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Balance (Sociedades no financieras), Autonomía:Total, Sector:Total

  Total Dominante Dominada
Total R.C. > 0 B.I. > 0 Total R.C. > 0 B.I. > 0 Total R.C. > 0 B.I. > 0
Número de empresas 1.043.359 580.604 462.872 1.159 807 693 7.777 4.611 3.983
A C T I V O
ACTIVO FIJO
1.333.733.894 938.403.872 741.741.062 296.007.629 241.017.576 189.538.507 296.265.286 222.026.891 175.136.433
Accionistas (socios) por desembolsos no exigidos
3.166.115 1.558.746 1.367.680 133.439 70.243 65.894 288.650 198.188 196.817
Gastos de establecimiento
5.061.452 2.457.277 2.091.948 301.777 148.191 126.031 1.422.952 1.010.748 932.832
Inmovilizaciones inmateriales
70.107.531 49.254.791 42.337.443 9.647.420 6.328.062 5.721.242 15.337.777 10.645.261 9.967.376
Inmovilizaciones materiales
513.281.081 382.275.125 324.331.867 44.882.649 38.435.238 27.721.164 109.231.498 86.293.856 80.142.412
Inmovilizaciones financieras
720.851.431 487.262.688 358.004.408 238.064.386 193.592.447 153.649.422 164.958.137 120.608.384 80.651.720
Acciones propias
2.882.334 2.389.913 1.579.754 480.591 340.292 296.244 150.219 87.563 72.649
Deudores por operaciones de tráfico a largo plazo
5.313.477 3.726.842 3.540.568 189.549 155.672 148.899 1.040.038 553.922 528.938
Gastos a distribuir en varios ejercicios
13.070.473 9.478.490 8.487.396 2.307.819 1.947.433 1.809.610 3.836.016 2.628.968 2.643.688
ACTIVO CIRCULANTE
1.180.271.436 960.813.165 822.182.318 97.579.165 87.580.565 71.564.566 157.716.562 131.504.478 114.253.861
Accionistas por desembolsos exigidos
732.045 382.879 365.735 18.461 10.136 9.939 95.499 27.438 26.513
Existencias
266.880.115 199.632.830 183.123.741 14.257.159 13.063.139 11.808.386 25.370.749 21.385.805 19.924.530
Deudores
408.014.864 323.162.078 288.621.453 38.880.243 33.699.316 28.761.422 73.268.951 59.069.203 52.657.695
Inversiones financieras temporales
392.338.436 348.261.299 275.138.957 39.723.062 36.540.158 27.168.199 46.462.727 39.795.506 35.747.922
Acciones propias a corto plazo
2.864.087 2.568.856 1.501.173 224.171 223.648 223.447 12.886 3.940 4.490
Tesorería
104.327.130 83.629.365 70.667.092 4.116.953 3.737.711 3.368.576 11.633.697 10.484.183 5.216.878
Ajustes por periodificación
5.114.758 3.175.858 2.764.167 359.116 306.457 224.598 872.053 738.403 675.832
TOTAL ACTIVO 2.514.005.127 1.899.216.872 1.563.923.223 393.586.816 328.598.142 261.103.073 453.981.862 353.531.392 289.390.318
P A S I V O
Fondos Propios
1.111.542.554 939.490.562 753.275.335 168.161.988 141.951.418 113.928.367 170.431.039 142.137.253 114.079.535
PASIVO FIJO
660.058.665 406.910.615 325.918.278 134.590.009 108.038.188 82.749.250 139.671.667 101.345.901 78.256.812
Ingresos a distribuir en varios ejercicios
37.662.260 26.479.453 21.749.051 3.683.994 2.948.750 2.109.146 5.881.450 4.754.867 4.090.855
Provisiones para riesgos y gastos
39.588.515 32.339.871 24.851.258 8.897.280 7.963.663 5.093.090 16.792.367 14.325.282 12.064.226
Acreedores a largo plazo
582.807.890 348.091.292 279.317.969 122.008.735 97.125.775 75.547.013 116.997.851 82.265.753 62.101.731
PASIVO CIRCULANTE
742.403.931 552.815.661 484.729.602 90.834.819 78.608.536 64.425.457 143.879.182 110.048.241 97.053.974
Acreedores a corto plazo
739.630.161 550.856.850 483.218.072 90.428.327 78.269.369 64.306.875 143.458.289 109.808.996 96.817.085
Provisiones para riesgos y gastos a corto plazo
2.773.770 1.958.811 1.511.531 406.492 339.167 118.582 420.893 239.245 236.889
TOTAL PASIVO 2.514.005.127 1.899.216.872 1.563.923.223 393.586.816 328.598.142 261.103.073 453.981.862 353.531.392 289.390.318

Notas
Unidad: miles de euros


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