MIRA INFORM REPORT

 

 

Report No. :

497581

Report Date :

15.03.2018

 

 

 

IDENTIFICATION DETAILS

 

Name :

EMA NEGOCE

 

 

Registered Office :

EMA Negoce 11 Rue Albert Joly 78000 Versailles

 

 

Country :

France

 

 

Financials (as on) :

31.12.2015

 

 

Date of Incorporation :

July 2006

 

 

Legal Form :

Limited Liability Company

 

 

Line of Business :

Intermediaries specialized in the trade of other specific products

 

 

No. of Employees :

4 (2015)

 

 

RATING & COMMENTS

(Mira Inform has adopted New Rating mechanism w.e.f. 23rd January 2017)

 

MIRA’s Rating :

A

 

Credit Rating

Explanation

Rating Comments

A

Acceptable Risk

Business dealings permissible with moderate risk of default

 

 

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

 

Country Name

Previous Rating

(30.09.2017)

Current Rating

(31.12.2017)

France

A1

A1

 

Risk Category

ECGC Classification

Insignificant

 

A1

Low Risk

 

A2

Moderately Low Risk

 

B1

Moderate Risk

 

B2

Moderately High Risk

 

C1

High Risk

 

C2

Very High Risk

 

D

 


 

FRANCE - ECONOMIC OVERVIEW

 

The French economy is diversified across all sectors. The government has partially or fully privatized many large companies, including Air France, France Telecom, Renault, and Thales. However, the government maintains a strong presence in some sectors, particularly power, public transport, and defense industries. France is the most visited country in the world with 83 million foreign tourists in 2016, including 530,000 visitors for the 2016 Euro Cup. France's leaders remain committed to a capitalism in which they maintain social equity by means of laws, tax policies, and social spending that mitigate economic inequality.

France's real GDP grew by 1.6% in 2017, up from 1.2% the year before. The unemployment rate (including overseas territories) increased from 7.8% in 2008 to 10.2% in 2015, before falling to 9.5% in 2017. Youth unemployment in metropolitan France decreased from 24.6% in the fourth quarter of 2014 to 24% in the fourth quarter of 2016.

France’s public finances have historically been strained by high spending and low growth. Despite measures to restore public finances, the budget deficit rose from 3.3% of GDP in 2008 to 7.5% of GDP in 2009. In 2017, the budget deficit improved to 2.9% of GDP, bringing it in compliance with the EU-mandated 3% deficit target. Meanwhile, France's public debt rose from 89.5% of GDP in 2012 to 96.9% in 2017.

Since entering office in May 2017, President Emmanuel MACRON launched a series of economic reforms to improve competitiveness and boost economic growth. President MACRON campaigned on reforming France’s labor code and in late 2017 implemented a range of reforms to increase flexibility in the labor market by making it easier for firms to hire and fire and simplifying negotiations between employers and employees. In addition to labor reforms, President MACRON’s proposed 2018 budget cuts public spending, taxes, and social security contributions to spur private investment and increase purchasing power.

 

Source : CIA

 


Company summery

 

SIRET

490 995 446 00047

Name

EMA NEGOCE

Acronym

-

Trade name

-

Status

Economically active

Postal Address

EMA NEGOCE
11 RUE ALBERT JOLY
78000 VERSAILLES
FRANCE

Share Capital

133,200 Euros

Telephone

01 39 50 99 71

Activity (APE)

Intermediaries specialized in the trade of other specific products (4618Z)

RCS Registration

RCS Versailles B 490 995 446

Formation Date

07/2006

EUR VAT Number

FR28490995446

Deregistration Date

-

Last account Date

31/12/2015

Court Registry Number

20 0 9B03749

Incorporiation Date

07/2006

Registration Court

Versailles (78)

Fax

-

Nationality

France

Legal form

Limited Liability Company

Currency

Euros

 

 

Key Financials

 

Year to date

Turnover

Gross operating surplus

Shareholder's equity

Net result

Employees

31/12/2015

9,467,670 €

1.54% Turnover

1,261,167 €

121,466 €

4 employees

31/12/2014

9,725,348 €

1.65% Turnover

1,139,702 €

100,189 €

4 employees

31/12/2013

9,499,173 €

3.34% Turnover

1,039,513 €

201,023 €

5 employees

 

 

Directors

 

Current Directors

4

 

 

Judgment and Preferential

 

Judgment

No judgement

Preferential Right

Collection of preferential rights for this company has been stopped by the Court

 

 

Establishment Details

 

Type of Establishment

Head Office

Production Role

-

APE/NAF Code

4618Z

Activity

Intermediaries specialized in the trade of other specific products

Formation Date

09/2015

Reason for Formation

Formation

Closure Date

-

Reason for Closure

-

Reactivation Date

-

Seasonality

-

Activity Nature

-

Activity Location

-

Trading Address

11 RUE ALBERT JOLY
78000 VERSAILLES

Department

Yvelines (78)

Location Surface

-

District

4

City

VERSAILLES

Status

Economically active

Business Pages FT®

LUBRIFIANTS (FABRICATION, GROS)

Region

Ile-de-France

Area

99

Size of Urban Area

Paris conglomeration

 

 

Other Establishment(s)

 

Regionality

Legal unit with all establishments in same area

Mono-activity status

Legal unit having all establishments with the same main activity

Branches

1 branch entities in this company

 

Company Name

Company Type

APE/NAF Code

Activity

City

Post Code

EMA NEGOCE

Head Office

4618Z

Intermediaries specialized in the trade of other specific products

VERSAILLES

78000

EMA NEGOCE

Branch

4618Z

Intermediaries specialized in the trade of other specific products

VERSAILLES

78000

EMA NEGOCE

Branch

4618Z

Intermediaries specialized in the trade of other specific products

SURESNES

92150

EMA NEGOCE

Branch

4618Z

Intermediaries specialized in the trade of other specific products

SAINT CLOUD

92210

 

Workforces

Workforce at address

0 employee

Company workforce

0 employee

 

 

Workforce account

3 to 5 employees

 

 

31/12/2015

 

 

Commentary

The comments are ordered according to the class of risk. Companies are compared with regard to other companies of the same type. Thus a positive comment for one category can be negative for another or can change depending on its value. This is a purely statistical decision.

The return on total assets employed is positive

The pre-tax profit is more than 25,000€

The shareholder's equity is more than 250,000€

The ratio total assets to total liabilities is 1.58

The sales to current assets ratio is 2.77

The company is 11 years old

The debtor days are 105.70

The tangible fixed assets are 1,493 €

 

 

Industry comparison

Activity (APE)

Intermediaries specialized in the trade of other specific products (4618Z)

 

Collective procedures

No judgment information for the company

 

 

Preferential rights details and history

 

Summary of preferential rights

Company monitored since

14/10/2008

Monitored stopped since

14/10/2010

Status of Monitoring

Collection of preferential rights for this company has been stopped by the Court

 

Group Data

No group information available for the company

 

Linkages

No Linkages information available for the company.

Director(s)

Name

M. LEGRAND JEAN-DAMIEN

Manager position

Manager

Date of birth

16/02/1976

Place of birth

PARIS

Type

Individual

Name at birth

Name

M. MAUVISSEAU BERTRAND

Manager position

Manager

Date of birth

17/11/1971

Place of birth

PARIS

Type

Individual

Name at birth

 

Statutory Auditor

Name

M. CHAVANE LAURENT

 

Manager position

Deputy auditor

Date of birth

03/12/1969

 

Place of birth

SURESNES

 

Type

Individual

Name at birth

 

 

Name

SOCIETE PARISIENNE DE CONSEIL ET DE COMPTABILITE

Name of representative

Manager position

Statutory auditor

Date of birth

-

Place of birth

Type

Moral person

Name at birth

 

Previous Directors

Manager position

Title and name

Date of Birth/Place of Birth

Manager

M. LEGRAND JEAN-DAMIEN

16/02/1976 - PARIS

Manager

M. LEGRAND JEAN-DAMIEN

16/02/1976 - PARIS 12

Co-managing partner

M. MAUVISSEAU BERTRAND

17/11/1971 - PARIS

 

Status history

Date

Description

15/09/2015

Economically active

 

Recent publications in Gazettes

Publication date

Gazette Name

Description

29/07/2016

Bodacc C

Comptes annuels et rapports

78 - YVELINES

GREFFE DU TRIBUNAL DE COMMERCE DE VERSAILLES

6675 - 490995446 RCS. EMA NEGOCE. Forme : Société à responsabilité limitée. Adresse : 11 Bis Rue Albert Joly 78000 Versailles. Commentaires : Comptes annuels et rapports de l'exercice clos le : 31/12/2015.

