y otro material con destino a la Policía Local.

 

Date Awarded:

 

24/01/2014

 

Cost:

 

101.348 euros (lote 2), 21.600 euros (lote 3)

 

 

 

Organisation that calls the tender:

 

HOSPITAL CLINICO UNIVERSITARIO LOZANO BLESA

 

Objective of Tender:

 

Suministro de material sanitario general diverso.

 

Date Awarded:

 

13/01/2014

 

Cost:

 

Importe compartido entre distintos Contratistas

 

 

 

Organisation that calls the tender:

 

CORPORACION SANITARIA PARC TAULI

 

Objective of Tender:

 

Productos de cuidado y prevención de lesiones por presión.

 

Date Awarded:

 

10/01/2014

 

Cost:

 

Importe compartido entre distintos Contratistas

 

 

 

 

Research Summary

 

 

Company founded in 1940, engaged in the exploitation of big surfaces of sale of all Kind of products. Family company, whose shareholders, according to the sources consulted, are more less distant relatives of the deceased. (Ramón Arces). Although the company is characterized by a jealous privacy in their reporting, indicated repeatedly that most of the package is in hands of Ramón Areces Foundation, for legacy of its founder Isidoro Álvarez. Nothing appears against the company in the sources consulted. Given the above we believe that the company can continue taking risk operations commensurate with its size.

 

 

FOREIGN EXCHANGE RATES

 

Currency

Unit

Indian Rupees

US Dollar

1

Rs.62.13

UK Pound

1

Rs.95.77

Euro

1

Rs.71.05

 

INFORMATION DETAILS

 

Analysis Done by :

DIV

 

 

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%)

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.