OstrĂ³da Ring road
FINANCIAL
STATEMENT:
BUDIMEX SA
Profit and Loss Account
Year ended 31 December | ||
---|---|---|
2016 | 2015 | |
Continuing operations | ||
Net sales of finished goods and services, goods for resale and raw materials | 5 207 194 | 4 768 675 |
Cost of finished goods, services, goods for resale and raw materials sold | (4 570 979) | (4 355 182) |
Gross profit on sales | 636 215 | 413 493 |
Selling expenses | (11 665) | (11 157) |
Administrative expenses | (179 368) | (172 749) |
Other operating income | 38 677 | 52 201 |
Other operating expenses | (54 951) | (33 978) |
Operating profit | 428 908 | 247 810 |
Finance income | 69 670 | 43 668 |
Finance costs | (31 489) | (32 569) |
Gross profit | 467 089 | 258 909 |
Income tax | (85 173) | (50 901) |
Net profit from continuing operations | 381 916 | 208 008 |
Net profit for the period | 381 916 | 208 008 |