Balance General 4
Balance General 4
Balance General 4
PERIODO 1 PERIODO 2
CUENTA
2017/DIC/ 31 2018/DIC/ 31
BALANCE GENERAL
ACTIVO
Disponible $1,716,839,000 $1,693,193,000
Inversiones $88,441,000 $91,574,000
Deudores $1,560,383,000 $3,438,688,000
Clientes $160,586,000 $349,198,000
Inventarios $1,503,679,000 $2,364,324,000
Otros Activos Corrientes $700,670,000 $700,671,000
Total Activo Corriente $5,730,598,000 $8,637,648,000
Inversiones Pemanentes $0 $0
Deudores LP $0 $0
Propiedades, Planta y Equipo $8,137,374,000 $9,008,505,000
Intangibles $1,045,906,000 $1,596,752,000
Diferidos $12,044,093,000 $15,038,852,000
Otros Activos $700,670,000 $700,671,000
Valorizaciones $0 $0
Total del Activo No Corriente $21,928,043,000 $26,344,780,000
Total de Activo $27,658,641,000 $34,982,428,000
PASIVO
Obligaciones Financieras $1,998,232,000 $470,384,000
Proveedores $1,710,841,000 $2,224,799,000
Cuentas y gastos por pagar $1,819,568,000 $2,608,951,000
Impuestos, Gravantes y tasas $993,916,000 $1,077,300,000
Obligaciones laborales $674,869,000 $883,663,000
Pasivos Estimados y Provisiones $109,650,000 $156,283,000
Diferidos a Corto Plazo $0 $0
Otros Pasivos CP $8,450,365,000 $2,667,726,000
Bonos y papeles comerciales $0 $0
Total Pasivo Corriente $15,757,441,000 $10,089,106,000
Obligaciones Financieras $11,564,216,000 $14,816,822,000
Cuentas por pagar $0 $0
Obligacione Laborales $0 N/D
Pasivos Estimados y Provisiones $0 $0
Diferidos $0 $0
Otros Pasivos $0 $0
Bonos y papeles Comerciales $0 $0
Total Pasivo No Corriente $11,564,216,000 $14,816,822,000
Total pasivo $27,321,657,000 $24,905,928,000
PATRIMONIO
Capital Social $7,058,392,000 $24,609,276,000
Superavit de Capital $4,856,302,000 $4,856,302,000
Reservas $0 $0
Revalorizacion del Patrimonio $0 $0
Superavit metodo de participacion $0 $0
Resultados del ejercicio -$5,594,529,000 -$7,999,980,000
Resultados del ejercicio anteriores -$6,844,437,000 -$12,438,967,000
Superavit por valorizaciones $0 $0
Total Patrimonio -$524,272,000 $9,026,631,000
Total Pasivo y Patrimonio $33,932,559 $26,797,385
ESTADO DE RESULTADOS
$4,416,737,000 20.14%
100% 100% $14,647,574,000 456.34%
-$5,668,335,000 -35.97%
42.33% 59.49% $3,252,606,000 28.13%
$3,252,606,000 28.13%
100% 100% -$2,415,729,000 -8.84%
-1346.32% 272.63% $17,550,884,000 249%
-926.29% 53.80% $0 0%
0.00% 0.00% $0
0.00% 0.00% $0
0.00% 0.00% $0
1067.10% -88.63% -$2,405,451,000 43%
1305.51% -137.80% -$5,594,530,000 82%
0.00% 0.00% $0
100% 100% $9,550,903,000 -1822%
Analisis Horizontal
V, Absoluto V. Relativo
$10,959,000,000 26.71%
$4,677,644,000 32.13%
$6,281,356,000 23.73%
$9,078,724,000 33.48%
-$2,797,368,000 431.69%
$318,479,000 12.10%
-$73,438,000 -0.97%
-$2,405,451,000 43.00%
$4,794,549,000 -85.70%
INDICADOR DE LIQUIDEZ
PERIODO 1 PERIODO 2 ANALISIS
INDICADORES DE RENTABILIDAD
PERIODO 1 PERIODO 2