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PREGLED FINANSIJSKIH/FINANCIJSKIH POKAZATELJA                           OVERVIEW OF FINANCIAL INDICATORS
                       PRIVREDNIH/GOSPODARSKIH DRUŠTAVA PO OPŠTINAMA/OPĆINAMA I GRADOVIMA    FOR COMPANIES IN MUNICIPALITIES AND CITIES
                     KANTONA SARAJEVO                                                        OF SARAJEVO CANTON



                     Trend i struktura bilansa/bilance stanja za sva privredna/gospodarska društva - Novi Grad
                     Trend, and structure of balance sheet for all companies - Novi Grad


                                                                                   Vrijednost                          Trend                    Struktura
                     Opis
                                                                      2017           2018           2019        2018/2017   2019/2018    2017      2018     2019
                     Poslovna aktiva                                 3.631.320.872   3.855.760.540   4.220.791.673   6,18%      9,47%     100,00%   100,00%  100,00%
                     Stalna sredstva i dugoročni plasmani            1.618.938.868   1.681.711.132   1.902.948.502   3,88%     13,16%     44,58%     43,62%  45,09%
                     Nematerijalna sredstva                            72.270.034      54.481.708     53.398.625   -24,61%      -1,99%     1,99%      1,41%   1,27%
                     Građevinski objekti                               503.536.620    497.104.383    630.543.981    -1,28%     26,84%     13,87%     12,89%  14,94%
                     Postrojenja i oprema                              281.719.875    284.671.910    331.405.427     1,05%     16,42%      7,76%      7,38%   7,85%
                     Dugoročni finansijski/financijski plasmani        194.811.747    214.269.030    246.471.794     9,99%     15,03%      5,36%      5,56%   5,84%
                     Tekuća sredstva                                 1.490.654.705   1.559.576.603   1.709.582.197   4,62%      9,62%     41,05%     40,45%  40,50%
                     Zalihe i sredstva namijenjena prodaji             482.559.422    492.212.415    541.333.512     2,00%      9,98%     13,29%     12,77%  12,83%
                     Gotovina i gotovinski ekvivalenti                 192.479.418    237.985.303    266.449.553    23,64%     11,96%      5,30%      6,17%   6,31%
                     Kratkoročna potraživanja                          659.633.247    658.192.485    697.060.329    -0,22%      5,91%     18,17%     17,07%  16,51%
                     Kratkoročni finansijski/financijski plasmani      107.592.879    114.866.137    147.708.965     6,76%     28,59%      2,96%      2,98%   3,50%
                     Osnovni kapital                                   642.695.103    656.063.553    607.665.910     2,08%      -7,38%    17,70%     17,02%  14,40%
                     Neraspoređena dobit                               783.550.124    858.548.042    960.798.903     9,57%     11,91%     21,58%     22,27%  22,76%
                     Dugoročne obaveze/obveze                          743.259.593    825.382.703    940.580.169    11,05%     13,96%     20,47%     21,41%  22,28%
                     Kratkoročne obaveze/obveze                        743.259.593    825.382.703    940.580.169     6,01%     10,29%     41,99%     41,92%  42,24%
                     Dobavljači u zemlji                               392.728.567    387.432.090    431.092.605    -1,35%     11,27%     10,82%     10,05%  10,21%
























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