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Analýza pasiv (analýza zdrojů financování) |
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Green Foods
a.s. |
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Jak firma financuje
svůj majetek a provoz |
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|
Vertikální
analýza pasiv |
řá- |
2011 |
|
2012 |
|
2013 |
|
2014 |
|
2015 |
|
2016 |
|
2017 |
|
2018 |
|
2019 |
|
2020 |
|
2021 |
|
2022 |
|
2023 |
|
|
dek |
abs. |
% |
abs. |
% |
abs. |
% |
abs. |
% |
abs. |
% |
abs. |
% |
abs. |
% |
abs. |
% |
abs. |
% |
abs. |
% |
abs. |
% |
abs. |
% |
abs. |
% |
|
PASIVA CELKEM |
78 |
394 793 |
100% |
416 204 |
100% |
405 089 |
100% |
419 499 |
100% |
565 642 |
100% |
628 852 |
100% |
607 492 |
100% |
575 451 |
100% |
592 470 |
100% |
653 530 |
100% |
680 260 |
100% |
678 096 |
100% |
804 697 |
100% |
|
Vlastní kapitál |
79 |
171 615 |
43% |
199 754 |
48% |
190 156 |
47% |
79 213 |
19% |
101 164 |
18% |
105 210 |
17% |
110 367 |
18% |
111 217 |
19% |
112 476 |
19% |
138 714 |
21% |
125 823 |
18% |
154 547 |
23% |
196 562 |
24% |
|
Základní kapitál |
80 |
22 000 |
13% |
22 000 |
11% |
22 000 |
12% |
22 000 |
28% |
22 000 |
22% |
22 000 |
21% |
22 000 |
20% |
22 000 |
20% |
22 000 |
20% |
22 000 |
16% |
22 000 |
17% |
22 000 |
14% |
22 000 |
11% |
|
Ážio a kapitálové fondy |
84 |
3 376 |
2% |
6 529 |
3% |
2 842 |
1% |
2 950 |
4% |
3 525 |
3% |
5 291 |
5% |
4 465 |
4% |
2 096 |
2% |
4 394 |
4% |
5 013 |
4% |
9 872 |
8% |
4 852 |
3% |
10 183 |
5% |
|
Fondy ze zisku |
92 |
2 688 |
2% |
2 688 |
1% |
2 688 |
1% |
2 688 |
3% |
2 688 |
3% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
|
Výsledek hospodaření minulých let (+/-) |
95 |
126 971 |
74% |
143 549 |
72% |
138 537 |
73% |
30 626 |
39% |
47 837 |
47% |
65 138 |
62% |
77 918 |
71% |
62 638 |
56% |
64 371 |
57% |
76 081 |
55% |
81 701 |
65% |
90 560 |
59% |
101 394 |
52% |
|
Výsledek hospodaření běžného účetního
období (+/- ) |
99 |
16 580 |
10% |
24 988 |
13% |
24 089 |
13% |
20 949 |
26% |
25 114 |
25% |
12 781 |
12% |
5 984 |
5% |
24 483 |
22% |
21 711 |
19% |
35 620 |
26% |
12 250 |
10% |
37 135 |
24% |
62 985 |
32% |
|
Cizí zdroje |
101 |
217 509 |
55% |
208 156 |
50% |
212 499 |
52% |
332 735 |
79% |
447 831 |
79% |
509 160 |
81% |
486 591 |
80% |
458 636 |
80% |
467 636 |
79% |
496 856 |
76% |
514 687 |
76% |
497 514 |
73% |
570 379 |
71% |
|
Rezervy |
102 |
852 |
0% |
2 813 |
1% |
779 |
0% |
3 324 |
1% |
2 738 |
1% |
3 624 |
1% |
1 816 |
0% |
1 662 |
0% |
1 899 |
0% |
2 293 |
0% |
3 058 |
1% |
3 493 |
1% |
3 733 |
1% |
|
Závazky |
107 |
216 657 |
100% |
205 343 |
99% |
211 720 |
100% |
329 411 |
99% |
445 093 |
99% |
505 536 |
99% |
484 775 |
100% |
456 974 |
100% |
465 737 |
100% |
494 563 |
100% |
511 629 |
99% |
494 021 |
99% |
566 646 |
99% |
|
Dlouhodobé závazky |
108 |
1 365 |
1% |
4 053 |
2% |
2 446 |
1% |
121 262 |
36% |
147 827 |
33% |
207 835 |
41% |
216 221 |
44% |
227 843 |
50% |
202 362 |
43% |
223 647 |
45% |
198 193 |
39% |
167 506 |
34% |