20/10/2015

Bodacc B

Modification et mutation diverse

78 - YVELINES

GREFFE DU TRIBUNAL DE COMMERCE DE VERSAILLES

1580 - 490 995 446 RCS Versailles. EMA NEGOCE. Forme : Société à responsabilité limitée. Activité : .
Adresse du siège social : 11 Bis Rue Albert Joly, 78000 Versailles.
Commentaires : Modification de l'adresse du siège.

13/10/2015

JAL

Head Office Transfer

Semaine de l'Ile-de-France (La)


Date de décision : 15/09/2015
Transfert du siège social de la société 490995446 -  EMA NEGOCE
Adresse du nouveau siège : 11B RUE ALBERT-JOLY, 78000 VERSAILLES
Ancienne localisation : 8 RUE DES RESERVOIRS, 78000 VERSAILLES
Date d'effet : 15/09/2015

30/07/2015

Bodacc C

Comptes annuels et rapports

78 - YVELINES

GREFFE DU TRIBUNAL DE COMMERCE DE VERSAILLES

9627 - 490995446 RCS. EMA NEGOCE. Forme : Société à responsabilité limitée. Adresse : 8 rue des Réservoirs 78000 Versailles. Commentaires : Comptes annuels et rapports de l'exercice clos le : 31/12/2014.

08/08/2014

Bodacc C

Comptes annuels et rapports

78 - YVELINES

GREFFE DU TRIBUNAL DE COMMERCE DE VERSAILLES

11600 - 490995446 RCS. EMA NEGOCE. Forme : Société à responsabilité limitée. Adresse : 8 rue des Réservoirs 78000 Versailles. Commentaires : Comptes annuels et rapports de l'exercice clos le : 31/12/2013.

22/07/2013

Bodacc C

Comptes annuels et rapports

78 - YVELINES

GREFFE DU TRIBUNAL DE COMMERCE DE VERSAILLES

11409 - 490995446 RCS. EMA NEGOCE. Forme : Société à responsabilité limitée. Adresse : 8 rue des Réservoirs 78000 Versailles. Commentaires : Comptes annuels et rapports de l'exercice clos le : 31/12/2012.

09/07/2012

Bodacc C

Comptes annuels et rapports

78 - YVELINES

GREFFE DU TRIBUNAL DE COMMERCE DE VERSAILLES

10965 - 490995446 RCS. EMA NEGOCE. Forme : Société à responsabilité limitée. Adresse : 8 rue des Réservoirs 78000 Versailles. Commentaires : Comptes annuels et rapports de l'exercice clos le : 31/12/2011.

17/02/2012

Bodacc B

Modification et mutation diverse

78 - YVELINES

GREFFE DU TRIBUNAL DE COMMERCE DE VERSAILLES

1656 - 490 995 446 RCS Versailles. EMA NEGOCE. Forme : Société à responsabilité limitée. Administration : Gérant : LEGRAND Jean-Damien en fonction le 05 Novembre 2009 Commissaire aux comptes suppléant : CHAVANE Laurent en fonction le 05 Novembre 2009 Commissaire aux comptes titulaire : SOCIETE PARISIENNE DE CONSEIL ET DE COMPTABILITE en fonction le 05 Novembre 2009 Co-gérant : MAUVISSEAU Bertrand en fonction le 09 Février 2012. Activité : .
Commentaires : Modification de représentant.

14/02/2012

JAL

Appointment of the social representative

Semaine de l Ile-de-France (La)


Date de décision : 02/01/2012
Société faisant l'objet d'une nomination : 490995446 - EMA NEGOCE, 8 RUE DES RESERVOIRS, 78000 VERSAILLES
Nominé : Monsieur Bertrand MAUVISSEAU, 78540 VERNOUILLET
En la fonction de : Co-Gérant

21/10/2011

Bodacc B

Modification et mutation diverse

78 - YVELINES

GREFFE DU TRIBUNAL DE COMMERCE DE VERSAILLES

1208 - 490 995 446 RCS Versailles. EMA NEGOCE. Forme : Société à responsabilité limitée. Capital : 133200 EUR. Activité : .
Commentaires : Modification du capital.

18/10/2011

JAL

Modification of the share capital

Semaine de l'Ile-de-France (La)


Date de décision : 21/09/2011
La société : 490995446 - EMA NEGOCE, 8 RUE DES RESERVOIRS, 78000 VERSAILLES a subi une augmentation de son capital social désormais de 133 200 €
Date d'effet : 21/09/2011

26/07/2010

Bodacc C

Comptes annuels et rapports

78 - YVELINES

GREFFE DU TRIBUNAL DE COMMERCE DE VERSAILLES

6516 - 490995446 RCS. EMA NEGOCE. Forme : Société à responsabilité limitée. Adresse : 8 rue des Réservoirs 78000 Versailles. Commentaires : Comptes annuels et rapports de l'exercice clos le : 31/12/2009.

17/11/2009

Bodacc A

Immatriculation

78 - YVELINES

GREFFE DU TRIBUNAL DE COMMERCE DE VERSAILLES

855 - 490 995 446 RCS Versailles. EMA NEGOCE. Forme : Société à responsabilité limitée. Administration : Gérant : LEGRAND Jean-Damien Commissaire aux comptes suppléant : CHAVANE Laurent Commissaire aux comptes titulaire : SOCIETE PARISIENNE DE CONSEIL ET DE COMPTABILITE. Capital : 116600 EUR. Adresse : 8 rue des Réservoirs, 78000 Versailles.
Date de commencement de l’activité : 01/01/0001. Descriptif : Immatriculation d'une personne morale suite au transfert du sige hors ressort. Modification du capital. Modification de reprsentant. Commentaires : Immatriculation d'une personne morale suite à transfert de son siège social.

07/10/2009

Bodacc C

Comptes annuels et rapports

92 - HAUTS-DE-SEINE

GREFFE DU TRIBUNAL DE COMMERCE DE NANTERRE

9680 - 490995446 RCS. EMA NEGOCE. Forme : Société à responsabilité limitée. Adresse : 152 rue des Tennerolles 92210 Saint-Cloud. Commentaires : Comptes annuels et rapports de l'exercice clos le : 31/12/2008.

04/07/2008

Bodacc B

Modification et mutation diverse

92 - HAUTS-DE-SEINE

GREFFE DU TRIBUNAL DE COMMERCE DE NANTERRE

2072 - 490 995 446 RCS Nanterre. EMA NEGOCE. Forme : Société à responsabilité limitée. Capital : 100000 EUR.
Commentaires : Modification du capital.

29/05/2008

Bodacc C

Comptes annuels et rapports

92 - HAUTS-DE-SEINE

GREFFE DU TRIBUNAL DE COMMERCE DE NANTERRE

9834 - 490995446 RCS. EMA NEGOCE. Forme : Société à responsabilité limitée. Adresse : 152 rue des Tennerolles 92210 Saint-Cloud. Commentaires : Comptes annuels et rapports de l'exercice clos le : 31/12/2007.

12/06/2007

Bodacc B

Modifications et mutations diverses

2702 - RCS Nanterre B 490 995 446. RC 06-B 4159. EMA NEGOCE. Forme : S.A.R.L. Capital : 36 000 euros. Commentaires : modification survenue sur le capital (augmentation).

24/05/2007

Bodacc C

Avis de dépôt des comptes

7671 - RCS Nanterre B 490 995 446. RC 06-B 4159. EMA NEGOCE. Forme: S.A.R.L.. Adresse du siège social: 152, rue des Tennerolles,92210 Saint-Cloud. Comptes annuels et rapports de l'exercice clos le: 31 décembre 2006.

26/07/2006

Bodacc A

Création d'établissement

1908 - RCS Nanterre B 490 995 446. RC 06-B 4159. EMA NEGOCE. Forme : S.A.R.L. Capital : 15 000 euros. Adresse du siège social : 152 rue des Tennerolles, 92210 Saint-Cloud. Administration : gérant : LEGRAND (Jean-Damien). Etablissement principal - Activité : négoce international. Adresse : 152 rue des Tennerolles, 92210 Saint-Cloud. Cette société se constitue . Date de début d'activité : 10 juillet 2006.

