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

Balance (Total Sociedades no financieras) por Comunidad Autónoma y Sector
Comunidad Autónoma: Total ,  Sector: Total
Ejercicio 2008

Total Dominante Dominada
Total R.C. > 0 B.I. > 0 Total R.C. > 0 B.I. > 0 Total R.C. > 0 B.I. > 0
NUMERO1.414.479651.775510.6422.5021.4991.28318.5788.7147.228
A C T I V O          
ACTIVO NO CORRIENTE2.808.640.1031.593.538.1721.307.477.408604.261.061412.985.858377.244.882660.236.383495.210.616410.233.421
Inmovilizado intangible74.241.37545.809.40734.997.81612.263.7917.768.8185.309.45025.710.60618.390.16315.015.654
Inmovilizado material812.325.020488.034.920399.480.38077.302.61332.420.28026.733.547170.729.943126.164.550112.321.803
Inversiones inmobiliarias153.163.67878.324.14166.494.04418.661.8115.853.1274.191.98921.255.02111.587.28511.298.020
Inversiones en empresas del grupo y asociadas a largo plazo1.084.217.654794.788.373653.317.995448.683.860336.040.537310.049.785373.732.681293.320.105232.867.992
Inversiones financieras a largo plazo623.120.648156.745.477131.247.57830.737.47421.566.45522.814.55447.941.87834.242.21829.569.173
Activos por impuesto diferido54.316.72526.502.12319.978.18916.312.0209.211.3547.998.60817.852.75710.475.3828.286.172
Deudores comerciales no corrientes7.254.3573.330.7091.957.395299.492125.287146.9493.013.4971.030.911874.608
ACTIVO CORRIENTE1.805.407.3511.123.447.367994.113.577175.382.851127.824.012117.305.527406.254.582300.891.222277.148.486
Activos no corrientes mantenidos para la venta14.069.2336.225.2495.691.4023.795.583620.850476.4996.114.8024.268.1914.303.501
Existencias599.158.208286.776.633244.977.60731.462.62417.591.31616.560.64676.376.18537.312.81132.482.247
Deudores comerciales y otras cuentas a cobrar530.960.875370.846.900329.230.71842.459.27631.604.66128.937.699115.821.85590.124.09481.833.887
Inversiones en empresas del grupo y asociadas a corto plazo249.953.031194.497.596179.481.43463.451.40254.442.28950.754.898132.885.255104.199.11897.727.045
Inversiones financieras a corto plazo204.639.243126.252.701110.124.68618.445.32813.166.74910.643.57836.059.98231.036.64028.858.698
Periodificaciones a corto plazo9.287.9153.467.8542.939.963419.906295.105248.9151.493.806936.332859.810
Efectivo y otros activos líquidos equivalentes197.349.205135.390.508121.678.32015.348.73010.103.0419.683.29137.502.69633.014.03531.083.297
TOTAL ACTIVO 4.614.054.5922.716.988.3812.301.593.702779.643.913540.809.870494.550.4091.066.491.109796.101.837687.381.907
P A S I V O          
PATRIMONIO NETO 1.503.160.5981.111.653.338927.371.997315.376.290237.343.973218.938.675296.477.026248.399.884206.336.832
 Fondos propios1.459.544.2461.084.248.184907.846.260310.015.399237.271.403218.505.942292.288.845242.733.846200.707.966
  Capital
654.104.534339.462.823257.680.34692.780.84843.511.08239.146.782123.818.73583.634.98363.243.099
  Prima de emisión
316.043.964205.110.952142.599.94196.730.50160.132.37252.682.64385.988.82163.002.36453.648.348
  Reservas
564.401.055428.511.351392.489.504120.722.362105.486.281100.862.51491.980.73372.067.09659.238.180
  Acciones y participaciones en patrimonio propias
-8.825.242-6.673.610-6.163.930-5.620.197-4.849.025-4.573.001-184.380-119.198-102.581
  Resultados de ejercicios anteriores
-116.970.958-17.191.4939.791.150-16.365.836-613.471-55.361-25.416.506-7.495.703-1.404.193
  Otras aportaciones de socios
23.853.9626.002.0153.637.2484.540.956379.693257.0752.663.645651.526319.939
  Resultado del ejercicio
46.718.972153.493.325130.668.07523.381.57540.880.43537.747.99425.934.56343.565.24838.609.595
  Dividendo a cuenta
-27.230.672-26.973.517-24.477.097-7.789.624-7.695.955-7.599.007-13.391.243-13.359.894-12.869.921
  Otros instrumentos de patrimonio neto (N,A)
7.433.8552.506.7021.621.3431.634.81439.99036.303894.479787.42625.501
Ajustes por cambios de valor (N,A)-1.750.473246.501733.012-209.167-274.463188.151-1.361.731573.194787.340
Ajustes en patrimonio neto (P)765.395698.987109.8343.14200000
Subvenciones, donaciones y legados recibidos44.600.83826.463.05218.684.0375.566.917347.034244.5825.549.9145.092.8444.841.526
PASIVO NO CORRIENTE1.731.830.662754.496.064629.004.804274.910.481174.673.883159.059.652395.906.221272.238.436229.001.965
Provisiones a largo plazo46.322.84031.192.35323.767.61212.241.8337.148.9574.971.27216.409.59212.675.31011.429.179
Deudas a largo plazo1.296.691.258475.238.365402.030.235128.341.89572.051.93870.354.950224.489.467151.776.951131.954.388
Deudas con empresas del grupo y asociadas a largo plazo341.884.126214.516.930176.461.317125.058.51789.935.62478.528.906136.371.78591.523.56173.707.895
Pasivos por impuesto diferido31.469.31922.248.54916.413.5517.390.5723.942.8973.708.80411.786.67210.130.7815.938.943
Periodificaciones a largo plazo6.300.0803.839.8272.981.819387.347203.337118.1891.700.1951.092.185966.680
Acreedores comerciales no corrientes1.735.554963.639869.086146.46047.56533.964193.370106.92572.696
Deuda con características especiales a largo plazo7.425.9606.496.5786.481.6171.343.8581.343.5671.343.5674.955.1394.932.7234.932.184
PASIVO CORRIENTE1.379.055.879850.835.330745.215.800189.357.346128.792.217116.552.287374.107.421275.463.077252.042.671
Pasivos vinculados con activos no corrientes mantenidos para la venta3.368.7283.012.8512.882.361144.66381.8703372.801.8772.707.9962.700.407
Provisiones a corto plazo17.600.19711.612.6079.585.5803.505.4551.943.1601.412.9295.736.0024.153.1413.695.619
Deudas a corto plazo460.568.783251.371.433219.348.67657.788.59534.943.59232.321.393105.693.77273.604.19469.082.165
Deudas con empresas del grupo y asociadas a corto plazo273.563.191170.050.915148.463.54379.001.88654.811.69249.895.988120.911.46082.381.46673.336.367
Acreedores comerciales y otras cuentas a pagar609.728.833408.228.424359.372.46748.417.65436.749.42032.658.577136.667.916110.931.031101.696.805
Periodificaciones a corto plazo13.183.3585.912.7345.021.330499.725263.115263.6422.081.1591.552.1911.463.046
Deuda con características especiales a corto plazo1.039.140645.670541.912-632-632-580215.227133.05068.252
TOTAL PATRIMONIO NETO Y PASIVO 4.614.054.5922.716.988.3812.301.593.702779.643.913540.809.870494.550.4091.066.491.109796.101.837687.381.907
Notas
Unidades: Importe en miles de euros

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