192 497 |
34% |
|
Krátkodobé závazky |
123 |
215 292 |
99% |
201 290 |
97% |
209 274 |
98% |
208 149 |
63% |
297 266 |
66% |
297 701 |
58% |
268 554 |
55% |
229 131 |
50% |
263 375 |
56% |
270 916 |
55% |
313 436 |
61% |
326 515 |
66% |
374 149 |
66% |
|
Časové rozlišení pasiv |
141 |
5 669 |
1% |
8 294 |
2% |
2 434 |
1% |
7 551 |
2% |
16 647 |
3% |
14 482 |
2% |
10 534 |
2% |
5 598 |
1% |
12 358 |
2% |
17 960 |
3% |
39 750 |
6% |
26 035 |
4% |
37 756 |
5% |
|
Výdaje příštích období |
142 |
5 669 |
100% |
6 393 |
77% |
2 434 |
100% |
7 551 |
100% |
16 647 |
100% |
13 775 |
95% |
2 933 |
28% |
1 157 |
21% |
2 814 |
23% |
2 087 |
12% |
2 047 |
5% |
918 |
4% |
2 204 |
6% |
|
Výnosy příštích období |
143 |
0 |
0% |
1 901 |
23% |
0 |
0% |
0 |
0% |
0 |
0% |
707 |
5% |
7 601 |
72% |
4 441 |
79% |
9 544 |
77% |
15 873 |
88% |
37 703 |
95% |
25 117 |
96% |
35 552 |
94% |
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|
Horizontální
analýza pasiv |
řá-
dek |
Změna 2011/12 |
Změna 2012/13 |
Změna 2013/14 |
Změna 2014/15 |
Změna 2015/16 |
Změna 2016/17 |
Změna 2017/18 |
Změna 2018/19 |
Změna 2019/20 |
Změna 2020/21 |
Změna 2021/22 |
Změna
2022/23 |
|
|
|
|
abs. |
% |
abs. |
% |
abs. |
% |
abs. |
% |
abs. |
% |
abs. |
% |
abs. |
% |
abs. |
% |
abs. |
% |
abs. |
% |
abs. |
% |
abs. |
% |
|
|
|
PASIVA CELKEM |
78 |
21 411 |
5% |
-11 115 |
-3% |
14 410 |
4% |
146 143 |
35% |
63 210 |
11% |
-21 360 |
-3% |
-32 041 |
-5% |
17 019 |
3% |
61 060 |
10% |
26 730 |
4% |
-2 164 |
0% |
126 601 |
19% |
|
|
|
Vlastní kapitál |
79 |
28 139 |
16% |
-9 598 |
-5% |
-110 943 |
-58% |
21 951 |
28% |
4 046 |
4% |
5 157 |
5% |
850 |
1% |
1 259 |
1% |
26 238 |
23% |
-12 891 |
-9% |
28 724 |
23% |
42 015 |
27% |
|
|
|
Základní kapitál |
80 |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
|
|
|
Ážio a kapitálové fondy |
84 |
3 153 |
93% |
-3 687 |
-56% |
108 |
4% |
575 |
19% |
1 766 |
50% |
-826 |
-16% |
-2 369 |
-53% |
2 298 |
110% |
619 |
14% |
4 859 |
97% |
-5 020 |
-51% |
5 331 |
110% |
|
|
|
Fondy ze zisku |
92 |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
-2 688 |
-100% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
|
|
|
Výsledek hospodaření minulých let (+/-) |
95 |
16 578 |
13% |
-5 012 |
-3% |
-107 911 |
-78% |
17 211 |
56% |
17 301 |
36% |
12 780 |
20% |
-15 280 |
-20% |
1 733 |
3% |
11 710 |
18% |
5 620 |
7% |
8 859 |
11% |
10 834 |
12% |
|
|
|
Výsledek hospodaření běžného účetního období (+/- ) |
99 |
8 408 |
51% |
-899 |
-4% |
-3 140 |
-13% |
4 165 |
20% |
-12 333 |
-49% |
-6 797 |
-53% |
18 499 |
309% |
-2 772 |
-11% |
13 909 |
64% |
-23 370 |
-66% |
24 885 |
203% |
25 850 |
70% |
|
|
|
Cizí zdroje |
101 |
-9 353 |
-4% |
4 343 |
2% |
120 236 |
57% |
115 096 |
35% |
61 329 |
14% |
-22 569 |
-4% |
-27 955 |
-6% |
9 000 |
2% |
29 220 |
6% |
17 831 |
4% |
-17 173 |
-3% |
72 865 |
15% |
|
|
|
Rezervy |
102 |
1 961 |
230% |
-2 034 |
-72% |
2 545 |
327% |
-586 |
-18% |
886 |
32% |
-1 808 |
-50% |
-154 |
-8% |
237 |
14% |
394 |
21% |
765 |
33% |
435 |
14% |
240 |
7% |
|
|
|
