| Fin del ejercicio | 30-Sep-09 | 30-Jun-09 | 31-Mar-09 | 31-Dec-08 | | | Activos | | Activos corrientes | | Efectivo y equivalentes | 441,569,000 | 534,529,000 | 525,788,000 | 199,584,000 | | Inversiones a corto plazo |
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| 179,503,000 | 179,603,000 | 228,502,000 | | Efectos a cobrar netos | 34,667,000 | 34,598,000 | 43,329,000 | 44,278,000 | | Inventario |
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| | Otros activos corrientes |
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| | | Total activos corrientes |
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| | Inversiones a largo plazo | 1,188,382,000 | 879,277,000 | 869,876,000 | 1,259,543,000 | | Planta y equipamiento |
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| | Sobrestimación | 25,423,000 | 25,578,000 | 26,410,000 | 27,132,000 | | Activos intangibles | 8,957,000 | 10,098,000 | 13,612,000 | 14,159,000 | | Amortización acumulada |
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| | Otros activos | 189,601,000 | 184,950,000 | 163,960,000 | 165,272,000 | | Cargas a largo plazo diferidas del activo |
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| | | Total activos | 1,888,599,000 | 1,848,533,000 | 1,822,578,000 | 1,938,470,000 | | | Pasivos | | Pasivos corrientes |
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| | Cuentas a pagar | 57,672,000 | 52,696,000 | 58,950,000 | 70,916,000 | | Deuda a corto plazo | 242,890,000 | 273,910,000 | 432,018,000 | 382,677,000 | | Otros pasivos corrientes | 832,603,000 | 804,736,000 | 762,696,000 | 774,185,000 | | | Total pasivos corrientes |
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| | Deudas a largo plazo | 510,097,000 | 348,046,000 | 337,252,000 | 476,378,000 | | Otros pasivos | 86,384,000 | 214,977,000 | 85,735,000 | 92,684,000 | | Gastos a largo plazo (prorrogados) del pasivo |
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| | Intereses minoritarios | 2,107,000 | 1,866,000 | 1,993,000 |
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| | Divergencias de adquisición |
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| | Otros activos | 189,601,000 | 184,950,000 | 163,960,000 | 165,272,000 | | Gastos a largo plazo (prorrogados) del activo |
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| | | Total pasivos | 1,747,757,000 | 1,696,231,000 | 1,678,644,000 | 1,796,840,000 | | |
Capitales propios
| | Opciones de acción |
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| | Acciones privilegiadas redimibles |
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| | Acciones privilegiadas | 312,000 | 74,301,000 | 74,246,000 | 70,664,000 | | Acciones ordinarias | 230,000 | 57,000 | 57,000 | 57,000 | | Beneficios no distribuidos | 85,208,000 | 88,874,000 | 86,115,000 | 86,521,000 | | Acciones de tesorería | (6,059,000) | (5,950,000) | (5,996,000) | (9,582,000) | | Exceso de capital | 78,802,000 | 16,663,000 | 16,525,000 | 19,165,000 | | Otros capitales propios de los accionistas | (17,651,000) | (21,643,000) | (27,013,000) | (25,195,000) | | | Total de capitales propios | 140,842,000 | 152,302,000 | 143,934,000 | 141,630,000 | | | Activo neto | $106,462,000 | $116,626,000 | $103,912,000 | $100,339,000 |
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