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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
                     UNSKO-SANSKOG KANTONA                                                   OF UNA-SANA CANTON



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


                                                                                   Vrijednost                          Trend                    Struktura
                     Opis
                                                                      2017           2018           2019        2018/2017   2019/2018    2017      2018     2019
                     Poslovna aktiva                                   271.115.018    277.547.335    297.530.039     2,37%      7,20%     100,00%   100,00%  100,00%
                     Stalna sredstva i dugoročni plasmani              144.115.179    146.668.543    152.694.836     1,77%      4,11%     53,16%     52,84%  51,32%
                     Nematerijalna sredstva                             5.608.901      5.601.382       5.349.936    -0,13%      -4,49%     2,07%      2,02%   1,80%
                     Građevinski objekti                               62.836.289      58.490.725     58.927.496    -6,92%      0,75%     23,18%     21,07%  19,81%
                     Postrojenja i oprema                              22.796.041      25.749.919     32.068.567    12,96%     24,54%      8,41%      9,28%  10,78%
                     Dugoročni finansijski/financijski plasmani          821.776         843.898       1.833.526     2,69%     117,27%     0,30%      0,30%   0,62%
                     Tekuća sredstva                                   106.861.675    105.796.827    117.763.536    -1,00%     11,31%     39,42%     38,12%  39,58%
                     Zalihe i sredstva namijenjena prodaji             56.790.647      54.103.620     63.800.371    -4,73%     17,92%     20,95%     19,49%  21,44%
                     Gotovina i gotovinski ekvivalenti                  9.590.426      10.062.299     10.512.314     4,92%      4,47%      3,54%      3,63%   3,53%
                     Kratkoročna potraživanja                          33.860.769      33.927.727     34.162.446     0,20%      0,69%     12,49%     12,22%  11,48%
                     Kratkoročni finansijski/financijski plasmani       3.588.931      4.161.692       6.196.235    15,96%     48,89%      1,32%      1,50%   2,08%
                     Osnovni kapital                                   86.914.171      81.147.273     81.609.191    -6,64%      0,57%     32,06%     29,24%  27,43%
                     Neraspoređena dobit                               54.116.356      61.527.235     68.727.448    13,69%     11,70%     19,96%     22,17%  23,10%
                     Dugoročne obaveze/obveze                          20.465.463      20.921.461     22.570.255     2,23%      7,88%      7,55%      7,54%   7,59%
                     Kratkoročne obaveze/obveze                        20.465.463      20.921.461     22.570.255     2,73%      6,76%     44,73%     44,89%  44,70%
                     Dobavljači u zemlji                               23.110.924      23.133.739     22.996.814     0,10%      -0,59%     8,52%      8,34%   7,73%
























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