Závazky |
107 |
-11 314 |
-5% |
6 377 |
3% |
117 691 |
56% |
115 682 |
35% |
60 443 |
14% |
-20 761 |
-4% |
-27 801 |
-6% |
8 763 |
2% |
28 826 |
6% |
17 066 |
3% |
-17 608 |
-3% |
72 625 |
15% |
|
|
|
Dlouhodobé závazky |
108 |
2 688 |
197% |
-1 607 |
-40% |
118 816 |
4858% |
26 565 |
22% |
60 008 |
41% |
8 386 |
4% |
11 622 |
5% |
-25 481 |
-11% |
21 285 |
11% |
-25 454 |
-11% |
-30 687 |
-15% |
24 991 |
15% |
|
|
|
Krátkodobé závazky |
123 |
-14 002 |
-7% |
7 984 |
4% |
-1 125 |
-1% |
89 117 |
43% |
435 |
0% |
-29 147 |
-10% |
-39 423 |
-15% |
34 244 |
15% |
7 541 |
3% |
42 520 |
16% |
13 079 |
4% |
47 634 |
15% |
|
|
|
Časové rozlišení pasiv |
141 |
2 625 |
46% |
-5 860 |
-71% |
5 117 |
210% |
9 096 |
120% |
-2 165 |
-13% |
-3 948 |
-27% |
-4 936 |
-47% |
6 760 |
121% |
5 602 |
45% |
21 790 |
121% |
-13 715 |
-35% |
11 721 |
45% |
|
|
|
Výdaje příštích období |
142 |
724 |
13% |
-3 959 |
-62% |
5 117 |
210% |
9 096 |
120% |
-2 872 |
-17% |
-10 842 |
-79% |
-1 776 |
-61% |
1 657 |
143% |
-727 |
-26% |
-40 |
-2% |
-1 129 |
-55% |
1 286 |
140% |
|
|
|
Výnosy příštích období |
143 |
1 901 |
0% |
-1 901 |
-100% |
0 |
0% |
0 |
0% |
707 |
0% |
6 894 |
975% |
-3 160 |
-42% |
5 103 |
115% |
6 329 |
66% |
21 830 |
138% |
-12 586 |
-33% |
10 435 |
42% |
|
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Vertikální
analýza pasiv a VZZ |
řá- |
2011 |
|
2012 |
|
2013 |
|
2014 |
|
2015 |
|
2016 |
|
2017 |
|
2018 |
|
2019 |
|
2020 |
|
2021 |
|
2022 |
|
2023 |
|
|
dek |
abs. |
% |
abs. |
% |
abs. |
% |
abs. |
% |
abs. |
% |
abs. |
% |
abs. |
% |
abs. |
% |
abs. |
% |
abs. |
% |
abs. |
% |
abs. |
% |
abs. |
% |
|
Interní zdroje financování 1) |
|
160 323 |
100% |
184 869 |
100% |
180 033 |
100% |
72 751 |
100% |
93 055 |
100% |
104 924 |
100% |
119 376 |
100% |
122 302 |
100% |
121 972 |
100% |
149 863 |
100% |
130 493 |
100% |
164 111 |
100% |
201 787 |
100% |
|
Fondy ze zisku |
92 |
2 688 |
2% |
2 688 |
1% |
2 688 |
1% |
2 688 |
4% |
2 688 |
3% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
|
Nerozdělený zisk |
95+99 |
143 551 |
90% |
168 537 |
91% |
162 626 |
90% |
51 575 |
71% |
72 951 |
78% |
77 919 |
74% |
83 902 |
70% |
87 121 |
71% |
86 082 |
71% |
111 701 |
75% |
93 951 |
72% |
127 695 |
78% |
164 379 |
81% |
|
Rezervy |
102 |
852 |
1% |
2 813 |
2% |
779 |
0% |
3 324 |
5% |
2 738 |
3% |
3 624 |
3% |
1 816 |
2% |
1 662 |
1% |
1 899 |
2% |
2 293 |
2% |
3 058 |
2% |
3 493 |
2% |
3 733 |
2% |
|
Odpisy |
16 |
13 232 |
8% |
10 831 |
6% |
13 940 |
8% |
15 164 |
21% |
14 678 |
16% |
23 381 |
22% |
33 658 |
28% |
33 519 |
27% |
33 991 |
28% |
35 869 |
24% |
33 484 |
26% |
32 923 |
20% |
33 675 |
17% |
|
Externí zdroje financování 2) |
|
105 376 |
100% |
83 529 |
100% |
79 842 |
100% |
199 950 |
100% |
299 631 |
100% |
352 018 |
100% |
357 784 |
100% |
316 848 |
100% |
322 767 |
100% |
306 199 |
100% |
355 815 |
100% |
311 453 |
100% |
365 147 |
100% |
|
Vlastní externí zdroje financování |
|
25 376 |
24% |
28 529 |
34% |
24 842 |
31% |
24 950 |
12% |
25 525 |
9% |
27 291 |