 

Company events history

Date

Description

29/07/2016

Bodacc C : Deposit accounts notice

14/07/2016

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

31/12/2015

New accounts available

20/10/2015

Bodacc B: Various editing or changing

13/10/2015

Legal Gazette: Head Office Transfer

12/10/2015

Updated articles of association

12/10/2015

Registered office transferred inside jurisdiction of the Commercial Court

12/10/2015

Minutes of general meeting of shareholders

15/09/2015

Update of Company Head Office Identifier

30/07/2015

Bodacc C : Deposit accounts notice

17/07/2015

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

31/12/2014

New accounts available

08/08/2014

Bodacc C : Deposit accounts notice

01/08/2014

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

31/12/2013

New accounts available

22/07/2013

Bodacc C : Deposit accounts notice

15/07/2013

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

26/06/2013

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

31/12/2012

New accounts available

09/07/2012

Bodacc C : Deposit accounts notice

05/07/2012

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

17/02/2012

Bodacc B: Various editing or changing

09/02/2012

Minutes of general meeting of shareholders

09/02/2012

Appointment/resignation of company officers

02/01/2012

Legal Gazette: Appointment of the social representative

31/12/2011

New accounts available

21/10/2011

Bodacc B: Various editing or changing

13/10/2011

Updated articles of association

13/10/2011

Minutes of general meeting of shareholders

13/10/2011

Capital increase

21/09/2011

Legal Gazette: Modification of the share capital

11/08/2011

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

31/12/2010

New accounts available

26/07/2010

Bodacc C : Deposit accounts notice

31/12/2009

New accounts available

17/11/2009

Bodacc A : Registration

05/11/2009

New auditor

05/11/2009

Capital increase

05/11/2009

Registered office transferred outside jurisdiction of the Commercial Court

05/11/2009

Registration after transfer

05/11/2009

Updated articles of association

05/11/2009

Minutes of general meeting of shareholders

07/10/2009

Bodacc C : Deposit accounts notice

31/12/2008

New accounts available

14/10/2008

Collection of preferential rights activated for this company

04/07/2008

New Bodacc B ads detected

04/07/2008

Bodacc B: Various editing or changing

25/06/2008

Fund deposit certificate

25/06/2008

Updated articles of association

25/06/2008

Updated articles of association

25/06/2008

Private document

25/06/2008

Minutes of general meeting of shareholders

25/06/2008

Minutes of general meeting of shareholders

25/06/2008

Capital increase

25/06/2008

Capital increase

29/05/2008

Bodacc C : Deposit accounts notice

31/12/2007

New accounts available

10/05/2007

Minutes of general meeting of shareholders

10/05/2007

Minutes of general meeting of shareholders

10/05/2007

Fund deposit certificate

10/05/2007

Private document

10/05/2007

Updated articles of association

10/05/2007

Capital increase

10/05/2007

Capital increase

10/05/2007

Updated articles of association

31/12/2006

New accounts available

11/07/2006

Private document

11/07/2006

Articles of association

11/07/2006

Company formation

11/07/2006

Company formation

11/07/2006

Articles of association

 

Establishment events history

Date

Description

19/04/2017

Update of phone numbers

15/09/2015

Formation of Head office (after transfer)

 

 

 

Financial

 

Synthesized Accounts

Annual Accounts

31/12/2015

31/12/2014

31/12/2013

Account period (month)

12

12

12

Account Type

Normal

Normal

Normal

Date of capture

13/07/2016

16/07/2015

26/07/2014

Activity Code

4618Z

4618Z

4618Z

Employees

4

4

5

Active account

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Sector Median 2015

Capital not called

0

0%

0

0%

0

0

0%

Total fixed assets

24,781

29.0%

19,207

-44.0%

34,314

9,809

152.6%

Intangible assets

0

0%

0

0%

0

0

0%

Tangible assets

1,493

-32.3%

2,206

-29.1%

3,112

2,096

-28.8%

Financial assets

23,288

37.0%

17,000

-45.5%

31,202

90

25775.6%

Net current assets

3,412,710

-3.1%

3,522,837

14.2%

3,085,533

124,804

2634.5%

Stocks

142,984

-26.3%

194,041

41.4%

137,248

0

0%

Advanced payments

0

0%

0

0%

0

0

0%

Receivables

2,741,707

-9.6%

3,031,215

21.5%

2,493,802

46,372

5812.5%

Securities and cash

528,019

77.4%

297,580

-34.5%

454,483

27,952

1789.0%

Prepaid expenses

-

-

-

-

-

0

-

Accounts of regularization

4,183

-41.2%

7,117

-67.1%

21,646

0

0%

Total Assets

3,441,674

-3.0%

3,549,159

13.0%

3,141,494

165,935

1974.1%

Passive Account

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Sector Median 2015

Shareholders' equity

1,261,167

10.7%

1,139,702

9.6%

1,039,513

60,093

1998.7%

Share capital

133,200

0%

133,200

0%

133,200

8,000

1565.0%

Other capital resources

0

0%

0

0%

0

0

0%

Risk Provisions

0

0%

0

0%

18,992

0

0%

Liabilities

2,173,279

-9.1%

2,391,179

14.9%

2,080,335

74,673

2810.4%

Financial liabilities

415,306

361.1%

90,069

-80.6%

463,259

4,884

8403.4%

Advanced payments received

0

0%

0

0%

0

0

0%

Trade account payables

1,549,275

-27.5%

2,136,790

70.9%

1,250,260

11,614

13240.3%

Tax and social liabilities

51,698

-60.2%

130,032

26.4%

102,835

24,001

115.4%

Other debts and fixed assets liabilities

164,229

212.4%

52,566

-80.3%

266,635

3,664

4382.2%

Account regularization

0

0%

0

0%

0

0

0%

Total liabilities

3,441,674

-3.0%

3,549,159

13.0%

3,141,493

165,935

1974.1%

Results

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Sector Median 2015

Sales of Goods

9,504,059

-2.5%

9,750,733

2.1%

9,550,510

199,314

4668.4%

Net turnover

9,467,670

-2.6%

9,725,348

2.4%

9,499,173

194,455

4768.8%

of which net export turnover

8,889,593

0.4%

8,855,053

2.4%

8,643,467

0

0%

Operating charges

9,324,274

-2.8%

9,589,362

4.0%

9,224,747

186,430

4901.5%

Operating profit/loss

179,785

11.4%

161,371

-50.5%

325,763

6,969

2479.8%

Financial income

142,980

42.2%

100,517

53.8%

65,349

0

0%

Financial charges

147,245

47.6%

99,780

-0.9%

100,670

116

127384.8%

Financial profit/loss

-4,265

-678.7%

737

102.1%

-35,321

0

0%

Pretax net operating income

175,520

8.3%

162,108

-44.2%

290,442

7,289

2308.2%

Extraordinary income

1,238

-76.3%

5,216

1571.8%

312

0

0%

Extraordinary charges

1,548

-81.5%

8,349

785.4%

943

69

2143.5%

Extraordinary profit/loss

-310

90.1%

-3,133

-396.5%

-631

0

0%

Net result

121,466

21.2%

100,189

-50.2%

201,023

6,862

1670.3%

 

 

 

Accounts - Active

Normal Account

31/12/2015

31/12/2014

31/12/2013

Months

12

12

12

Grand Total - Active Accounts (I to VI)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Grand Total (I to VI)

Net

3,441,674

-3.0%

3,549,159

13.0%

3,141,494

Gross

CO

3,464,811

-3.2%

3,577,819

13.7%

3,146,350

Amortisation

1A

23,137

-19.3%

28,659

490.2%

4,856

Non declared distributed capital (I)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Non declared distributed capital (I)

AA3

0

0%

0

0%

0

Gross

AA

0

0%

0

0%

0

Active fixed asset (II)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Total Active fixed asset (II)

