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main risk factors linked to the company's activity - Sonaca

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32<br />

Bilan au 31/12/2010 (en milliers d’euro)<br />

Balance sheet at 31/12/2010 (in thousands of Euro)<br />

ACTIF - ASSETS 31.12.10 31.12.09 31.12.08<br />

Actifs immobilisés - Fixed assets 140 594 124 621 121 773<br />

Frais d’établissement - Formation expenses - - -<br />

Immobilisations incorporelles - Intangible fixed assets 20 832 104 119<br />

Immobilisations corporelles - Tangible fixed assets 97 987 104 315 104 949<br />

Terrains et constructions - Land and buildings 2 143 2 264 2 385<br />

Installations, machines et outillages - Plant, machinery and equipment 39 280 25 079 27 687<br />

Mobilier et matériel roulant - Furniture and vehicles 353 318 501<br />

Location-Financement - Leasing 12 337 16 012 19 398<br />

Autres immobilisations - O<strong>the</strong>r tangible fixed assets 7 837 8 573 9 614<br />

Immobilisations en cours et acomptes versés - Assets under construction and advance payment 36 038 52 069 45 364<br />

Immobilisations financières - Financial fixed assets 21 775 20 203 16 705<br />

Entreprises liées - Affiliated enterprises 21 274 19 692 16 015<br />

1. Participation - Investments 11 128 2 613 5 751<br />

2. Créances - Amounts receivable 10 147 17 079 10 264<br />

Autres entreprises avec lesquelles il existe un lien de participation<br />

Enterprises <strong>linked</strong> by participating interests 451 458 601<br />

1. Participations - Investments 113 114 201<br />

2. Créances - Amounts receivable 338 344 400<br />

Autres immobilisations financières - O<strong>the</strong>r financial fixed assets 49 52 89<br />

1. Actions et parts - Shares 21 21 60<br />

2. Créances et cautionnements - Amounts receivable and cash guarantees 28 32 30<br />

Actifs circulants - Current assets 180 221 216 839 214 221<br />

Créances à plus d’un an - Amounts receivable after more than one year 112 55 14 604<br />

Créances commerciales - Trade deb<strong>to</strong>rs - - -<br />

Autres créances - O<strong>the</strong>r amounts receivable 112 55 14 604<br />

S<strong>to</strong>cks et commandes en cours d’exécution - S<strong>to</strong>cks and contracts in progress 62 499 90 264 91 331<br />

S<strong>to</strong>cks - S<strong>to</strong>cks 19 796 27 717 29 168<br />

1. Approvisionnements - Consummables 19 796 27 717 29 168<br />

Commandes en cours d’exécution - Contracts in progress 42 702 62 547 62 163<br />

Créances à un an au plus - Amounts receivable within one year 64 759 67 268 97 968<br />

Créances commerciales- Amounts receivable trade deb<strong>to</strong>rs 61 952 49 503 93 425<br />

Autres créances - O<strong>the</strong>r amounts receivable 2 807 17 764 4 543<br />

Placements de trésorerie - Current investments 50 303 25 650 4 737<br />

Valeurs disponibles - Cash bank and in hand 921 32 557 4 097<br />

Comptes de régularisation - Deferrals 1 627 1 045 1 485<br />

TOTAL DE L’ACTIF - TOTAL ASSETS 320 815 341 461 335 994

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