8% |
26 465 |
7% |
24 096 |
8% |
26 394 |
8% |
27 013 |
9% |
31 872 |
9% |
26 852 |
9% |
32 183 |
9% |
|
Základní kapitál |
80 |
22 000 |
87% |
22 000 |
77% |
22 000 |
89% |
22 000 |
88% |
22 000 |
86% |
22 000 |
81% |
22 000 |
83% |
22 000 |
91% |
22 000 |
83% |
22 000 |
81% |
22 000 |
69% |
22 000 |
82% |
22 000 |
68% |
|
Ážio a kapitálové fondy |
84 |
3 376 |
13% |
6 529 |
23% |
2 842 |
11% |
2 950 |
12% |
3 525 |
14% |
5 291 |
19% |
4 465 |
17% |
2 096 |
9% |
4 394 |
17% |
5 013 |
19% |
9 872 |
31% |
4 852 |
18% |
10 183 |
32% |
|
Cizí externí zdroje financování |
|
80 000 |
76% |
55 000 |
66% |
55 000 |
69% |
175 000 |
88% |
274 106 |
91% |
324 727 |
92% |
331 319 |
93% |
292 752 |
92% |
296 373 |
92% |
279 186 |
91% |
323 943 |
91% |
284 601 |
91% |
332 964 |
91% |
|
Vydané dluhopisy |
109+124 |
0 |
0% |
0 |
0% |
0 |
0% |
120 000 |
69% |
120 000 |
44% |
120 000 |
37% |
120 000 |
36% |
120 000 |
41% |
120 000 |
40% |
120 000 |
43% |
120 000 |
37% |
120 000 |
42% |
120 000 |
36% |
|
Závazky k úvěrovým institucím |
112+127 |
80 000 |
100% |
55 000 |
100% |
55 000 |
100% |
55 000 |
31% |
154 106 |
56% |
204 727 |
63% |
211 319 |
64% |
172 752 |
59% |
176 373 |
60% |
159 186 |
57% |
203 943 |
63% |
164 601 |
58% |
212 964 |
64% |
|
Směnky k úhradě |
115+130 |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
|
Krátkodobé finanční výpomoci |
135 |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
0 |
0% |
|
1) Interní zdroje získává společnost z vlastních vnitřních
činností. Podnik své aktivity financuje ze svých vlastních zdrojů. |
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2) Externími zdroji nazýváme takové zdroje, které jsou získány
jinde než uvnitř podniku. Pro získání externích zdrojů musí společnost využít
vnější prostředí. |
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Manuál a vysvětlení listu |
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https://www.finanalysis.cz/manualy/FinAnalysis_2.22_16.pdf |
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Změna 2011/12 |
Změna 2012/13 |
Změna 2013/14 |
Změna 2014/15 |
Změna 2015/16 |
Změna 2016/17 |
Změna 2017/18 |
Změna 2018/19 |
Změna 2019/20 |
Změna 2020/21 |
Změna 2021/22 |
Změna 2022/23 |
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|
PASIVA CELKEM |
|
21 411 |
-11 115 |
14 410 |
146 143 |
63 210 |
-21 360 |
-32 041 |
17 019 |
61 060 |
26 730 |
-2 164 |
126 601 |
|
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|
|
|
|
|
|
|
|
|
Vlastní kapitál |
|
28 139 |
-9 598 |
-110 943 |
21 951 |
4 046 |
5 157 |
850 |
1 259 |
26 238 |
-12 891 |
28 724 |
42 015 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
Základní kapitál |
|
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
Ážio a kapitálové fondy |
|
3 153 |
-3 687 |
108 |
575 |
1 766 |
-826 |
-2 369 |
2 298 |
619 |
4 859 |
-5 020 |
5 331 |
|
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|
|
|
|
|
|
|
|
|
|
|
|
|
Fondy ze zisku |
|
0 |
0 |
0 |
0 |
-2 688 |
0 |
0 |
0 |
0 |
0 |
0 |