Net

24,781

29.0%

19,207

-44.0%

34,314

Gross

BJ

29,749

16.3%

25,585

-34.7%

39,170

Amortisation

BK

4,968

-22.1%

6,378

31.3%

4,856

Intangible fixed assets

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Start-up cost

Net

0

0%

0

0%

0

Gross

AB

0

0%

0

0%

0

Amortisation

AC

0

0%

0

0%

0

R&D expenses

Net

0

0%

0

0%

0

Gross

CX

0

0%

0

0%

0

Amortisation

CQ

0

0%

0

0%

0

Distributorships, patents

Net

0

0%

0

0%

0

Gross

AF

0

0%

0

0%

0

Amortisation

AG

0

0%

0

0%

0

Goodwill

Net

0

0%

0

0%

0

Gross

AH

0

0%

0

0%

0

Amortisation

AI

0

0%

0

0%

0

Other intangible fixed assets

Net

0

0%

0

0%

0

Gross

AJ

0

0%

0

0%

0

Amortisation

AK

0

0%

0

0%

0

Pre-payments and downpayments

Net

0

0%

0

0%

0

Gross

AL

0

0%

0

0%

0

Amortisation

AM

0

0%

0

0%

0

Sub Total Intangible asset

Net

0

0%

0

0%

0

Tangible fixed assets

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Lands

Net

0

0%

0

0%

0

Gross

AN

0

0%

0

0%

0

Amortisation

AO

0

0%

0

0%

0

Buildings

Net

0

0%

261

-51.0%

533

Gross

AP

0

0%

813

0%

813

Amortisation

AQ

0

0%

551

96.8%

280

Plant

Net

0

0%

0

0%

0

Gross

AR

0

0%

0

0%

0

Amortisation

AS

0

0%

0

0%

0

Other tangible fixed assets

Net

1,493

-23.2%

1,945

-24.6%

2,579

Gross

AT

6,461

-16.9%

7,772

8.6%

7,155

Amortisation

AU

4,968

-14.7%

5,827

27.3%

4,576

Fixed assets in construction

Net

0

0%

0

0%

0

Gross

AV

0

0%

0

0%

0

Amortisation

AW

0

0%

0

0%

0

Advances and payments on account

Net

0

0%

0

0%

0

Gross

AX

0

0%

0

0%

0

Amortisation

AY

0

0%

0

0%

0

Sub Total Tangible asset

Net

1,493

-32.3%

2,206

-29.1%

3,112

Financial assets

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Associates at equity

Net

0

0%

0

0%

0

Gross

CS

0

0%

0

0%

0

Amortisation

CT

0

0%

0

0%

0

Other participations

Net

12,000

0%

12,000

0%

12,000

Gross

CU

12,000

0%

12,000

0%

12,000

Amortisation

CV

0

0%

0

0%

0

Inter-company receivables

Net

0

0%

0

0%

14,202

Gross

BB

0

0%

0

0%

14,202

Amortisation

BC

0

0%

0

0%

0

Other investment securities

Net

0

0%

0

0%

0

Gross

BD

0

0%

0

0%

0

Amortisation

BE

0

0%

0

0%

0

Loans

Net

0

0%

0

0%

0

Gross

BF

0

0%

0

0%

0

Amortisation

BG

0

0%

0

0%

0

Other financial assets

Net

11,288

125.8%

5,000

0%

5,000

Gross

BH

11,288

125.8%

5,000

0%

5,000

Amortisation

BI

0

0%

0

0%

0

Sub Total Financial assets

Net

23,288

37.0%

17,000

-45.5%

31,202

Current Assets (III)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Total Current Assets

Net

3,412,710

-3.1%

3,522,837

14.2%

3,085,533

Gross

CJ

3,430,879

-3.2%

3,545,117

14.9%

3,085,533

Amortisation

CK

18,169

-18.5%

22,280

0%

0

Stocks

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Raw materials

Net

115,473

-0.2%

115,651

0%

0

Gross

BL

115,473

-0.2%

115,651

0%

0

Amortisation

BM

0

0%

0

0%

0

Work in progress (goods)

Net

0

0%

0

0%

0

Gross

BN

0

0%

0

0%

0

Amortisation

BO

0

0%

0

0%

0

Work in progress (services)

Net

0

0%

0

0%

0

Gross

BP

0

0%

0

0%

0

Amortisation

BQ

0

0%

0

0%

0

Semi-finished and finished products

Net

0

0%

0

0%

0

Gross

BR

0

0%

0

0%

0

Amortisation

BS

0

0%

0

0%

0

Goods for resale

Net

27,511

-64.9%

78,390

-42.9%

137,248

Gross

BT

27,511

-66.7%

82,502

-39.9%

137,248

Amortisation

BU

0

0%

4,111

0%

0

Sub Total Stocks

Net

142,984

-26.3%

194,041

41.4%

137,248

Advance payments to suppliers

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Advance payments to suppliers

Net

0

0%

0

0%

0

Gross

BV

0

0%

0

0%

0

Amortisation

BW

0

0%

0

0%

0

Debtors

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Trade accounts receivable

Net

2,636,347

-9.9%

2,924,819

23.8%

2,362,167

Gross

BX

2,654,516

-9.8%

2,942,988

24.6%

2,362,167

Amortisation

BY

18,169

0%

18,169

0%

0

Other debtors

Net

89,710

-8.3%

97,851

-20.6%

123,287

Gross

BZ

89,710

-8.3%

97,851

-20.6%

123,287

Amortisation

CA

0

0%

0

0%

0

Capital subscribed and called up

Net

0

0%

0

0%

0

Gross

CB

0

0%

0

0%

0

Amortisation

CC

0

0%

0

0%

0

Sub Total debtors

Net

2,726,057

-9.8%

3,022,670

21.6%

2,485,454

Divers

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Investment securities

Net

0

0%

60,000

0%

60,000

Gross

CD

0

0%

60,000

0%

60,000

Amortisation

CE

0

0%

0

0%

0

Cash and cash equivalents

Net

528,019

122.2%

237,580

-39.8%

394,483

Gross

CF

528,019

122.2%

237,580

-39.8%

394,483

Amortisation

CG

0

0%

0

0%

0

Sub Total Divers

Net

528,019

77.4%

297,580

-34.5%

454,483

Prepaid expenses

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Prepaid expenses

Net

15,650

83.1%

8,545

2.4%

8,348

Gross

CH

15,650

83.1%

8,545

2.4%

8,348

Amortisation

CI

0

0%

0

0%

0

Equalization accounts (IV to VI)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Expenses of loan issue to be spread

CW3

0

0%

0

0%

0

Gross

0

0%

0

0%

0

Premiums on redemption of bonds

CM3

0

0%

0

0%

0

Gross

0

0%

0

0%

0

Currency differential gain

CN3

4,183

-41.2%

7,117

-67.1%

21,646

Gross

4,183

-41.2%

7,117

-67.1%

21,646

References

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Due within one year

CP

0

0%

0

0%

0

Due after one year

CR

0

0%

0

0%

0

 

Accounts - Passive

Grand Total - Passive Accounts (I to V)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Grand Total (I to V)

EE

3,441,674

-3.0%

3,549,159

13.0%

3,141,493

Shareholder Equity (I)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Total shareholders' equity (Total I)

DL

1,261,167

10.7%

1,139,702

9.6%

1,039,513

Equity and shareholders' equity

DA

133,200

0%

133,200

0%

133,200

Issue and merger premiums

DB

23,400

0%

23,400

0%

23,400

Revaluation differentials

DC

0

0%

0

0%

0

Of which equity differential

EK

0

0%

0

0%

0

Legal reserve

DD

13,320

0%

13,320

0%

13,320

Statutory or contractual reserve

DE

0

0%

0

0%

0

Special regulated reserves

DF

0

0%

0

0%

0

Of which special reserve of provisions for current fluctuation

B1

0

0%

0

0%

0

Other reserves

DG

0

0%

0

0%

0

Of which reserve for buying originals works from alive artists

EJ

0

0%

0

0%

0

Profits or losses brought forward

DH

969,781

11.5%

869,593

30.1%

668,570

Profit or loss for the period

DI

121,466

21.2%

100,189

-50.2%

201,023

Investment grants

DJ

0

0%

0

0%

0

Special tax-allowable reserves

DK

0

0%

0

0%

0

Other capital resources (II)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Total other capital resources (Total II)

DO

0

0%

0

0%

0

Income from participating securities

DM

0

0%

0

0%

0

Conditional loans

DN

0

0%

0

0%

0

Provisions for risks and charges (III)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Total provisions for risks and charges (Total III)

DR

0

0%

0

0%

18,992

Risk provisions

DP

0

0%

0

0%

18,992

Reserves for charges

DQ

0

0%

0

0%

0

Liabilities (IV)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Total Liabilities (Total IV)

EC

2,173,279

-9.1%

2,391,179

14.9%

2,080,335

Convertible debentures

DS

0

0%

0

0%

0

Other debentures

DT

0

0%

0

0%

0

Bank loans and liabilities

DU

415,063

360.8%

90,069

-80.6%

463,259

Sundry loans and financial liabilities

DV

243

0%

0

0%

0

Of which participating loans

EI

0

0%

0

0%

0

Advance payments received for current orders

DW

0

0%

0

0%

0

Trade accounts payables

DX

1,549,275

-27.5%

2,136,790

70.9%

1,250,260

Tax and social security liabilities

DY

51,698

-60.2%

130,032

26.4%

102,835

Fixed asset liabilities

DZ

0

0%

0

0%

0

Other debts

EA

157,000

357.9%

34,288

-87.0%

263,981

Translation loss (V)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Translation loss (Total V)

