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BALANCE GENERAL ANUAL - CEMENTOS PACASMAYO

Cementos Pacasmayo S.A.A. y subsidiaias


Balance General
Aos 2013, 2014, 2015
(en nuevos soles)
2013
ACTIVO TOTAL S/.2,383,324.00
ACTIVOS CORRIENTES S/.853,409.00
cajas y bancos S/.473,785.00
Cuentas por cobrar comerciales y diversas, neto S/.69,395.00
Pagos a cuenta de impuesto a las ganancias S/.21,464.00
Inventarios S/.278,149.00
Gastos pagados por adelantado S/.10,616.00
ACTIVOS NO CORRIENTES S/.1,529,915.00
Cuentas por cobrar diversas, neto S/.36,110.00
Gastos pagados por adelantado S/. -
Inversiones financieras disponibles para la venta S/.34,887.00
Otros instrumentos financieros S/. -
Propiedades, planta y equipo, neto S/.1,394,835.00
Intangibles S/.49,486.00
Activo por impuesto a las ganancias diferido S/.13,438.00
Otros activos S/.1,159.00
PASIVOS Y PATRIMONIO NETO S/.2,383,324.00
PASIVO TOTAL S/.489,209.00
PASIVOS CORRIENTES S/.179,752.00
Cuentas por pagar comerciales y diversas S/.132,764.00
Pasivos financieros S/.22,884.00
Impuesto a las ganancias por pagar S/.75.00
Provisiones S/.24,029.00
PASIVOS NO CORRIENTES S/.309,457.00
Pasivos financieros S/.192,571.00
Provisiones S/.16,578.00
Pasivo por impuesto a las ganancias diferido S/.100,308.00
PATRIMONIO NETO TOTAL S/.1,894,115.00
Capital S/.531,461.00
Acciones de inversin S/.50,503.00
Capital adicional S/.558,478.00
Reserva legal S/.105,221.00
Otros resultados integrales acumulados S/.16,711.00
Resultados acumulados S/.570,878.00
PATRIMONIO
NETO
ATRIBUIBLE A
LOS
PROPIETARIOS
DE LA
CONTROLADO
RA S/.1,833,252.00
Participaciones no controladoras S/.60,863.00
2014 2015
S/.3,114,537.00 S/.3,240,904.00
S/.1,419,371.00 S/.1,034,821.00
S/.976,952.00 S/.580,499.00
S/.68,542.00 S/.110,843.00
S/.27,679.00 S/.15,042.00
S/.334,471.00 S/.324,070.00
S/.11,727.00 S/.4,367.00
S/.1,695,166.00 S/.2,206,083.00
S/.46,292.00 S/.53,948.00
S/. - S/.2,268.00
S/.36,058.00 S/.744.00
S/. - S/.12,251.00
S/.1,537,111.00 S/.2,060,976.00
S/.59,330.00 S/.57,740.00
S/.15,155.00 S/.17,175.00
S/.1,220.00 S/.981.00
S/.3,114,537.00 S/.3,240,904.00
S/.1,105,067.00 S/.1,170,219.00
S/.157,661.00 S/.200,115.00
S/.126,897.00 S/.137,569.00
S/. - S/. -
S/.2,780.00 S/.8,720.00
S/.27,984.00 S/.53,826.00
S/.947,406.00 S/.970,104.00
S/.824,022.00 S/.883,564.00
S/.20,497.00 S/.657.00
S/.102,887.00 S/.85,883.00
S/.2,009,470.00 S/.2,070,685.00
S/.531,461.00 S/.531,461.00
S/.50,503.00 S/.50,503.00
S/.556,294.00 S/.553,791.00
S/.119,833.00 S/.154,905.00
S/.19,045.00 S/.5,144.00
S/.653,704.00 S/.696,736.00
S/.1,930,840.00 S/.1,992,540.00
S/.78,630.00 S/.78,145.00
ESTADO DE RESULTADOS - CEMENTOS PACASMAYO

Cementos Pacasmayo S.A.A. y subsidiarias


Estado de Resultados
Aos 2013, 2014, 2015
(en nuevos soles)

2013 2014
Ventas S/. 1,169,808.00 S/. 1,239,688.00
Costo de ventas S/. 713,058.00 S/. 716,239.00
UTILIDAD BRUTA S/. 456,750.00 S/. 523,449.00
INGRESOS (GASTOS) OPERATIVOS
Gastos administrativos S/. 203,067.00 S/. 208,915.00
Gastos de ventas y distribucin
financieras S/. 30,865.00 S/. 29,817.00
disponibles para la venta S/. - S/. -
Otros (gastos) ingresos operativos, neto S/. 7,706.00 S/. 8,281.00
TOTAL DE GASTOS OPERATIVOS, NETO S/. -226,226.00 S/. -230,451.00
UTILIDAD OPERATIVA S/. 230,524.00 S/. 292,998.00
OTROS INGRESOS (GASTOS)
Ingresos financieros S/. 23,326.00 S/. 27,213.00
Costos financieros S/. 23,771.00 S/. 37,103.00
Prdida neta por diferencia en cambio S/. 736.00 S/. 48,430.00
TOTAL OTROS GASTOS NETOS S/. -1,181.00 S/. -58,320.00
UTILIDAD ANTES DEL IMPUESTO A L S/. 229,343.00 S/. 234,678.00
Impuesto a las ganancias S/. 73,743.00 S/. 82,395.00
UTILIDAD NETA S/. 155,600.00 S/. 152,283.00
OS PACASMAYO

2015
S/. 1,242,579.00
S/. 724,148.00
S/. 518,431.00

S/. 194,855.00
S/. 30,534.00
S/. 10,537.00
S/. 3,040.00
S/. -217,892.00
S/. 300,539.00

S/. 11,705.00
S/. 31,196.00
S/. 14,791.00
S/. -34,282.00
S/. 266,257.00
S/. 77,468.00
S/. 188,789.00

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