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CINEPLEX S.A.

ESTADOS DE SITUACION FINANCIERA


AL 31 DE DICIEMBRE DEL 2016, 2015,2014,2013 Y 2012
EN MILES DE SOLES

2016 2015 2014 2013 2012


ACTIVOS
Activo Corriente
Efectivo y equivalente de efectivo 18.331 4.92% 37.226 11.0% 27.372 7.94% 8.723 3.88% 10.634 4.73%
Activo financiero a valor razonable con
efecto en resultados - - 23.470 6.81% 4.175 1.86% -

Cuentas por Cobrar 6.648 1.78% 9.976 2.95% 7.264 2.40% 3.207 1.43% 2.428 1.08%
Otras cuentas por cobrar 7.045 1.89% 6.356 1.88% 6.390 1.85% 12.053 5.37% 2.740 1.22%
Cuentas por cobrar a subsidiarias 305 0.08% 63 0.01% 846 0.25% 213 0.09% 123 0.05%
Existencias 5.222 1.40% 4.036 1.19% 3.701 1.07% 3.663 1.63% 3.211 1.43%
Gastos pagados por anticipado 2.491 0.67% 814 0.24% 2.507 0.73% 7.091 3.16% 8.233 3.67%
Total Activo Corriente 40.042 10.74% 58.471 17.3% 71.550 20.7% 39.125 17.4% 27.368 12.2%
Activo No Corriente

Gastos pagados por anticipado 17.816 4.78% 17.212 5.10% 14.490 4.20% - -
Inversión en Subsidiarias 23.932 6.42% 23.932 7.09% 23.932 6.94% 23.932 10.7% 23.932 10.7%
Inmuebles, maquinaria y equipo, neto 289.764 77.7% 237.392 70.3% 234.253 67.9% 160.917 71.6% 116.706 52.0%
Intangibles, neto 1.202 0.32% 775 0.23% 646 0.18% 628 0.28% 754 0.34%
Total Activo No Corriente 332.714 89.3% 279.311 82.7% 273.321 79.3% 185.477 82.6% 141.392 63.0%

Total Activo 372.756 100% 337.782 100% 344.871 100% 224.602 100% 168.760 100%
2016 2015 2014 2013 2012
PASIVO
Pasivo corriente
Cuentas por pagar comerciales 40.594 13.8% 28.901 11.1% 24.442 9.13% 18.376 11.9% 11.189 11.0%
Cuentas por pagar a subsidiarias 509 0.17% 348 0.13% 628 0.23% 526 0.34% 168 0.17%
Tributos, remuneraciones y otras ctas. 37.498 12.6% 13.200 5.05% 22.443 8.39% 4.334 2.81% 6.119 6.02%
por pagar
Porción corriente préstamos largo plazo 49.815 16.8% 35.263 13.5% 18.686 6.98% 55.427 35.9% 24.739 24.4%
Total Pasivo Corriente 128.416 43.2% 77.712 29.7% 66.199 24.7% 78.663 50.9% 42.216 41.6%

Pasivo No Corriente
Deudas a largo plazo 154.701 52.1% 170.410 65.2% 190.285 71.1% 63.622 41.2% 46.640 45.9%
Pasivo por IR diferido, neto 7.850 2.64% 7.071 2.70% 7.367 2.75% 9.095 5.89% 9.999 9.85%
Ganancias diferidas 5.996 2.02% 6.237 2.39% 3.756 1.40% 3.106 2.01% 2.705 2.66%
Total Pasivo No Corriente 168.547 56.8% 183.718 70.3% 201.408 75.3% 75.823 49.1% 59.344 58.4%

Total Pasivo 296.963 100% 261.430 100% 267.608 100% 154.486 100% 101.560 100%

Patrimonio
Capital Social 64.498 17.3% 64.498 19.1% 15.912 4.61% 15.912 7.08% 15.912 9.43%
Reserva legal 6.229 1.67% 6.229 1.84% 6.229 1.81% 6.229 2.77% 6.229 3.69%
Resultados acumulados 5.066 1.36% 5.625 1.67% 55.122 16.0% 47.975 21.4% 45.085 26.7%
Total Patrimonio neto 75.793 20.3% 76.352 22.6% 77.263 22.4% 70.116 31.2% 67.200 39.8%

Total Pasivo y Patrimonio 372.756 100% 337.782 100% 344.871 100% 224.602 100% 168.760 100%
CINEPLEX S.A.
ESTADOS DE RESULTADOS
AL 31 DE DICIEMBRE DEL 2016, 2015,2014,2013 Y 2012
EN MILES DE SOLES

2016 2015 2014 2013 2012


Ingresos por ventas
Taquilla 209.493 53.6% 178.567 55.5% 138.108 56.5% 112.631 57.9% 102.437 57.6%
Dulcería 156.838 40.2% 123.219 38.3% 92.544 37.8% 71.899 37.0% 65.448 36.8%
Publicidad 8.846 2.27% 7.977 2.48% 5.212 2.13% 4.915 2.53% 4.980 2.80%
Otros 15.329 3.93% 11.769 3.66% 8.664 3.54% 5.028 2.59% 4.923 2.77%
Total ingresos 390.506 100% 321.532 100% 244.528 100% 194.474 100% 177.788 100%

Costos
Costos de operación y ventas -257.913 66.0% -219.383 68.2% -165.267 67.6% -133.131 68.5% -115.628 65.0%

Utilidad Bruta 132.593 34.0% 102.149 31.8% 79.261 32.4% 61.343 31.5% 62.160 35.0%

Gastos operativos
Gasto de administración -22.469 5.75% -18.964 5.90% -18.509 7.57% -12.165 6.26% -10.103 5.68%
Gasto de ventas -4.038 1.03% -3.187 0.99% -3.298 1.35% -2.599 1.34% -3.345 1.88%
Otros 666 0.17% -418 0.13% -808 0.33% -24 0.01% -262 0.15%
Total gastos operativos -25.841 6.62% -22.569 7.02% -22.615 9.25% -14.788 7.60% -13.710 7.71%

Utilidad operativa 106.752 27.3% 79.580 24.8% 56.646 23.2% 46.555 23.9% 48.451 27.3%

Gastos financieros -14.085 3.61% -15.821 4.92% -12.425 5.08% -6.726 3.46% -5.070 2.85%
Ingresos financieros 547 0.14% 812 0.25% 681 0.28% 389 0.20% 153 0.09%
Diferencias en cambio -1.805 0.46% -1.377 0.43% -1.943 0.79% -3.471 1.78% 1.958 1.10%

Utilidad antes de impuestos 90.688 23.2% 63.194 19.7% 42.959 17.6% 36.747 18.9% 45.492 25.6%
Impuesto a la renta -26.979 6.91% -18.072 5.62% -12.506 5.11% -11.685 6.01% -14.560 8.19%
Utilidad neta 63.709 16.3% 45.122 14.0% 30.453 12.5% 25.062 12.9% 30.932 17.4%

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