ED

7,229

-60.4%

18,278

588.7%

2,654

Equalization accounts

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Deferred income

EB

0

0%

0

0%

0

References

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Of which tax-allowable reserve

EF

0

0%

0

0%

0

Deferred income and liabilities

EG

0

0%

2,391,179

0%

0

Of which current bank facilities

EH

0

0%

0

0%

0

 

 

Result account

1 - Operating result (I-II)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Operating result (Total I-II)

GG

179,785

11.4%

161,371

-50.5%

325,763

2 - Financial result (V-VI)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Financial result (Total V-VI)

GV

-4,265

-678.7%

737

102.1%

-35,321

3 - Pre-tax net operating income result (I to VI)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Pre-tax net operating income (Total I-II+II-IV+V-VI)

GW

175,520

8.3%

162,108

-44.2%

290,442

4 - Extraordinary result (VII-VIII)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Extraordinary result (Total VII-VIII)

HI

-310

90.1%

-3,133

-396.5%

-631

Profit or loss

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Profit or loss

HN

121,466

21.2%

100,189

-50.2%

201,023

Total Income (I+III+V+VII)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Total Income (Total I+III+V+VII)

HL

9,648,277

-2.1%

9,856,466

2.5%

9,616,171

Total Charges (Total II+IV+VI+VIII+IX+X)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Total Charges (Total II+IV+VI+VIII+IX+X)

HM

9,526,810

-2.4%

9,756,277

3.6%

9,415,148

Operating income (I)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Total operating income (Total I)

FR

9,504,059

-2.5%

9,750,733

2.1%

9,550,510

Operating income (details)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Sale of goods for resale

FC

9,467,670

-2.3%

9,687,568

2.1%

9,485,537

France

FA

578,077

-33.6%

870,295

3.4%

842,070

Export

FB

8,889,593

0.8%

8,817,273

2.0%

8,643,467

Sale of goods produced

FF

0

0%

0

0%

0

France

FD

0

0%

0

0%

0

Export

FE

0

0%

0

0%

0

Sale of services

FI

0

0%

37,780

177.1%

13,636

France

FG

0

0%

0

0%

13,636

Export

FH

0

0%

37,780

0%

0

Net turnover

FL

9,467,670

-2.6%

9,725,348

2.4%

9,499,173

France

FJ

578,077

-33.6%

870,295

1.7%

855,706

Export

FK

8,889,593

0.4%

8,855,053

2.4%

8,643,467

Stocked production

FM

0

0%

0

0%

0

Self-constructed assets

FN

0

0%

0

0%

0

Operating grants

FO

0

0%

0

0%

0

Release of reserves and provisions

FP

36,321

47.9%

24,557

-51.0%

50,139

Other income

FQ

68

-91.8%

828

-30.9%

1,198

Operating charges (II)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Total operating charges (Total II)

GF

9,324,274

-2.8%

9,589,362

4.0%

9,224,747

Exploitation charges

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Purchase of goods for resale

FS

8,524,260

-3.3%

8,816,223

3.5%

8,515,794

Change in stocks of goods for resale

FT

55,168

190.6%

-60,904

-45.8%

-41,779

Purchase of raw materials

FU

0

0%

0

0%

0

Change in stocks of raw materials

FV

0

0%

0

0%

0

Other external purchases and charges

FW

291,399

1.8%

286,178

-6.2%

304,998

Tax, duty and similar payments

FX

16,029

12.0%

14,314

-1.8%

14,572

Payroll

FY

390,178

-16.1%

464,806

38.4%

335,878

Social security costs

FZ

45,221

1.9%

44,369

-16.1%

52,853

Depreciation

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Depreciation of fixed assets

GA

1,247

-18.1%

1,522

-14.2%

1,774

Amortisation of fixed assets

GB

0

0%

0

0%

0

Depreciation/amortisation of current assets

GC

0

0%

22,281

0%

0

Provisions for risks and charges

GD

0

0%

0

0%

0

Other charges

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Other charges

GE

772

34.7%

573

-98.6%

40,657

Operating charges (III-IV)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Share of joint-venture transferred to other partner(s) (Total III)

GH

0

0%

0

0%

0

Share of joint venture transferred from other partner(s) (Total IV)

GI

0

0%

0

0%

0

Financial income (V)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Total financial income (Total V)

GP

142,980

42.2%

100,517

53.8%

65,349

Share financial income

GJ

0

0%

224

-53.9%

486

Other investment income & capitalised receivables

GK

0

0%

0

0%

0

Other interest and similar income

GL

220

-25.4%

295

-81.4%

1,590

Released provisions and transferred charges

GM

0

0%

18,992

0%

0

Exchange gains

GN

142,760

76.2%

81,006

33.6%

60,626

Net income from disposal of investment securities

GO

0

0%

0

0%

2,647

Financial charge (VI)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Total financial charge (Total VI)

GU

147,245

47.6%

99,780

-0.9%

100,670

Financial reserves and provisions

GQ

0

0%

0

0%

18,992

Interest and similar charges

GR

7,836

-31.2%

11,384

61.5%

7,050

Exchange losses

GS

139,409

57.7%

88,396

18.4%

74,628

Net loss from disposal of investment securities

GT

0

0%

0

0%

0

Extraordinary income (VII)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Total extraordinary income (Total VII)

HD

1,238

-76.3%

5,216

1571.8%

312

Extraordinary operating income

HA

1,238

-76.3%

5,216

0%

0

Extraordinary income from capital transactions

HB

0

0%

0

0%

0

Released provisions and transferred charges

HC

0

0%

0

0%

312

Extraordinary charges (VIII)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Total extraordinary charges (Total VIII)

HH

1,548

-81.5%

8,349

785.4%

943

Extraordinary operating charges

HE

1,548

-81.5%

8,349

847.7%

881

Extraordinary charges from capital transactions

HF

0

0%

0

0%

62

Extraordinary reserves and provisions

HG

0

0%

0

0%

0

Employee profit sharing (IX)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Employee profit sharing (Total IX)

HJ

0

0%

0

0%

0

Tax on profits (X)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Tax on profits (Total X)

HK

53,744

-8.6%

58,786

-33.8%

88,788

References

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Of which equipment leases

HP

21,368

0%

0

0%

0

Of which property leases

HQ

0

0%

0

0%

0

Of which transferred charges

A1

0

0%

0

0%

0

Of which trader's own contributions

A2

0

0%

0

0%

0

Of which royalties on licences and patents (income)

A3

0

0%

0

0%

0

Of which royalties on licences and patents (charges)

A4

0

0%

0

0%

0

 

Other incomes tax return forms

Fixed Assets

Grand Total Fixed Assets (I to IV)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Gross value at begin of period

OG

0

0%

0

0%

0

Increasess due to revaluation

OH

0

0%

0

0%

0

Decreasess, acquisitions, creations, contributions

OJ

0

0%

0

0%

0

Decreasess by budget item transfer

OK1

0

0%

14,202

0%

0

Decreasess by transfers

OK2

2,658

0%

0

0%

9,136

Gross value at the end of period

OL

29,749

16.3%

25,584

-34.7%

39,170

Research and development Charge (Total I)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Gross value at begin of period

CZ

0

0%

0

0%

0

Increasess due to revaluation

KB

0

0%

0

0%

0

Increasess, acquisitions, creations, contributions

KC

0

0%

0

0%

0

Decreasess by budget item transfer

CO1

0

0%

0

0%

0

Decreasess by transfers

CO2

0

0%

0

0%

0

Gross value at the end of period

DO

0

0%

0

0%

0

Other budget item from Intangible fixed assets (Total II)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Gross value at begin of period

KD

0

0%

0

0%

5,505

Increasess due to revaluation

KE

0

0%

0

0%

0

Increasess, acquisitions, creations, contributions

KF

0

0%

0

0%

0

Decreasess by budget item transfer

LV1

0

0%

0

0%

0

Decreasess by transfers

LV2

0

0%

0

0%

5,505

Gross value at the end of period

LW

0

0%

0

0%

0

Tangible fixed assets (Total III)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Gross value at begin of period

