titbal.gif (15872 bytes)               top

backbutton.gif (9867 bytes)

            top

BTW-NR. 429.593.895

EUROPOWER GENERATORS ULYSES

1. BALANCE AFTER PROFIT- SHARING

Assets

CODES

FINANCIAL
YEAR

FORMER FINANCIAL
YEAR

Permanent assets

20/28

4 571 245

5 144 029

I. Preliminary flotation

20

. .

II. Immaterial permanent assets

21

. .

III. Material permanent assets

22/27

4 388 245

5 144 029

A. Factory grounds and buildings

22

3 348 616

4 455 461

B. Installations, machinery and equipment

23

264 528

301 149

C. Furniture and rolling stock

24

405 955

387 419

D. Leasing and similar rights

25

369 146

.

E. Other material permanent assets

26

. .

F. Assets under construction and advance payment

27

. .

IV. Financial permanent assets

28

183 000

.

Current floating assets

29/58

46 372 145

28 297 423

V. Claims in more than one year

29

. .

A. Mercantile claims

290

. .

B. Other claims

291

. .

VI. Stocks and orders in progress

3

7 421 333

8 858 182

A. Mercantile claims

30/36

7 421 333

8 858 182

B. Orders dealt with

37

. .

VII. Claims in at most one year

40/41

24 278 351

12 147 779

A. Mercantile claims

40

20 895 567

10 974 528

B. Other claims

41

3 382 784

1 173 251

VIII. Money investments

50/53

8 059 483

 1 337 500

IX. Liquid assets

54/58

 6 603 854

 5 912 728

X. Flowing accounts

490/1

9 124

41 234

TOTAL ASSETS

20/58

50 943 390

33 441 452

Liabilities

. . .

Own estate

10/15

18 508 012

12 004 452

I. Capital

10

750 000

750 000

A. Issued capital

100

750 000

750 000

B. Not requested capital

101

. .

II. Issue premium

11

. .

III. Revaluation margins

12

. .

IV. Reserves

13

75 000

75 000

A. Legal reserve

130

75 000

75 000

B. Unavailable reserves

131

. .

1. For own shares

1310

. .

2. Others

1311

. .

C. Tax-free reserves

132

. .

D. Available reserves

133

. .

V. Transferred profits

140

17 470 937

10 914 358

Transferred loss

141

. .

VI. Capital subsidies

15

212 075 265 094

Facilities and postponed taxes

16

2 798 477 107 386

VII. A. Provisions concerning risks and costs

160/5

2 712 568

.

B. Postponed taxes

168

85 909 107 386

Debts

17/49

29 636 901

21 329 614

VIII. Debts in more than one year

17

2 346 157

3 384 111

A. Financial debts

170/4

2 346 157

3 384 111

1. Lending banks, leasing debts and similar debts

172/3

2 346 157

3 384 111

2. Other loans

174/0

.

400 000

B. Trade debts

175

. .

C. Received prepayment on orders

176

. .

D. Other debts

178/9

. .

IX. Debts in at most one year

42/48

27 290 744

17 904 003

A. Debts in more than one year that expire

. . .

within the year

42

1 441 709

1 436 012

B. Financial debts

43

 7 500 000

7 188 140

1. Loaning companies

430/8

7 500 000

7 188 140

2. Other loans

439

. .

C. Trade debts

44

 15 966 815

7 443 637

1. Suppliers

440/4

15 966 815

7 443 637

2. Bills of exchange to be payed

441

. .

D. Received prepayments on orders

46

. .

E. Debts concerning taxes, payments and social cost

45

1 418 448

836 214

1.Taxes

450/3

198 782

145 145

2. Payments and social cost

454/9

1 219 666 691 069

F. Other debts

47/48

863 772

1 000 000

X. Floating accounts

492/3

.

41 500

TOTAL LIABILITIES

10/49

50 943 390

33 441 452

2. PROFIT-AND-LOSS ACCOUNT

. . .

I. Business profits and expenses

. . .

Turnover

70

170 652 972

118 699 682

Commercial goods, raw and auxiliar materials; services and various goods

60/61

147 944 850

106 485 254

A.B. Gross margin (positive balance)

70/61

23 055 290

12 884 988

Gross margin (negative balance) (-)

61/70

. .

C. Payments, social cost and pensions (-)

62

( 6 753 565 )

( 5 771 867 )

D. Writings-off and devaluations concerning (-) preliminary flotation and immaterial and material permanent assets

630

( 1 865 819 )

 ( 2 140 199 )

E. Devaluations concerning stocks, orders in progress and trade claims (additions-,withdrawals +)

.631/4

( 32101 )

 ( 37 555 )

F. Facilities for risks and costs (additions-, withdrawals and spendings +)

.635/7

( 2 712 568 )

.

G. Other running costs (-)

640/8

 ( 125 914 )

 ( 145 009 )

H. Running costs activated as reorganization costs (+)

649

. .

Operating profit (+)

70/64

11 565 323

4 790 358

Operating loss (-)

64/70

. .

II. Financial profits

75

601 766

320 673

Financial costs (-)

65

 ( 960 427 )

( 978 312 )

Profits from ordinary management, before tax-levy (+)

70/65

11 206  662

4 132 719

Loss from ordinary management, before tax-levy (-)

65/70

. .

III. Exceptional profits

76

.

.

Exceptional cost (-)

66

.

( 23 970 )

Profits from financial year before tax-levy (+)

70/66

11 206 662

4 108 749

Loss from financial year before tax-levy (-)

66/70

. .

III. bis. Withdrawal from postponed taxes (+)

780

21 477 26 846

Transfer to postponed taxes (-)

680

. .

IV. Taxes on the result (-) (+)

67/77

 ( 4 671 560 )

 ( 1 615 221 )

Profits from financial year (+)

70/67

6 556 579

2 520 374

Loss from financial year (-)

67/70

. .

V. Withdrawal from tax-free reserves (+)

789

. .

Transfer to tax-free reserves (-)

689

. .

Profits from financial year ready for destination (+)

(70/68)

6 556 579

2 520 374

Loss from financial year ready to be processed (-)

(68/70)

. .

PROCESSING OF RESULTS

. . .

A. Profit balance ready for destination

70/69

17 470 937

10 914 358

Loss balance ready to be processed (-)

69/70

. .

1. Profits from financial year ready for destination

70/68

6 556 579

2 520 374

Loss from financial year ready to be processed (-)

68/70

. .

2. Transferred profits from former financial year

790

10 914 358

8 393 984

Transferred loss from former financial year (-)

690

. .

B. Withdrawal from own estate

791/2

. .

C. Ads made to own estate (-)

691/2

.

1. To the capital and issue premiums

691

. .

2. To the legal reserve

6920

.

 

3. To other reserves

6921

; .

D.1. Transferable profits (-)

693

 ( 17 470 937 )

 ( 10 914 358 )

2. Transferable loss

793

. .

E. Intervention of the partners (or owner) in the loss

.77794

. .

F. Profits to be distributed (-)

694/6

. .

1. Remuneration of the capital

694

. .

2. Administrators or business managers

695

. .

3. Other authorized people

696

. .

 

BACK TO TOP

                                                                                          Rev.01