0 |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
Výsledek hospodaření
minulých let (+/-) |
16 578 |
-5 012 |
-107 911 |
17 211 |
17 301 |
12 780 |
-15 280 |
1 733 |
11 710 |
5 620 |
8 859 |
10 834 |
|
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|
|
|
|
|
|
|
|
|
|
|
|
Výsledek hospodaření
běžného účetního období (+/- ) |
8 408 |
-899 |
-3 140 |
4 165 |
-12 333 |
-6 797 |
18 499 |
-2 772 |
13 909 |
-23 370 |
24 885 |
25 850 |
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|
Cizí zdroje |
|
-9 353 |
4 343 |
120 236 |
115 096 |
61 329 |
-22 569 |
-27 955 |
9 000 |
29 220 |
17 831 |
-17 173 |
72 865 |
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|
|
|
|
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|
|
|
Rezervy |
|
1 961 |
-2 034 |
2 545 |
-586 |
886 |
-1 808 |
-154 |
237 |
394 |
765 |
435 |
240 |
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|
Závazky |
|
-11 314 |
6 377 |
117 691 |
115 682 |
60 443 |
-20 761 |
-27 801 |
8 763 |
28 826 |
17 066 |
-17 608 |
72 625 |
|
|
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|
|
|
|
|
Dlouhodobé závazky |
|
2 688 |
-1 607 |
118 816 |
26 565 |
60 008 |
8 386 |
11 622 |
-25 481 |
21 285 |
-25 454 |
-30 687 |
24 991 |
|
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|
|
|
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|
|
Krátkodobé závazky |
|
-14 002 |
7 984 |
-1 125 |
89 117 |
435 |
-29 147 |
-39 423 |
34 244 |
7 541 |
42 520 |
13 079 |
47 634 |
|
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|
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|
|
Časové rozlišení pasiv |
|
2 625 |
-5 860 |
5 117 |
9 096 |
-2 165 |
-3 948 |
-4 936 |
6 760 |
5 602 |
21 790 |
-13 715 |
11 721 |
|
|
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|
|
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|
|
|
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|
|
|
Výdaje příštích období |
|
724 |
-3 959 |
5 117 |
9 096 |
-2 872 |
-10 842 |
-1 776 |
1 657 |
-727 |
-40 |
-1 129 |
1 286 |
|
|
|
|
|
|
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|
|
|
|
|
|
|
|
Výnosy příštích období |
|
1 901 |
-1 901 |
0 |
0 |
707 |
6 894 |
-3 160 |
5 103 |
6 329 |
21 830 |
-12 586 |
10 435 |
|
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|
PASIVA CELKEM |
|
5% |
-3% |
4% |
35% |
11% |
-3% |
-5% |
3% |
10% |
4% |
0% |
19% |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
Vlastní kapitál |
|
16% |
-5% |
-58% |
28% |
4% |
5% |
1% |
1% |
23% |
-9% |
23% |
27% |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
Základní kapitál |
|
0% |
0% |
0% |
0% |
0% |
0% |
0% |
0% |
0% |
0% |
0% |
0% |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
Ážio a kapitálové fondy |
|
93% |
-56% |
4% |
19% |
50% |
-16% |
-53% |
110% |
14% |
97% |
-51% |
110% |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
Fondy ze zisku |
|
0% |
0% |
0% |
0% |
-100% |
0% |
0% |
0% |
0% |
0% |
0% |
0% |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
Výsledek hospodaření
minulých let (+/-) |
13% |
-3% |
-78% |
56% |