LN

8,585

7.7%

7,968

-16.6%

9,550

Increasess due to revaluation

LO

0

0%

0

0%

0

Increasess, acquisitions, creations, contributions

LP

534

-13.3%

616

-70.0%

2,050

Decreasess by budget item transfer

NG1

0

0%

0

0%

0

Decreasess by transfers

NG2

2,658

0%

0

0%

3,632

Gross value at the end of period

NH

6,461

-24.7%

8,585

7.7%

7,968

Financial assets (Total IV)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Gross value at begin of period

LQ

17,000

-45.5%

31,202

47.9%

21,103

Increasess due to revaluation

LR

0

0%

0

0%

0

Increasess, acquisitions, creations, contributions

LS

6,288

0%

0

0%

10,099

Decreasess by budget item transfer

NJ1

0

0%

14,202

0%

0

Decreasess by transfers

NJ2

0

0%

0

0%

0

Gross value at the end of period

NK

23,288

37.0%

17,000

-45.5%

31,202

Reserve for depreciation

Situation and movement of reserve for depreciation - Grand total (I-II-III)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Reserve for depreciation value at begin of period

ON

0

0%

0

0%

0

Increases

OP

0

0%

0

0%

0

Decreasess

OQ

0

0%

0

0%

0

Reserve for depreciation value at the end of period

OR

0

0%

0

0%

0

Research and development charge (Total I)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Reserve for depreciation value at begin of period

CY

0

0%

0

0%

0

Increases

PB

0

0%

0

0%

0

Decreasess

PC

0

0%

0

0%

0

Decreasess by budget item transfer

PD

0

0%

0

0%

0

Other intangible assets (Total II)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Reserve for depreciation value at begin of period

PE

0

0%

0

0%

5,193

Increases

PF

0

0%

0

0%

250

Decreasess

PG

0

0%

0

0%

5,443

Decreasess by budget item transfer

PH

0

0%

0

0%

0

Total fixed assets amotisation (Total III)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Reserve for depreciation value at begin of period

QU

6,378

31.3%

4,856

-30.3%

6,963

Increases

QV

1,247

-18.1%

1,522

-0.1%

1,524

Decreases

QW

2,658

0%

0

0%

3,632

Decreasess by budget item transfer

QX

4,968

-22.1%

6,378

31.4%

4,855

 

Movements during period affecting charge allocated over several period

Deferred charges and debt issuance costs

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Gross value at begin of period

Z91

0

0%

0

0%

0

Increases

Z92

0

0%

0

0%

0

Depreciation of fixed assets during period

Z9

0

0%

0

0%

0

Decreasess by budget item transfer

B1

0

0%

0

0%

0

Premium refund of obligations

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Net value at begin of period

SP1

0

0%

0

0%

0

Increases

SP2

0

0%

0

0%

0

Depreciation of fixed assets during period

SP

0

0%

0

0%

0

Net value at the end of period

SR

0

0%

0

0%

0

 

Provisions included in balance sheet

Grand Total (I-II-III)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Value at begining of period

7C

22,281

17.3%

18,992

-58.8%

46,081

Increases

UB

0

0%

22,281

17.3%

18,992

Decreases

UC

4,111

-78.4%

18,992

-58.8%

46,081

Value at the end of period

UD

18,170

-18.5%

22,281

17.3%

18,992

Includes Total allocations

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Operating

UE

0

0%

22,281

0%

0

Financial

UG

0

0%

0

0%

18,992

Exceptional

UJ

0

0%

0

0%

0

Includes Total Withdrawal

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Operating

UF

4,111

0%

0

0%

45,769

Financial

UH

0

0%

18,992

0%

0

Exceptional

UK

0

0%

0

0%

312

Total regulated provisions (Total I)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Value at begining of period

3Z

0

0%

0

0%

312

Increases

TS

0

0%

0

0%

0

Decreases

TT

0

0%

0

0%

312

Value at the end of period

TU

0

0%

0

0%

0

Total risk and charge provisions (Total II)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Value at begining of period

5Z

0

0%

18,992

0%

0

Increases

TV

0

0%

0

0%

18,992

Decreases

TW

0

0%

18,992

0%

0

Value at the end of period

TX

0

0%

0

0%

18,992

Total Provision for depreciation (Total III)

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Value at begining of period

7B

22,280

0%

0

0%

45,769

Increases

TY

0

0%

22,280

0%

0

Decreases

TZ

4,111

0%

0

0%

45,769

Value at the end of period

UA

18,169

-18.5%

22,280

0%

0

 

State deadlines claims and debts at the end of period

State claims

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Gross value

VT

2,771,164

-9.3%

3,054,384

21.5%

2,513,004

1 year at most

VU

2,759,876

-9.6%

3,054,384

22.5%

2,493,802

More than one year

VV

11,288

0%

0

0%

19,202

State of loans

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Claims related to holdings (gross)

UL

0

0%

0

0%

14,202

Claims related to shareholdings (1 year at most)

UM

0

0%

0

0%

0

Loans (gross)

UP

0

0%

0

0%

0

Loans (1 year at most)

UR

0

0%

0

0%

0

Other financial assets (gross)

UT

11,288

125.8%

5,000

0%

5,000

Other financial assets (1 year at most)

UV

0

0%

5,000

0%

0

Receivables statement of assets

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Customers doubtful or disputed

VA

31,302

-14.5%

36,602

0%

0

Other claims customer

UX

2,623,214

-9.7%

2,906,386

23.0%

2,362,167

Receivables represent Loaned Securities

UU

0

0%

0

0%

0

Provision for depreciation previously established

UQ

0

0%

0

0%

0

Personnel and associated accounts

UY

0

0%

0

0%

0

Social Security and other social organizations

UZ

0

0%

0

0%

0

Income taxes

VM

22,606

-56.7%

52,182

84.2%

28,326

Value added tax

VB

2,957

-43.6%

5,245

-37.6%

8,401

Other taxes and payments assimilated

VN

0

0%

0

0%

0

State and other public - Miscellaneous

VP

0

0%

0

0%

0

Group and Associates

VC

0

0%

0

0%

0

Accounts receivable (including claims relating to the operation of pension titles)

VR

64,146

58.7%

40,425

-53.3%

86,560

Prepaid

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Prepaid

VS

15,650

83.1%

8,545

2.4%

8,348

State Debt

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Total debt (gross)

VY

2,173,279

-9.1%

2,391,179

14.9%

2,080,335

1 year at most

VZ2

2,173,279

-9.1%

2,391,179

14.9%

2,080,335

More than 1 year and 5 years at most

VZ3

0

0%

0

0%

0

More than 5 years

VZ4

0

0%

0

0%

0

Details

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Convertible bonds (gross)

7Y1

0

0%

0

0%

0

1 year at most

7Y2

0

0%

0

0%

0

More than 1 year and 5 years at most

7Y3

0

0%

0

0%

0

Other bonds (gross)

7Z1

0

0%

0

0%

0

1 year at most

7Z2

0

0%

0

0%

0

More than 1 year and 5 years at most

7Z3

0

0%

0

0%

0

Borrowing & debts to 1 year maximum at the origin (gross)

VG1

415,063

360.8%

90,069

-80.6%

463,259

1 year at most

VG2

415,063

360.8%

90,069

-80.6%

463,259

More than 1 year and 5 years at most

VG3

0

0%

0

0%

0

Borrowing & debts to more than 1 year at the origin (gross)

VH1

0

0%

0

0%

0

1 year at most

VH2

0

0%

0

0%

0

More than 1 year and 5 years at most

VH3

0

0%

0

0%

0

Loans and various financial liabilities (gross)

8A1

0

0%

0

0%

0

1 year at most

8A2

0

0%

0

0%

0

More than 1 year and 5 years at most

8A3

0

0%

0

0%

0

Suppliers and associated accounts (gross)

8B1

1,549,275

-27.5%

2,136,790

70.9%

1,250,260

1 year at most

8B2

1,549,275

-27.5%

2,136,790

70.9%

1,250,260

More than 1 year and 5 years at most

8B3

1,549,275

-27.5%

2,136,790

70.9%

1,250,260

Personnel and associated accounts (gross)

8C1

15,600

-67.9%

48,657

28.3%

37,937

1 year at most

8C2

15,600

-67.9%

48,657

28.3%

37,937

More than 1 year and 5 years at most

8C3

0

0%

0

0%

0

Social Security and other social organizations (gross)

