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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 1.118.888 610.685 488.544 1.407 979 852 8.897 5.519 4.791
A C T I V O                  
ACTIVO FIJO
1.524.197.356 1.058.480.876 884.080.844 319.592.195 260.869.698 230.424.623 340.819.650 268.103.696 228.154.630
Accionistas (socios) por desembolsos no exigidos
3.455.025 1.664.736 1.431.933 137.346 72.349 73.714 292.116 210.554 206.777
Gastos de establecimiento
5.112.071 2.350.022 1.989.981 241.553 110.925 98.521 1.384.191 964.534 917.905
Inmovilizaciones inmateriales
79.899.190 56.936.061 49.768.423 9.533.261 6.513.667 5.916.490 17.962.942 12.516.306 11.313.490
Inmovilizaciones materiales
559.790.606 410.918.619 352.604.745 46.180.890 37.697.461 29.564.306 119.110.058 97.470.865 92.719.133
Inmovilizaciones financieras
851.713.203 569.307.659 462.845.222 260.106.235 213.511.620 192.014.198 196.861.602 153.213.047 119.399.479
Acciones propias
2.970.540 2.650.348 1.978.048 338.846 303.616 294.625 232.216 215.622 196.981
Deudores por operaciones de tráfico a largo plazo
7.243.147 4.891.362 4.910.483 864.056 846.189 739.659 623.589 540.884 529.778
Gastos a distribuir en varios ejercicios
14.013.575 9.762.069 8.552.008 2.190.008 1.813.870 1.723.109 4.352.935 2.971.884 2.871.086
ACTIVO CIRCULANTE
1.341.199.414 1.082.515.542 965.928.382 105.538.317 91.413.206 84.614.729 183.062.293 159.327.548 147.021.981
Accionistas por desembolsos exigidos
592.189 237.900 192.018 28.875 28.745 28.551 47.201 1.258 1.250
Existencias
323.503.794 242.280.929 224.837.581 15.808.941 14.345.494 13.570.153 31.575.654 27.571.654 26.500.121
Deudores
448.435.269 358.018.565 324.254.676 40.912.204 35.243.932 31.580.815 82.556.287 68.921.871 64.298.495
Inversiones financieras temporales
440.058.331 382.584.710 327.746.054 44.400.414 38.046.951 35.972.989 54.675.969 50.080.869 44.531.794
Acciones propias a corto plazo
3.342.883 3.031.911 1.931.137 1.039.761 1.027.939 1.027.301 1.235 8.269 8.223
Tesorería
119.440.352 92.616.365 83.536.712 2.970.590 2.421.097 2.197.724 13.071.394 11.828.073 10.778.824
Ajustes por periodificación
5.826.595 3.745.163 3.430.205 377.532 299.048 237.197 1.134.553 915.555 903.275
TOTAL ACTIVO 2.865.396.595 2.140.996.263 1.850.009.079 425.130.487 352.282.879 315.039.327 523.881.931 427.431.250 375.176.617
                 
P A S I V O                  
Fondos Propios
1.224.635.739 1.032.757.269 874.679.089 175.372.227 151.425.193 136.089.916 192.686.786 166.714.050 145.085.198
PASIVO FIJO
804.043.514 477.507.702 406.200.374 142.097.822 108.997.932 95.877.319 168.760.019 126.207.624 104.708.492
Ingresos a distribuir en varios ejercicios
41.427.356 26.401.086 21.467.753 3.861.135 3.042.449 2.610.251 6.109.849 5.409.783 4.825.178
Provisiones para riesgos y gastos
42.836.175 32.639.845 27.619.068 9.979.366 5.652.921 5.556.548 17.460.585 15.964.911 14.145.152
Acreedores a largo plazo
719.779.984 418.466.771 357.113.554 128.257.321 100.302.562 87.710.520 145.189.586 104.832.931 85.738.162
PASIVO CIRCULANTE
836.717.402 630.731.287 569.129.625 107.660.439 91.859.754 83.072.092 162.435.150 134.509.578 125.382.929
Acreedores a corto plazo
832.903.556 628.840.319 567.811.715 107.244.918 91.482.641 82.926.001 162.107.200 134.277.873 125.173.610
Provisiones para riesgos y gastos a corto plazo
3.813.845 1.890.968 1.317.910 415.520 377.112 146.092 327.950 231.705 209.318
TOTAL PASIVO 2.865.396.595 2.140.996.263 1.850.009.079 425.130.487 352.282.879 315.039.327 523.881.931 427.431.250 375.176.617

Notas
Unidad: miles de euros


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