2014 | 2015 | 2016 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 | |
---|---|---|---|---|---|---|---|---|---|
CAEN | 6419 | 6419 | 6419 | 6419 | 6419 | 6419 | 6419 | 6419 | 6419 |
Numerar si solduri de numerar la banci centrale | 4.799.405.563 | 7.025.977.458 | 6.119.918.805 | 10.045.738.337 | 10.612.219.545 | 15.827.422.517 | 22.108.381.900 | 17.583.023.106 | 13.471.847.986 |
Datorii financiare detinute in vederea tranzactionarii | 71.300 | 5.626.410 | 10.946.779 | 11.905.717 | 4.226.161 | 12.331.135 | 34.817.510 | 38.688.501 | 41.695.373 |
Datorii financiare evaluate la cost amortizat | 31.712.183.359 | 40.448.580.312 | 45.200.236.673 | 51.884.703.769 | 66.099.994.522 | 78.305.921.811 | 93.066.448.609 | 114.971.650.259 | 125.396.424.574 |
Provizioane | 49.623.625 | 705.596.133 | 506.954.510 | 373.116.844 | 444.673.283 | 498.456.938 | 589.237.279 | 493.006.087 | 431.296.251 |
Capital social | 2.695.124.901 | 3.112.504.719 | 3.732.548.832 | 4.427.940.444 | 4.898.982.104 | 5.302.418.965 | 5.824.200.689 | 6.397.970.720 | 7.163.083.370 |
Rezultatul reportat | 76.810.862 | 78.498.230 | 80.185.642 | 88.843.711 | 110.135.261 | 111.952.117 | 113.180.174 | 127.902.392 | 146.954.405 |
Alte Rezerve | 263.244.609 | 378.755.604 | 913.123.735 | 1.246.144.775 | 1.473.186.671 | 1.517.255.577 | 1.982.571.728 | 2.125.916.966 | 2.496.375.051 |
Profit sau pierdere din operatiuni continue inainte de impozitare | 505.046.918 | 2.265.129.334 | 999.123.051 | 1.378.500.128 | 1.642.445.810 | 1.887.145.432 | 1.371.035.515 | 2.022.367.212 | 114.952.739.007 |
Profit sau pierdere din operatiuni continue dupa impozitare | 434.329.895 | 2.417.668.444 | 1.228.440.318 | 1.185.979.233 | 1.219.390.604 | 1.620.511.500 | 1.197.304.582 | 1.782.703.612 | 2.420.680.134 |
Active financiare detinute in vederea tranzactionarii | 52.311.074 | 56.818.510 | 59.889.716 | 83.134.509 | 15.648.289 | 22.312.041 | 39.661.928 | 111.049.252 | 249.135.623 |
Profit sau pierdere din activitati intrerupte dupa impozitare | 0 | 0 | 0 | - | 0 | 0 | 0 | 0 | 2.177.998.978 |
Profit sau pierdere aferent/a exercitiului | 434.329.895 | 2.417.668.444 | 1.228.440.318 | 1.185.979.233 | 1.219.390.604 | 1.620.511.500 | 1.197.304.582 | 1.782.703.612 | 0 |
Active financiare nedesemnate tranzactionarii evaluate obligatoriu la valoarea justã prin profit sau pierdere | 0 | 0 | 0 | 0 | 609.637.886 | 1.148.691.446 | 1.349.673.438 | 1.465.497.056 | 1.474.594.865 |
Active financiare desemnate ca fiind evaluate la valoarea justã prin profit sau pierdere | 10.852.865.363 | 12.332.576.055 | 15.120.523.651 | 16.032.612.317 | 0 | 0 | 0 | 0 | 0 |
Active financiare desemnate ca fiind evaluate la valoarea justã prin alte elemente ale rezultatului global | 19.421.162.467 | 27.097.571.163 | 29.300.428.415 | 32.020.198.841 | 21.363.907.965 | 23.637.807.091 | 30.850.770.422 | 40.853.784.263 | 43.124.154.429 |
Active financiare evaluate la cost amortizat | 0 | 0 | 0 | 0 | 40.069.403.108 | 45.065.661.926 | 46.792.377.308 | 62.271.311.462 | 72.168.910.681 |
Investitii in filiale, asocieri in participatie si entitati asociate | 74.856.297 | 84.885.734 | 136.670.932 | 156.630.932 | 537.677.322 | 486.360.465 | 499.690.101 | 735.486.307 | 708.411.515 |
Imobilizari corporale | 289.661.773 | 337.076.024 | 370.305.303 | 407.648.782 | 482.320.703 | 941.250.374 | 1.327.545.455 | 1.359.227.580 | 1.427.834.502 |
Imobilizari necorporale | 70.466.067 | 72.424.552 | 78.396.131 | 125.760.534 | 253.847.394 | 202.345.224 | 268.651.453 | 334.783.129 | 429.959.821 |
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