8D1

23,230

-64.7%

65,728

7.0%

61,408

1 year at most

8D2

23,230

-64.7%

65,728

7.0%

61,408

More than 1 year and 5 years at most

8D3

0

0%

0

0%

0

Taxes on profits (gross)

8E1

0

0%

0

0%

0

1 year at most

8E2

0

0%

0

0%

0

More than 1 year and 5 years at most

8E3

0

0%

0

0%

0

VAT (Gross)

VW1

0

0%

3,859

1038.3%

339

1 year at most

VW2

0

0%

3,859

1038.3%

339

More than 1 year and 5 years at most

VW3

0

0%

0

0%

0

Backed Obligations (gross)

VX1

0

0%

0

0%

0

1 year at most

VX2

0

0%

0

0%

0

More than 1 year and 5 years at most

VX3

0

0%

0

0%

0

Other taxes and assimilated (gross)

VQ1

12,868

9.2%

11,788

274.2%

3,150

1 year at most

VQ2

12,868

9.2%

11,788

274.2%

3,150

More than 1 year and 5 years at most

VQ3

0

0%

0

0%

0

Assets and liabilities associated accounts (gross)

8J1

0

0%

0

0%

0

1 year at most

8J2

0

0%

0

0%

0

More than 1 year and 5 years at most

8J3

0

0%

0

0%

0

More than 5 years

8J4

0

0%

0

0%

0

Groups and associates (gross)

VI1

243

0%

0

0%

0

1 year at most

VI2

243

0%

0

0%

0

More than 1 year and 5 years at most

VI3

0

0%

0

0%

0

More than 5 years

V14

0

0%

0

0%

0

Other liabilities (gross)

8K1

157,000

357.9%

34,288

-87.0%

263,981

1 year at most

8K2

157,000

357.9%

34,288

-87.0%

263,981

More than 1 year and 5 years at most

8K3

0

0%

0

0%

0

Debt representative of borrowed securities (gross)

SZ1

0

0%

0

0%

0

1 year at most

SZ2

0

0%

0

0%

0

More than 1 year and 5 years at most

SZ3

0

0%

0

0%

0

Products in advance (gross)

8L1

0

0%

0

0%

0

1 year at most

8L2

0

0%

0

0%

0

More than 1 year and 5 years at most

8L3

0

0%

0

0%

0

References

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Loans made during the period

VJ

1,300,000

306.3%

320,000

0%

0

Debt repaid during the period

VK

1,250,000

290.6%

320,000

0%

0

 

Table allocation results and other information

Dividends distributed

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Dividends

ZE

0

0%

0

0%

0

Commitments

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Commitments leasing furniture

YQ

0

0%

0

0%

0

Commitments Real Estate Leasing

YR

0

0%

0

0%

0

Effects brought to the discount and unmatured

YS

0

0%

0

0%

0

Other charges Externes

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Subcontracting

YT

0

0%

0

0%

0

Rentals, rental charges and condominiums

XQ

0

0%

0

0%

0

Staff outside the company

YU

0

0%

0

0%

0

Remuneration intermediaries and fees (excluding fees)

SS

0

0%

0

0%

0

Fees, commissions and brokerage

YV

0

0%

0

0%

0

Other accounts

ST

0

0%

0

0%

0

Total Other purchases and external

ZJ

0

0%

0

0%

0

Taxes and Fees

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Business tax

YW

0

0%

0

0%

0

Other taxes and payments assimilated

9Z

0

0%

0

0%

0

Total taxes and fees

YX

0

0%

0

0%

0

VAT

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Amount VAT collected

YY

0

0%

0

0%

0

Total VAT on goods and services

YZ

0

0%

0

0%

0

Average number of employees

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Average number of employees

YP

4

0%

4

-20.0%

5

Groups and Shareholders

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Groups and Shareholders

ZR

0

-

-

-

-

 

Ratios

Synthetic financial performance indicators

31/12/2015

31/12/2014

31/12/2013

Score

Situation

Score

Situation

Score

Situation

Hide AFDCC 2

3.09

Healthy

2.76

Healthy

3.00

Healthy

Description

The AFDCC 2 score uses sectors of activity and company sizes for companies with a turnover of 150 000 to 75 million euros. This calculation allows a classification of the companies in three levels:

-

Healthy: the higher the score value is, the more the company is healthy.

-

Undetermined: it’s impossible to determine the situation.

-

Fragility/Failure: the lower the score value is, the more the company is in danger.

The status are completed which “+/-“ signs.

Hide Conan & Holder

0.05

60%

0.02

70%

0.09

40%

Description

The Conan and Holder (1979) is a recommended method for industrial companies with a turnover of 150 000 to 75 million euros. It is based only on a balance sheet. This calculation allows a classification of the most perilous situation (Score lower than 0.002) to the healthiest situation (score greater than 0.16):

-

Healthy situation: companies which maintain or develop their activity level.

-

Situation to monitor: companies which has to follow remedial measures or find a new strategy.

-

Perilous situation: companies which could have important cash difficulties and have a failure risk.

Hide Altman

-

-

-

-

-

-

Description

The Altman score is a method based only on a complete balance sheet, this calculation allows a classification of the companies in three levels:

-

Good shape: companies which have a low risk (with a score value higher than 2.99).

-

Warning signs: companies which should be approached with caution and with a high risk in the next two years for bankruptcy (with a score value between 2.99 and 1.81).

-

Bankruptcy: companies which are in immediate risk (with a score value lower than 1.81).

Structure and Liquidity

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Sector Median 2015

Fixed Asset Financing

56.52

17.0%

48.32

24.0%

38.97

2.84

1890.1%

Global Debt

83 days

-6.7%

89 days

12.7%

79 days

118 days

-29.7%

Working Capital Fund overall net

63 days

40.0%

45 days

-19.6%

56 days

86 days

-26.7%

Financial independence

303.67 %

-76.0%

1,265.37 %

463.9%

224.39 %

225.63 %

34.6%

Solvability

36.64 %

14.1%

32.11 %

-3.0%

33.09 %

42.47 %

-13.7%

Capacity debt futures

303.85 %

-76.0%

1,265.37 %

463.9%

224.39 %

1,817.03 %

-83.3%

Coverage of current assets by net working capital overall

48.36 %

43.7%

33.66 %

-29.0%

47.41 %

48.88 %

-1.1%

General Liquidity

1.27

-0.8%

1.28

6.7%

1.20

0.74

71.6%

Restricted Liquidity

1.51

7.9%

1.40

-1.4%

1.42

1.36

11.0%

Management or rotation

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Sector Median 2015

Need background in operating working capital

45 days

40.6%

32 days

-25.6%

43 days

19 days

136.8%

Treasury

20 days

81.8%

11 days

-35.3%

17 days

15 days

33.3%

Inventory turnover of goods

1 days

-66.7%

3 days

-50.0%

6 days

20 days

-95.0%

Average length of credit granted to customers

101 days

-7.3%

109 days

21.1%

90 days

57 days

77.2%

Average length of credit obtained suppliers

63 days

-25.9%

85 days

66.7%

51 days

45 days

40.0%

Inventory turnover of raw materials in industrial enterprises

5 days

0%

5 days

0%

0 days

0 days

0%

Inventory turnover of intermediate and finished products in the industrial enterprise

-

-

-

-

-

1,175 days

-

Rotation tangible assets

146,535.68 %

29.4%

113,283.03 %

-5.0%

119,216.53 %

1,397.57 %

10385.0%

Profitability of the business

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Sector Median 2015

Margin trading

9.38 %

-2.2%

9.59 %

-10.0%

10.65 %

0.38 %

2368.4%

Profitability of the business

1.54 %

-6.7%

1.65 %

-50.6%

3.34 %

4.91 %

-68.6%

Net profit

1.28 %

24.3%

1.03 %

-51.4%

2.12 %

3.11 %

-58.8%

Growth rate of turnover (excluding VAT)

