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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 2012

Total Dominante Dominada
Total R.C. > 0 B.I. > 0 Total R.C. > 0 B.I. > 0 Total R.C. > 0 B.I. > 0
NUMERO1.416.870538.640374.8384.0362.2342.01027.93512.26710.721
A C T I V O          
ACTIVO NO CORRIENTE2.925.445.9301.578.104.6391.394.656.155707.282.111412.877.049401.824.310783.138.905533.306.119477.911.949
Inmovilizado intangible136.109.59291.808.65590.878.88821.078.92515.708.16016.266.95144.760.94930.448.05530.692.781
Inmovilizado material764.530.787427.446.692354.142.95892.967.09739.633.26733.847.785184.544.261130.535.844124.473.858
Inversiones inmobiliarias195.456.94288.088.36975.253.93714.146.8117.956.6757.855.72041.849.78115.215.76214.671.801
Inversiones en empresas del grupo y asociadas a largo plazo1.245.977.560784.545.675715.583.675490.876.836315.666.937316.606.225439.610.036323.641.506278.256.105
Inversiones financieras a largo plazo478.886.461140.841.806119.820.92361.595.81117.537.61112.419.89633.066.05217.468.77515.965.532
Activos por impuesto diferido89.960.33038.573.71031.952.17726.242.78616.093.05014.543.47733.330.73413.470.63811.568.960
Deudores comerciales no corrientes14.524.2596.799.7307.023.597373.845281.348284.2555.977.0912.525.5382.282.913
ACTIVO CORRIENTE1.661.502.197898.285.203798.548.788154.177.115107.241.82599.351.617492.898.052299.974.101285.364.953
Activos no corrientes mantenidos para la venta13.629.7672.710.7942.633.917765.513197.362434.0455.912.190869.4281.083.691
Existencias449.961.152158.663.547131.998.80022.969.31913.268.67010.618.69696.005.63229.023.31228.405.225
Deudores comerciales y otras cuentas a cobrar435.426.209275.421.965251.436.60844.026.23832.157.19229.944.964114.742.57676.203.45474.130.914
Inversiones en empresas del grupo y asociadas a corto plazo246.029.813178.013.203157.916.26548.454.18132.216.32528.749.553146.920.369114.288.893107.236.437
Inversiones financieras a corto plazo306.055.576165.147.861147.449.34115.694.85211.426.24211.546.07290.346.79856.383.02954.007.140
Periodificaciones a corto plazo6.248.7083.250.2822.888.215658.850560.973512.2591.412.934899.090886.321
Efectivo y otros activos líquidos equivalentes204.150.972115.077.551104.225.64221.608.16417.415.06017.546.02937.557.55322.306.89519.615.224
TOTAL ACTIVO 4.586.948.1272.476.389.8412.193.204.943861.459.226520.118.873501.175.9271.276.036.957833.280.220763.276.902
P A S I V O          
PATRIMONIO NETO 1.653.278.4611.167.808.3991.006.335.639390.606.824246.713.016226.865.314375.681.983299.466.998252.124.043
 Fondos propios1.603.539.4811.143.826.256990.113.009383.400.561247.961.993227.906.105367.629.431293.991.418247.245.176
  Capital
758.027.617391.877.920310.482.511119.095.26651.701.36752.437.019166.935.57193.223.83372.986.435
  Prima de emisión
456.172.429228.116.205213.496.491158.985.83182.068.39583.917.526131.567.55270.774.79559.524.817
  Reservas
677.463.473447.998.101393.949.867153.665.808110.660.910102.872.643133.516.47599.209.51084.327.855
  Acciones y participaciones en patrimonio propias
-7.816.025-5.852.727-4.057.267-4.688.016-3.978.722-2.464.859-193.630-126.192-105.647
  Resultados de ejercicios anteriores
-306.573.350-49.706.713-19.372.627-50.176.702-13.800.160-20.172.069-60.428.598-8.414.808-1.367.822
  Otras aportaciones de socios
71.147.18223.927.83615.292.87111.919.4471.855.258793.31414.100.8805.139.5773.662.763
  Resultado del ejercicio
-30.066.378123.968.63393.041.204-2.678.67623.067.95813.423.669-6.177.33846.045.51437.212.778
  Dividendo a cuenta
-22.429.828-22.057.861-18.585.401-3.722.138-3.706.711-3.465.383-12.739.316-12.691.672-9.829.892
  Otros instrumentos de patrimonio neto (N,A)
7.614.2215.554.8625.865.359999.74293.697564.2441.047.835830.861833.889
Ajustes por Cambios de valor (N,A)-4.229.428-2.269.530-3.343.851-2.152.997-1.726.411-1.810.109781.801-516.425-833.325
Ajustes en patrimonio neto (P)221.434149.744101.663-1.752-218711.5521.693-856
Subvenciones, donaciones y legados recibidos53.747.02626.101.92919.464.8199.361.012477.436769.1317.259.2005.990.3115.713.047
PASIVO NO CORRIENTE1.648.589.579681.697.583619.815.218306.275.560173.245.992174.585.730472.031.553291.558.944278.712.675
Provisiones a largo plazo63.079.52329.511.45128.699.23111.001.3395.370.0545.549.44124.698.95112.898.57712.753.497
Deudas a largo plazo1.089.828.507399.850.597347.345.868131.039.71973.430.69664.963.408219.533.546162.668.621159.983.133
Deudas con empresas del grupo y asociadas a largo plazo438.578.831218.588.877215.009.914150.086.10686.858.09396.358.512205.582.833101.401.17994.303.329
Pasivos por impuesto diferido43.177.69527.702.44923.739.36113.439.5747.278.4497.201.64917.782.38312.977.01510.143.653
Periodificaciones a largo plazo6.991.8334.284.4363.448.439387.995225.702220.4252.038.1181.405.5721.345.889
Acreedores comerciales no corrientes2.243.390763.870657.313130.4516.125109.257346.130200.393178.279
Deuda con características especiales a largo plazo4.689.800995.904915.092190.37676.873183.0382.049.5917.5894.895
PASIVO CORRIENTE1.285.080.088626.883.859567.054.085164.576.843100.159.86599.724.884428.323.421242.254.278232.440.183
Pasivos vinculados con activos no corrientes mantenidos para la venta1.623.091407.008398.02256.68546.67035.915396.175266.468308.203
Provisiones a corto plazo18.745.39710.582.8499.600.6123.309.9391.600.6541.407.7277.315.7504.755.5274.767.259
Deudas a corto plazo476.630.903181.145.888156.094.13039.276.22922.292.65819.249.839145.109.82978.482.64877.636.862
Deudas con empresas del grupo y asociadas a corto plazo289.725.352139.617.669132.400.08774.435.82942.682.65948.142.199149.942.22372.562.61663.609.785
Acreedores comerciales y otras cuentas a pagar489.056.631290.097.900263.787.66146.801.85633.188.26230.486.055123.321.20884.769.73284.700.943
Periodificaciones a corto plazo8.603.1434.697.2184.498.826674.532346.642390.0072.236.6661.416.5321.416.342
Deuda con características especiales a corto plazo695.517335.326274.74721.7722.32013.1421.570753790
TOTAL PATRIMONIO NETO Y PASIVO 4.586.948.1272.476.389.8412.193.204.943861.459.226520.118.873501.175.9271.276.036.957833.280.220763.276.902
Notas
Unidades: Importe en miles de euros

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