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Balance (Sociedades no financieras)
Comunidad Autónoma: Total ,  Sector: Total

Ejercicio 2007
Balance (Sociedades no financieras)
Comunidad Autónoma: Total Sector: Total
Ejercicio 2007

 TotalDominanteDominada
TotalR.C. > 0B.I. > 0TotalR.C. > 0B.I. > 0TotalR.C. > 0B.I. > 0
Número de empresas 1.412.344732.176587.4632.0431.3301.15613.9277.6456.687
A C T I V O         
ACTIVO FIJO2.611.900.7301.580.282.5471.369.063.242479.273.549353.518.552316.789.196642.546.069468.086.525415.412.476
Accionistas (socios) por desembolsos no exigidos6.110.4542.163.5321.453.382172.5635.1025.111861.762375.350184.811
Gastos de establecimiento 4.728.2642.046.7011.562.665448.843262.840183.517842.352558.379415.578
Inmovilizaciones inmateriales 123.927.88275.939.49370.620.93514.220.6149.130.2388.953.52627.165.45216.767.98419.675.129
Inmovilizaciones materiales 834.405.286541.844.124475.842.66680.968.24240.075.66836.328.755161.963.198126.398.169120.904.617
Inmovilizaciones financieras 1.604.459.539930.633.006795.398.829380.227.573301.516.846268.816.151440.857.052316.474.124268.112.368
Acciones propias 7.377.5686.574.3325.902.5601.075.7851.045.3821.004.845719.495682.527667.651
Deudores por operaciones de tráfico a largo plazo 11.446.9728.090.8476.094.106137.98764.66061.7234.358.1662.462.582932.890
Gastos a distribuir en varios ejercicios 19.444.76612.990.51112.188.0992.021.9421.417.8161.435.5685.778.5914.367.4104.519.432
ACTIVO CIRCULANTE2.103.865.3511.590.963.2151.464.220.774158.243.017120.689.464108.961.496358.743.944302.368.288283.859.534
Accionistas por desembolsos exigidos 1.174.914290.386201.94933.938618519138.159119.193116.880
Existencias 599.216.869394.208.960363.193.16430.475.31118.575.88917.204.44264.135.18351.235.23349.073.812
Deudores 680.639.792515.443.782474.947.53956.492.36841.881.12138.425.992149.825.861121.673.213116.962.601
Inversiones financieras temporales 612.295.899520.345.233482.197.35159.344.68849.846.67743.911.317118.711.450106.386.426100.044.074
Acciones propias a corto plazo 5.795.0865.071.4884.468.5551.403.0151.357.6791.337.7144.2424.2104.139
Tesorería 193.101.234148.082.984132.166.3029.997.6648.640.5087.774.63323.602.54721.348.22216.056.793
Ajustes por periodificación 11.641.5567.520.3837.045.915496.033386.974306.8782.326.5031.601.7921.601.235
TOTAL ACTIVO4.715.766.0793.171.245.7682.833.284.022637.516.566474.208.015425.750.6921.001.290.013770.454.814699.272.010
P A S I V O         
Fondos Propios1.678.600.5231.380.363.2291.223.689.152240.432.194191.832.698173.886.577288.410.410252.212.383215.557.030
PASIVO FIJO1.668.107.857844.227.781743.314.588242.215.722164.929.733146.603.111393.263.245260.920.849236.339.605
Ingresos a distribuir en varios ejercicios 62.956.75937.148.20129.335.07011.705.3022.764.4122.265.31810.421.1118.008.0258.391.496
Provisiones para riesgos y gastos 65.508.88242.535.39734.164.35214.394.14712.384.4877.697.00321.715.66717.428.76016.899.103
Acreedores a largo plazo 1.539.642.215764.544.183679.815.165216.116.274149.780.834136.640.790361.126.468235.484.064211.049.006
PASIVO CIRCULANTE1.369.057.702946.654.758866.280.282154.868.649117.445.585105.261.005319.616.348257.321.572247.375.365
Acreedores a corto plazo 1.336.029.900943.994.109864.098.038153.914.461116.719.434104.763.777319.108.732256.945.608247.055.225
Provisiones para riesgos y gastos a corto plazo33.027.8012.660.6492.182.244954.188726.151497.228507.616375.964320.140
TOTAL PASIVO4.715.766.0793.171.245.7682.833.284.022637.516.566474.208.015425.750.6921.001.290.013770.454.814699.272.010

Notas
Unidades: Importe en miles de euros

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