-2.65 %

-211.3%

2.38 %

204.8%

-2.27 %

0.00 %

0%

Rates integration

6.30 %

-10.4%

7.03 %

-7.3%

7.58 %

31.58 %

-80.1%

Rate leasing furniture

0.23 %

0%

0.00 %

0%

0.00 %

0.00 %

0%

Work Factor

72.95 %

-2.0%

74.46 %

37.9%

53.98 %

65.66 %

11.1%

Weight interests

1.56 %

51.5%

1.03 %

-2.8%

1.06 %

0.05 %

3020.0%

Return on capital

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Sector Median 2015

Cash flow from the overall profitability

1.25 %

47.1%

0.85 %

-54.1%

1.85 %

4.37 %

-71.4%

Rates of economic profitability

9.00 %

-30.8%

13.00 %

-38.1%

21.00 %

14.00 %

-35.7%

Financial profitability

1,261,167.00 %

10.7%

1,139,702.00 %

9.6%

1,039,513.00 %

25,626.50 %

4821.3%

Return on investment

16.03 %

-1.4%

16.26 %

-19.0%

20.08 %

10.71 %

49.7%

Management intermediate balances

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Sector Median 2015

Turnover

9,467,670

-2.6%

9,725,348

2.4%

9,499,173

194,455

4768.8%

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Sector Median 2015

Sales of goods

9,467,670

-2.3%

9,687,568

2.1%

9,485,537

-

- Purchase of goods

8,524,260

-3.3%

8,816,223

3.5%

8,515,794

-

+/- Stock of goods variation

55,168

190.6%

-60,904

-45.8%

-41,779

-

Trading margin

888,242 €

-4.7%

932,249 €

-7.8%

1,011,522 €

133 €

670271.3%

9.38 % CA

-2.2%

9.59 % CA

-10.0%

10.65 % CA

3.22 % CA

191.3%

 

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Sector Median 2015

Sale of goods produced

0

0%

37,780

177.1%

13,636

-

+/- Stocked production

0

0%

0

0%

0

-

+ Self-constructed assets

0

0%

0

0%

0

-

Period production

0 €

0%

37,780 €

177.1%

13,636 €

67,456 €

0%

0.00 % CA

0%

0.39 % CA

178.6%

0.14 % CA

97.26 % CA

0%

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Sector Median 2015

Trading margin

888,242

-4.7%

932,249

-7.8%

1,011,522

133

670271.3%

+ Period Production

0

0%

37,780

177.1%

13,636

67,456

0%

- Purchase of raw materials

0

0%

0

0%

0

-

+/- Change in stocks of raw materiels

0

0%

0

0%

0

-

- Other external purchases and charges

291,399

1.8%

286,178

-6.2%

304,998

-

Added value

596,843 €

-12.7%

683,851 €

-5.0%

720,160 €

66,696 €

794.9%

6.30 % CA

-10.4%

7.03 % CA

-7.3%

7.58 % CA

31.58 % CA

-80.1%

 

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Sector Median 2015

Added value

596,843 €

-12.7%

683,851 €

-5.0%

720,160 €

66,696 €

794.9%

+ Operating grants

0

0%

0

0%

0

-

- Tax, duty and similar payments

16,029

12.0%

14,314

-1.8%

14,572

-

- Personal charges

435,399

-14.5%

509,175

31.0%

388,731

-

Gross operating surplus

145,415 €

-9.3%

160,362 €

-49.4%

316,857 €

9,333 €

1458.2%

1.54 % CA

-6.7%

1.65 % CA

-50.6%

3.34 % CA

4.91 % CA

-68.6%

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Sector Median 2015

Gross operating surplus

145,415 €

-9.3%

160,362 €

-49.4%

316,857 €

9,333 €

1458.2%

+ Release of reserves and provisions

36,321

47.9%

24,557

-51.0%

50,139

-

+ Other operating income

68

-91.8%

828

-30.9%

1,198

-

- Depreciation/ Amortisation

1,247

-94.8%

23,803

1241.8%

1,774

-

- Other charges

772

34.7%

573

-98.6%

40,657

-

Operating result

179,785 €

11.4%

161,371 €

-50.5%

325,763 €

6,969 €

2479.8%

1.90 % CA

14.5%

1.66 % CA

-51.6%

3.43 % CA

3.73 % CA

-49.1%

 

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Sector Median 2015

Operating result

179,785 €

11.4%

161,371 €

-50.5%

325,763 €

6,969 €

2479.8%

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

0

0%

0

0%

0

-

+ Financial income

142,980

42.2%

100,517

53.8%

65,349

-

- Financial charges

147,245

47.6%

99,780

-0.9%

100,670

-

Pre-tax result

175,520 €

8.3%

162,108 €

-44.2%

290,442 €

7,290 €

2307.8%

1.85 % CA

10.8%

1.67 % CA

-45.4%

3.06 % CA

3.66 % CA

-49.5%

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Sector Median 2015

Extraordinary income

1,238

-76.3%

5,216

1571.8%

312

0

0%

- Extraordinary charges

1,548

-81.5%

8,349

785.4%

943

-

Extraordinary result

-310 €

90.1%

-3,133 €

-396.5%

-631 €

0 €

0%

0.00 % CA

0%

-0.03 % CA

-200.0%

-0.01 % CA

0.00 % CA

0%

 

31/12/2015

Variation

31/12/2014

Variation

31/12/2013

Sector Median 2015

Pre-tax result

175,520 €

8.3%

162,108 €

-44.2%

290,442 €

7,290 €

2307.8%

Extraordinary result

-310 €

90.1%

-3,133 €

-396.5%

-631 €

0 €

0%

- Employee profit sharing

0

0%

0

0%

0

-

- Tax on profits

53,744

-8.6%

58,786

-33.8%

88,788

-

Net result

121,466 €

21.2%

100,189 €

-50.2%

201,023 €

6,862 €

1670.3%

1.28 % CA

24.3%

1.03 % CA

-51.4%

2.12 % CA

3.11 % CA

-58.8%

 

 

Key Performance Indicators

 

Find below a comparison of the company based on the industry code (primary) with other companies from the same industry. The following analysis has been based on the industry code 4618Z - Agents specialised in the sale of other particular products.

 

 

Graphical analysis

 

31/12/2015

31/12/2014

31/12/2013

Company Result

9,467,670 €

9,725,348 €

9,499,173 €

Sector Average

1,731,311 €

1,465,998 €

1,424,644 €

 

31/12/2015

31/12/2014

31/12/2013

Company Result

121,466 €

100,189 €

201,023 €

Sector Average

29,704 €

37,340 €

42,508 €

 

31/12/2015

31/12/2014

31/12/2013

Company Result

8,889,593 €

8,855,053 €

8,643,467 €

Sector Average

208,757 €

199,275 €

284,526 €

 

31/12/2015

31/12/2014

31/12/2013

Company Result

3,441,674 €

3,549,159 €

3,141,493 €

Sector Average

1,448,224 €

1,089,284 €

1,194,129 €

 

31/12/2015

31/12/2014

31/12/2013

Company Result

1,261,167 €

1,139,702 €

1,039,513 €

Sector Average

443,375 €

388,532 €

360,755 €

 

31/12/2015

31/12/2014

31/12/2013

Company Result

2,173,279 €

2,391,179 €

2,080,335 €

Sector Average

943,961 €

659,285 €

788,114 €

 

31/12/2015

31/12/2014

31/12/2013

Company Result

45 €

32 €

43 €

Sector Average

89 €

-11 €

53 €

 

31/12/2015

31/12/2014

31/12/2013

Company Result

145,415 €

160,362 €

316,857 €

Sector Average

82,201 €

76,037 €

53,721 €

Description: https://www.creditsafe.fr/csfr/PdfDelayPixel

 


 

FOREIGN EXCHANGE RATES

 

Currency

Unit

Indian Rupees

US Dollar

1

INR 64.99

UK Pound

1

INR 90.83

Euro

1

INR 80.58

Euro

1

INR 80.29

 

Note : Above are approximate rates obtained from sources believed to be correct

 

 

INFORMATION DETAILS

 

Analysis Done by :

PRI

 

 

Report Prepared by :

TRU

                                                


 

RATING EXPLANATIONS

 

Credit Rating

Explanation

Rating Comments

A++

Minimum Risk

Business dealings permissible with minimum risk of default

A+

Low Risk

Business dealings permissible with low risk of default

A

Acceptable Risk

Business dealings permissible with moderate risk of default

B

Medium Risk

Business dealings permissible on a regular monitoring basis

C

Medium High Risk

Business dealings permissible preferably on secured basis

D

High Risk

Business dealing not recommended or on secured terms only

NB

New Business

No recommendation can be done due to business in infancy stage

NT

No Trace

No recommendation can be done as the business is not traceable

 

NB is stated where there is insufficient information to facilitate rating. However, it is not to be considered as unfavourable.

 

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 are as follows:

 

·         Financial condition covering various ratios

·         Company background and operations size

·         Promoters / Management background

·         Payment record

·         Litigation against the subject

·         Industry scenario / competitor analysis

·         Supplier / Customer / Banker review (wherever available)

 

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.