12.07.2015 Views

ESTADOS FINANCIEROS MENSUALES AÑO 2011 Estado ... - Isagen

ESTADOS FINANCIEROS MENSUALES AÑO 2011 Estado ... - Isagen

ESTADOS FINANCIEROS MENSUALES AÑO 2011 Estado ... - Isagen

SHOW MORE
SHOW LESS

You also want an ePaper? Increase the reach of your titles

YUMPU automatically turns print PDFs into web optimized ePapers that Google loves.

<strong>ESTADOS</strong> <strong>FINANCIEROS</strong> <strong>MENSUALES</strong> AÑO <strong>2011</strong>Balance GeneralJunio Mayo Abril Marzo Febrero Enero Diciembre<strong>2011</strong> <strong>2011</strong> <strong>2011</strong> <strong>2011</strong> <strong>2011</strong> <strong>2011</strong> 2010ActivosActivo Corriente 1.262.929 1.313.907 1.302.998 1.337.753 1.368.358 1.377.621 1.369.000Activo No Corriente 3.820.099 3.734.602 3.679.879 3.632.914 3.573.908 3.514.001 3.491.463Valorizaciones 634.848 634.848 634.862 634.862 634.862 634.862 634.862Total Activos 5.717.876 5.683.357 5.617.739 5.605.529 5.577.128 5.526.484 5.495.325PasivosPasivo CorrienteObligaciones Financieras 23.812 23.812 23.812 23.812 23.812 23.812 23.812Otros Pasivos 424.905 426.766 395.439 429.238 284.632 276.382 263.365448.717 450.578 419.251 453.050 308.444 300.194 287.177Pasivo No CorrienteObligaciones Financieras 456.780 468.685 468.685 468.685 468.685 468.685 468.685Obligaciones Bonos 850.000 850.000 850.000 850.000 850.000 850.000 850.000Prima Emisión de Bonos 50.485 50.995 51.522 52.032 53.193 53.193 54.410Obligaciones Club Deal 154.500 154.500 154.500 154.500 154.500 154.500 154.500Otros Pasivos 615.095 606.816 617.312 608.967 602.768 599.727 499.6312.126.860 2.130.996 2.142.019 2.134.184 2.129.146 2.126.105 2.027.226Total Pasivos 2.575.577 2.581.574 2.561.270 2.587.234 2.437.590 2.426.299 2.314.403PatrimonioCapital Social Suscrito y Pagado 68.152 68.152 68.152 68.152 68.152 68.152 68.152Reservas 684.088 684.087 684.087 684.087 607.715 607.715 607.714Superávit de Capital 49.344 49.344 49.344 49.344 49.344 49.344 49.344Revalorización del Patrimonio 1.113.794 1.113.794 1.113.794 1.113.563 1.137.865 1.137.865 1.235.080Reserva Ocasional Inversiones 38.446 38.446 38.446 38.446 38.446 38.446 38.446Reserva Calificacion Riesgo 326.786 326.786 326.785 326.785 156.947 156.947 156.947Utilidad del Ejercicio 246.240 205.725 160.398 122.455 55.830 16.477 409.776409.776 409.776Efecto cambios PGCP -19.399 -19.399 -19.399 -19.399 -19.399 -19.399 -19.399Superávit por Valorización 634.848 634.848 634.862 634.862 634.862 634.862 634.862Total Patrimonio 3.142.299 3.101.783 3.056.469 3.018.295 3.139.538 3.100.185 3.180.922Total Pasivo y Patrimonio 5.717.876 5.683.357 5.617.739 5.605.529 5.577.128 5.526.484 5.495.325

Hooray! Your file is uploaded and ready to be published.

Saved successfully!

Ooh no, something went wrong!