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Balance por Comunidad Autónoma y Sector

Comunidad Autónoma: Total , Sector: Total

CUENTAS ANUALES DE SOCIEDADES

BALANCE

SOCIEDADES NO FINANCIERAS

TOTAL SOCIEDADES NO FINANCIERAS

Balance por Comunidad Autónoma y Sector

Comunidad Autónoma: Total

Sector: Total

Ejercicio 2021

Esquina

Total Perteneciente a grupo No Perteneciente a grupo
Total R.C. > 0 B.I. > 0 Total R.C. > 0 B.I. > 0 Total R.C. > 0 B.I. > 0
Número de empresas1.680.984830.102596.31444.10023.85021.3911.636.884806.252574.923
A C T I V O          
ACTIVO NO CORRIENTE 3.602.923.5712.283.646.4261.580.797.3111.939.464.2251.311.855.743837.401.1651.663.459.346971.790.683743.396.146
Inmovilizado intangible 136.080.24284.178.74484.688.89171.475.97038.173.98241.354.72864.604.27246.004.76343.334.164
Inmovilizado material 877.760.680572.584.172480.149.590330.358.668233.384.415220.871.945547.402.012339.199.756259.277.646
Inversiones inmobiliarias 257.644.990166.110.996138.641.72155.158.08438.299.59335.853.796202.486.906127.811.403102.787.925
Inversiones en empresas del grupo y asociadas a largo plazo 1.774.467.9431.170.634.692649.970.8131.355.522.225916.298.827475.865.849418.945.718254.335.865174.104.964
Inversiones financieras a largo plazo 461.172.146236.018.870187.150.50669.198.83452.923.27037.957.872391.973.312183.095.600149.192.634
Activos por impuesto diferido 78.595.36541.376.31128.593.67148.973.02527.337.74820.801.08829.622.34014.038.5627.792.583
Deudores comerciales no corrientes 17.202.20612.742.64111.602.1178.777.4205.437.9084.695.8878.424.7867.304.7336.906.230
ACTIVO CORRIENTE 1.895.555.3291.339.752.9651.135.380.487779.077.367563.073.949469.068.0741.116.477.961776.679.016666.312.413
Activos no corrientes mantenidos para la venta 6.437.8833.810.8603.051.9093.339.8122.322.8851.846.7743.098.0711.487.9741.205.135
Existencias 386.559.253239.429.651200.259.677122.565.27384.748.01575.024.738263.993.980154.681.635125.234.939
Deudores comerciales y otras cuentas a cobrar 541.179.075409.833.562363.540.447223.710.190167.916.470150.598.316317.468.885241.917.092212.942.131
Inversiones en empresas del grupo y asociadas a corto plazo 294.987.040210.449.541169.004.186228.676.728164.943.857128.208.54866.310.31245.505.68340.795.639
Inversiones financieras a corto plazo 236.078.626163.042.775143.150.47751.376.57539.976.43035.936.080184.702.051123.066.346107.214.396
Periodificaciones a corto plazo 13.077.5846.493.1836.283.9816.823.6053.457.8793.690.1806.253.9803.035.3042.593.800
Efectivo y otros activos líquidos equivalentes 417.235.867306.693.393250.089.811142.585.18499.708.41273.763.439274.650.682206.984.981176.326.372
TOTAL ACTIVO 5.498.478.9003.623.399.3902.716.177.7982.718.541.5921.874.929.6921.306.469.2392.779.937.3081.748.469.6991.409.708.559
P A S I V O          
PATRIMONIO NETO 2.640.733.3022.031.038.3941.513.630.9931.356.780.803995.681.970674.474.3331.283.952.4991.035.356.424839.156.661
 Expande-contrae la tabla. Fondos propios 2.560.864.7491.967.798.1041.477.566.8831.328.467.269968.164.474659.436.1431.232.397.480999.633.629818.130.740
  Capital
872.538.174552.222.218401.270.615296.048.967194.735.821138.135.265576.489.207357.486.397263.135.350
  Prima de emisión
664.886.904378.322.619251.607.474449.039.206254.243.935162.334.490215.847.698124.078.68389.272.983
  Reservas
1.040.437.383808.876.387605.245.451499.938.212385.234.075259.426.041540.499.171423.642.312345.819.410
