| Fin de l'exercice | 31-Dec-08 | 31-Dec-07 | 31-Dec-06 | | | Actifs | | Actifs circulant | | Trésorerie | 45,430,402 | 27,519,664 | 27,949,431 | | Valeurs mobilières |
-
|
-
|
-
| | Créances clients | 68,260,493 | 69,646,077 | 61,652,729 | | Stocks |
-
|
-
|
-
| | Autres éléments d"actifs courant |
-
|
-
|
-
| | | Total actif circulant |
-
|
-
|
-
| | Immobilisations financières | 739,026,767 | 897,588,206 | 782,904,893 | | Immobilisations corporelles | 24,200,320 | 3,166,735 | 29,673,743 | | Survaleur | 30,132,338 | 30,461,045 | 24,342,371 | | Immobilisations incorporelles | 4,449,013 | 4,842,895 | 30,756,389 | | Amortiissement |
-
|
-
|
-
| | Autres actifs immobilisés | 773,925 | 830,716 | 743,329 | | Charges constatées d"avance | 37,182,247 | 30,743,842 | 4,724,033 | | | Total actif | 949,455,505 | 1,064,799,178 | 962,746,916 | | | Passif | | Dettes à moins d"un an |
-
|
-
|
-
| | Fournisseurs | 78,076,235 | 114,675,575 | 109,258,786 | | Dettes à court terme |
-
|
-
|
-
| | Autres dettes à court terme | 3,459,404 | 3,287,513 |
-
| | | Total du passif à court terme |
-
|
-
|
-
| | Dettes à long terme | 59,352,599 | 25,140,930 | 22,277,422 | | Autres dettes | 739,188,882 | 830,080,780 | 752,840,341 | | Frais à long terme (reportés) | 5,087,607 | 8,151,029 | 10,914,920 | | Intérêts minoritaires | 7,200,748 | 16,235,777 | 13,423,490 | | Ecarts d"acquisition |
-
|
-
|
-
| | Autres actifs | 773,925 | 830,716 | 743,329 | | Frais à long terme (reportés) | 37,182,247 | 30,743,842 | 4,724,033 | | | Total passif | 892,365,475 | 997,571,604 | 908,714,959 | | |
Capitaux propres
| | Stocks Options |
-
|
-
|
-
| | Actions privilégiés rachetables |
-
|
-
|
-
| | Actions privilégiés |
-
|
-
|
-
| | Actions ordinaires | 31,121,947 | 6,950,615 |
-
| | Bénéfices non répartis | 1,301,153 | 27,295,783 | 24,100,756 | | Actions rachetées/rachat d"actions |
-
| (1,054,596) |
-
| | Surplus d"apport |
-
| 25,573,963 | 29,931,201 | | Autres capitaux propres des actionnaires | 24,666,931 | 8,461,811 |
-
| | | Total des capitaux propres | 57,090,031 | 67,227,575 | 54,031,957 | | | Actif net | $22,508,680 | $31,923,635 | ($1,066,802) |
|