36% |
20% |
-20% |
3% |
18% |
7% |
11% |
12% |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
Výsledek hospodaření
běžného účetního období (+/- ) |
51% |
-4% |
-13% |
20% |
-49% |
-53% |
309% |
-11% |
64% |
-66% |
203% |
70% |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
Cizí zdroje |
|
-4% |
2% |
57% |
35% |
14% |
-4% |
-6% |
2% |
6% |
4% |
-3% |
15% |
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
Rezervy |
|
230% |
-72% |
327% |
-18% |
32% |
-50% |
-8% |
14% |
21% |
33% |
14% |
7% |
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Závazky |
|
-5% |
3% |
56% |
35% |
14% |
-4% |
-6% |
2% |
6% |
3% |
-3% |
15% |
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Dlouhodobé závazky |
|
197% |
-40% |
4858% |
22% |
41% |
4% |
5% |
-11% |
11% |
-11% |
-15% |
15% |
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Krátkodobé závazky |
|
-7% |
4% |
-1% |
43% |
0% |
-10% |
-15% |
15% |
3% |
16% |
4% |
15% |
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Časové rozlišení pasiv |
|
46% |
-71% |
210% |
120% |
-13% |
-27% |
-47% |
121% |
45% |
121% |
-35% |
45% |
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Výdaje příštích období |
|
13% |
-62% |
210% |
120% |
-17% |
-79% |
-61% |
143% |
-26% |
-2% |
-55% |
140% |
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Výnosy příštích období |
|
0% |
-100% |
0% |
0% |
0% |
975% |
-42% |
115% |
66% |
138% |
-33% |
42% |
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Interní zdroje financování 1) |
|
160 323 |
184 869 |
180 033 |
72 751 |
93 055 |
104 924 |
119 376 |
122 302 |
121 972 |
149 863 |
130 493 |
164 111 |
201 787 |
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|
Externí zdroje financování 2) |
|
105 376 |
83 529 |
79 842 |
199 950 |
299 631 |
352 018 |
357 784 |
316 848 |
322 767 |
306 199 |
355 815 |
311 453 |
365 147 |
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|
Vlastní externí zdroje financování |
|
25 376 |
28 529 |
24 842 |
24 950 |
25 525 |
27 291 |
26 465 |
24 096 |
26 394 |
27 013 |
31 872 |
26 852 |
32 183 |
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|
Cizí externí zdroje financování |
|
80 000 |
55 000 |
55 000 |
175 000 |
274 106 |
324 727 |
331 319 |
292 752 |
296 373 |
279 186 |
323 943 |
284 601 |
332 964 |
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|
100% |
100% |
100% |
100% |
100% |
100% |
100% |
100% |
100% |
100% |
100% |
100% |
100% |
|
|
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|
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|
|
100% |
100% |
100% |
100% |
100% |
100% |
100% |
100% |
100% |
100% |
100% |
100% |
100% |
|
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|
|
24% |
34% |
31% |
12% |
9% |
8% |
7% |
8% |
8% |
9% |
9% |
9% |
9% |
|
|
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|
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|
|
|
|
|
|
|
|
|
76% |
66% |
69% |
88% |
91% |
92% |
93% |
92% |
92% |
91% |
91% |
91% |
91% |
|
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