Income Statements of the Basque Country according to sector of activity by legal form (euros). 2022

Share facebook Share twitter Share email Excel csv Use central area of the screen Use all available width
Departamento de Trabajo y Justicia
Product list
 TOTALPrimaryIndustryConstructionServices
COOPERATIVE     
INCOME10.332.601.69870.420.7565.388.206.542167.632.6214.706.341.780
70. Net sales8.974.525.05063.339.7735.013.879.101165.319.9703.731.986.205
71. Stock variation45.778.582528.77243.229.558927.2271.093.026
73. Work done on Fixed Assets25.696.083025.681.640014.442
74. Operation grants429.577.1863.420.16040.657.623600.562384.898.842
75. Accessory income649.674.750185.166129.848.210200.478519.440.896
76. Financial income106.444.9552.690.87880.144.105225.00923.384.963
77. Extraordinary income32.760.208243.99627.679.684183.5694.652.960
79. Provision Excesses68.144.88412.01227.086.620175.80640.870.446
EXPENSES9.838.949.99868.868.4065.107.239.147159.336.7234.503.505.722
60. Net purchases5.411.128.24247.897.2293.058.209.78673.700.6602.231.320.568
61. Variation in Stock-60.214.127-652.918-48.766.78566.312-10.860.736
62. Exterior services1.302.457.5787.177.649742.086.76515.630.353537.562.811
63. Activity related taxes38.029.534327.05812.170.340425.24925.106.887
64. Expenditures on personnel2.226.102.98811.051.741975.093.60566.683.7331.173.273.909
65. Managements costs206.151.250327.89773.256.649443.697132.123.008
66. Financial costs312.290.276572.67366.846.341744.873244.126.390
67. Exceptional costs14.759.35314.8737.864.450192.0926.687.938
68. Allocation for Depreciation for the Financial Year268.192.3662.122.008163.571.1751.305.498101.193.686
69. Provision for Loss120.052.53830.19756.906.822144.25762.971.262
PROFIT (+) or LOSS (-)493.651.6991.552.350280.967.3948.295.897202.836.058
CASH FLOW881.896.6043.704.554501.445.3929.745.652367.001.005
      
LIMITED LABOUR COMPANIES     
INCOME371.887.8710293.981.92240.892.80537.013.144
70. Net sales350.923.3880283.081.70137.413.68530.428.002
71. Stock variation9.277.25105.948.1813.302.77026.300
73. Work done on Fixed Assets00000
74. Operation grants8.943.39903.156.76637.1355.749.497
75. Accessory income843.0290504.8195.155333.055
76. Financial income175.6250174.343870412
77. Extraordinary income1.092.7180645.776133.190313.752
79. Provision Excesses632.4610470.3350162.127
EXPENSES363.102.5000287.839.38039.117.54336.145.577
60. Net purchases181.360.6140140.873.90527.220.59213.266.116
61. Variation in Stock-5.471.0980-5.270.854-157.839-42.405
62. Exterior services54.702.116046.960.3743.648.1924.093.551
63. Activity related taxes1.346.18201.158.41948.207139.557
64. Expenditures on personnel116.922.787091.823.9647.892.18917.206.635
65. Managements costs188.920094.44971.12023.350
66. Financial costs1.352.2280768.93989.891493.398
67. Exceptional costs3.525.76003.229.9425.805290.013
68. Allocation for Depreciation for the Financial Year8.753.82707.994.206226.951532.671
69. Provision for Loss421.1640206.03672.435142.692
PROFIT (+) or LOSS (-)8.785.37106.142.5421.775.262867.567
CASH FLOW17.960.362014.342.7842.074.6481.542.930
      
LABOUR ANONIMOUS SOCIETY     
INCOME321.054.194604.290152.268.16531.239.451136.942.288
70. Net sales303.214.547404.481138.766.26930.968.232133.075.566
71. Stock variation1.142.1540785.697127.947228.510
73. Work done on Fixed Assets556.0420156.4410399.601
74. Operation grants14.120.768178.77811.904.33040.4281.997.232
75. Accessory income806.63721031459.90079.894245.812
76. Financial income87.787075.3792.17110.237
77. Extraordinary income984.208098.98515.494869.729
79. Provision Excesses142.050021.1655.285115.600
EXPENSES301.480.897544.261139.055.60629.830.934132.050.097
60. Net purchases127.707.172264.11656.639.99913.008.45157.794.606
61. Variation in Stock2.016.2666.7932.560.577-6.993-544.111
62. Exterior services41.239.45689.92117.718.9522.902.88420.527.700
63. Activity related taxes1.634.4091.410721.87416.213894.912
64. Expenditures on personnel118.693.806174.14956.003.48413.311.52949.204.645
65. Managements costs554.9710151.910249.438153.623
66. Financial costs1.114.0531.050591.38141.726479.896
67. Exceptional costs1.689.0680193.34429.1171.466.607
68. Allocation for Depreciation for the Financial Year6.645.3636.8224.516.261246.4581.875.822
69. Provision for Loss186.3350-42.17632.113196.398
PROFIT (+) or LOSS (-)19.573.29660.02913.212.5591.408.5174.892.191
CASH FLOW26.404.99366.85117.686.6441.687.0876.964.411

Date July 15, 2024

Source: Department of Economy, Labor and Employment. Basque social economy statistics

Inglés
Product data
Product data

Income Statements of the Basque Country according to sector of activity by legal form (euros). 2022

Operation : 
Basque social economy statistics
Código operación : 
190904
Frequency : 
Biennial
Timeframe : 
1994-2023
Last updated : 
07/15/2024
Next update : 
Type of operation : 
Censo
Available formats : 
ExcelCsv format
Licence : 
Creative Commons
Permalink : 
https://en.eustat.eus/elementos/tbl0012552_i.html
Metodologia : 
Methodology file
Body responsible : 
Other bodies : 
Euskal Estatistika Erakundea/Instituto Vasco de Estadística

Other statistical products

Data

Press releases

Interactive graphs

Data bank

Microdata file

Metadata

Codes and nomenclatures

Questionnaires

Auxiliary information

Calendar

Your feedback.  Help us to make our web better

How would you rate the information on the site?
Very useful
Useful
Barely useful
Not useful at all
Would you like to make a suggestion?
Yes, I would
Send
AENOR AENOR

Eustat - Euskal Estatistika Erakundea - Instituto Vasco de Estadística

Eustat is the public organization that develops, produces and distributes official statistical information of the Basque Country

c/Donostia - San Sebastián, 1
01010 Vitoria-Gasteiz
Tfno: (+34) 945017500
Fax: (+34) 945017501
informacion@eustat.eus