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ARMATURA S.A. - ARM

Raport trim 3 2019

Data Publicare: 15.11.2019 7:48:33

Cod IRIS: 9E356

 

 

ARMATURA S.A.

 

SITUATII FINANCIARE INDIVIDUALE

PENTRU TRIMESTRUL INCHEIAT LA 30 SEPTEMBRIE 2019

 

 

INTOCMITE IN CONFORMITATE CU

STANDARDELE INTERNATIONALE DE RAPORTARE FINANCIARA

ADOPTATE DE UNIUNEA EUROPEANA

 

 


 

                                                                                                                                                                                                                                         

                                                                                       01 ianuarie                       30 septembrie  

                                                                                                  2019                                        2019  

 

Activ

 

Active imobilizate

 

Imobilizari corporale                                                        30.346.332                             25.112.172  

Imobilizari necorporale                                                             9.239                                       8.987

Investitii imobiliare                                                                            -                               4.742.938  

 

Total active imobilizate                                                30.355.571                             29.864.097  

 

Active circulante

 

Stocuri                                                                               4.058.368                               4.655.505  

Clienti si alte creante                                                            659.424                                  385.441  

Numerar si echivalente                                                                    

de numerar                                                                           458.044                                    79.261  

Active financiare

pe termen scurt                                                                                -                                  109.804              

   

Total active circulante                                                    5.175.836                                5.230.011  

 

Total activ                                                                      35.531.407                             35.094.108              

 

Capitaluri proprii si datorii

 

Capital social                                                                   18.110.957                             18.110.957  

Rezerve                                                                           21.335.091                             21.335.091  

Rezultatul reportat inclusiv rezultatul perioadei             -40.835.609                             -42.828.163              

                                                                                                            

Total capitaluri proprii                                                 - 1.389.561                              -3.382.115  

 

Datorii pe termen lung

 

Imprumuturi                                                                                     -                                              -  

Datorii legate de leasing financiar                                                    -                                              -  

Datorii aferente impozitului

amanat                                                                              3.006.772                               3.006.772  

Furnizori si alte datorii                                                                      -                                              -              

                                                                                          3.006.772                               3.006.772  

 

                                                                                       01 ianuarie                       30 septembrie  

                                                                                                  2019                                        2019

 

 

Datorii curente

 

Furnizori si alte datorii                                                        9.597.502                             10.346.056

Decontari cu actionarii privind

capitalul social                                                                             100                                         100  

Imprumuturi                                                                     24.148.638                              24.960.432

Provizioane pentru riscuri                  

si cheltuieli                                                                            167.956                                   162.863  

 

Total datorii curente                                                     33.914.196                              35.469.451  

 

Total datorii                                                                   36.920.968                              38.476.223  

 

Total capitaluri proprii si datorii                                 35.531.407                              35.094.108  

 


                                                                                                                            

                                                                                         30 SEPTEMBRIE        30 SEPTEMBRIE

                                                                                                               2019                              2018

                                                                                                                                                           

 

Venituri                                                                                          5.454.286                      6.839.498

Alte venituri din exploatare                                                                 27.173                           25.516

Variatia stocurilor de produse finite

si productie in curs de executie                                                       588.341                        -326.523

Materii prime si materiale                                                            -3.758.879                     -3.500.213

Costul marfurilor                                                                               -24.601                        -215.543

Cheltuieli cu personalul                                                                -1.868.012                     -1.978.986

Cheltuieli cu utilitati                                                                         -233.843                        -293.205

Servicii  prestate de catre terti                                                        -302.232                        -360.377

Amortizarea si deprecierea

activelor imobilizate                                                                        -575.241                        -586.950

Miscarea neta in provizionul pentru alte

riscuri si cheltuieli                                                                                 5.093                             9.413

 

Alte cheltuieli operationale                                                               -429.577                        -793.043

 

Alte venituri / (pierderi),net                                                               122.233                         769.541

 

Rezultat operational                                                                     -995.259                        -410.872

 

Venituri financiare                                                                                     37                                    0

 

Costuri financiare  - net                                                                   -997.332                        -403.156

 

Rezultat financiar net                                                                    -997.295                        -403.156

 

Profit/Pierdere inainte de impozitare                                           -1.992.554                        -814.028

 

Venit / (Cheltuiala) cu impozitul pe profit

curent si amanat                                                                                           -                                     -

 

Profitul / Pierderea neta aferenta exercitiului                         -1.992.554                        -814.028

 

 

Numar de actiuni emise                                                              40.000.000                    40.000.000

 

 

Rezultatul pe actiune de baza si cel diluat                                   -0.0498                          -0,0204

 


                                                                                       30 SEPTEMBRIE        30 SEPTEMBRIE

                                                                                                               2019                              2018

                                                                                                                                                           

 

 

Profitul/Pierderea aferenta exercitiului                                   -1.992.554                        -814.028

 

Alte elemente ale rezultatului global:

 

Castig/(Pierdere) din reevaluarea

cladirilor                                                                                                        -                                     -

Impactul impozitului amanat asupra

Rezervelor din reevaluare                                                                            -                                     -

 

Alte elemente ale rezultatului global

    aferente anului, net de impozit                                                             -                                     -

 

Rezultat global total aferent exercitiului                                 -1.992.554                        -814.028

 

 

 

 

                                                                                                       

Administrator,

     Akper Saryyev

 



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