  Acciones y participaciones en patrimonio propias
-12.216.187-9.751.488-4.807.562-7.984.596-6.833.763-2.915.334-4.231.591-2.917.725-1.892.228
  Resultados de ejercicios anteriores
-495.887.486-123.768.270-44.511.414-178.092.491-48.477.062-39.779.085-317.794.995-75.291.208-4.732.330
  Otras aportaciones de socios
370.799.713165.569.002116.700.387210.109.59595.939.01373.866.568160.690.11869.629.98942.833.819
  Resultado del ejercicio
154.858.965230.877.863178.850.67084.280.125118.345.10586.524.10570.578.840112.532.75892.326.565
  Dividendo a cuenta
-39.525.920-38.572.070-28.930.815-26.957.497-26.732.078-18.467.619-12.568.422-11.839.992-10.463.196
  Otros instrumentos de patrimonio neto (N,A)
4.973.2044.021.8422.142.0772.085.7491.709.428311.7112.887.4542.312.4151.830.366
Ajustes por Cambios de valor (N,A) 3.051.04814.028.9717.029.6706.151.2126.767.8394.223.143-3.100.1647.261.1322.806.526
Ajustes en patrimonio neto (P) 88.661116.79076.11822.16214.37421.46866.500102.41654.650
Subvenciones, donaciones y legados recibidos 76.728.84449.094.53028.958.32322.140.16020.735.28310.793.57854.588.68328.359.24718.164.745
PASIVO NO CORRIENTE 1.490.853.416740.416.875513.104.352723.681.066440.962.465282.409.126767.172.351299.454.410230.695.226
Provisiones a largo plazo 64.517.38040.072.05929.531.77938.412.12524.182.99922.362.16726.105.25615.889.0597.169.612
Deudas a largo plazo 904.076.129392.508.359300.171.587307.204.966175.118.584129.799.813596.871.163217.389.775170.371.774
Deudas con empresas del grupo y asociadas a largo plazo 461.759.531269.271.795150.090.991345.913.794218.438.067109.761.224115.845.73650.833.72840.329.768
Pasivos por impuesto diferido 39.942.90726.158.65922.109.53424.199.60817.280.61514.651.14715.743.2988.878.0447.458.387
Periodificaciones a largo plazo 15.196.8418.581.2297.744.6525.957.7724.284.5394.333.9839.239.0694.296.6903.410.669
Acreedores comerciales no corrientes 2.761.6342.202.4082.150.5811.493.0571.261.1251.247.8731.268.577941.283902.708
Deuda con características especiales a largo plazo 2.598.9941.622.3661.305.227499.743396.535252.9192.099.2521.225.8311.052.308
PASIVO CORRIENTE 1.366.892.182851.944.121689.442.453638.079.724438.285.257349.585.780728.812.458413.658.865339.856.673
Pasivos vinculados con activos no corrientes mantenidos para la venta 571.436274.186185.253273.292170.90898.289298.145103.27986.964
Provisiones a corto plazo 26.210.51914.219.13013.514.22514.490.6918.075.4537.905.31211.719.8296.143.6775.608.914
Deudas a corto plazo 392.957.431208.360.621154.295.586118.215.99781.966.41161.476.299274.741.435126.394.21092.819.287
Deudas con empresas del grupo y asociadas a corto plazo 324.101.062195.673.264142.527.222250.656.334159.926.804112.439.19473.444.72835.746.46030.088.028
Acreedores comerciales y otras cuentas a pagar 606.621.057422.233.551368.715.449247.489.141183.143.168162.822.763359.131.916239.090.384205.892.687
Periodificaciones a corto plazo 15.701.82510.669.4869.751.5436.870.5304.944.8364.796.9308.831.2955.724.6504.954.613
Deuda con características especiales a corto plazo 728.851513.882453.17483.74057.67846.993645.111456.205406.181
TOTAL PATRIMONIO NETO Y PASIVO 5.498.478.9003.623.399.3902.716.177.7982.718.541.5921.874.929.6921.306.469.2392.779.937.3081.748.469.6991.409.708.559
Notas

Unidades: Importe en miles de euros

Conformidad con el nivel doble A de las normas WCAG 2.0  : Abre nueva ventana