{"id":6800,"date":"2019-05-10T09:53:51","date_gmt":"2019-05-10T06:53:51","guid":{"rendered":"https:\/\/investors.bittnet.ro\/?page_id=6800"},"modified":"2020-08-17T13:47:15","modified_gmt":"2020-08-17T10:47:15","slug":"individual-results","status":"publish","type":"page","link":"https:\/\/investors.bittnet.ro\/en\/bittnet-group\/key-figures\/individual-results\/","title":{"rendered":"Individual results"},"content":{"rendered":"<section class=\"l-section wpb_row height_small\"><div class=\"l-section-h i-cf\"><div class=\"g-cols vc_row via_flex valign_top type_default stacking_default\"><div class=\"vc_col-sm-12 wpb_column vc_column_container\"><div class=\"vc_column-inner\"><div class=\"wpb_wrapper\"><div class=\"wpb_text_column\"><div class=\"wpb_wrapper\"><p style=\"text-align: right;\"><em>*Bittnet individual results. We published <a href=\"https:\/\/investors.bittnet.ro\/bittnet-group\/key-figures\/consolidated-results\/\">Bittnet Group consolidated results<\/a> separately.<\/em><\/p>\n<\/div><\/div><\/div><\/div><\/div><\/div><\/div><\/section><section class=\"l-section wpb_row height_small\"><div class=\"l-section-h i-cf\"><div class=\"g-cols vc_row via_flex valign_top type_default stacking_default\"><div class=\"vc_col-sm-12 wpb_column vc_column_container\"><div class=\"vc_column-inner\"><div class=\"wpb_wrapper\"><div class=\"wpb_text_column\"><div class=\"wpb_wrapper\"><h4>BALANCE SHEET<\/h4>\n<\/div><\/div><div class=\"wpb_text_column\"><div class=\"wpb_wrapper\"><table width=\"1034\">\n<tbody>\n<tr>\n<td width=\"409\"><\/td>\n<td style=\"text-align: right;\" width=\"125\"><strong>2014<\/strong><\/td>\n<td style=\"text-align: right;\" width=\"125\"><strong>2015<\/strong><\/td>\n<td style=\"text-align: right;\" width=\"125\"><strong>2016<\/strong><\/td>\n<td style=\"text-align: right;\" width=\"125\"><strong>2017<\/strong><\/td>\n<td style=\"text-align: right;\" width=\"125\"><strong>2018<\/strong><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">A. FIXED ASSETS<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">I. INTANGIBLE ASSETS<\/td>\n<td style=\"text-align: right;\" width=\"125\">98.493<\/td>\n<td style=\"text-align: right;\" width=\"125\">147.682<\/td>\n<td style=\"text-align: right;\" width=\"125\">178.603<\/td>\n<td style=\"text-align: right;\" width=\"125\">99.62<\/td>\n<td style=\"text-align: right;\" width=\"125\">9.753.934<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">II. TANGIBLE ASSETS<\/td>\n<td style=\"text-align: right;\" width=\"125\">179.073<\/td>\n<td style=\"text-align: right;\" width=\"125\">58.742<\/td>\n<td style=\"text-align: right;\" width=\"125\">4.501<\/td>\n<td style=\"text-align: right;\" width=\"125\">1.815<\/td>\n<td style=\"text-align: right;\" width=\"125\">643<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">III. FINANCIAL ASSETS<\/td>\n<td style=\"text-align: right;\" width=\"125\">92.923<\/td>\n<td style=\"text-align: right;\" width=\"125\">90.902<\/td>\n<td style=\"text-align: right;\" width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\">2.266.254<\/td>\n<td style=\"text-align: right;\" width=\"125\">3.826.254<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">FIXED ASSETS \u2013 TOTAL<\/td>\n<td style=\"text-align: right;\" width=\"125\">370.489<\/td>\n<td style=\"text-align: right;\" width=\"125\">297.326<\/td>\n<td style=\"text-align: right;\" width=\"125\">183.104<\/td>\n<td style=\"text-align: right;\" width=\"125\">2.367.689<\/td>\n<td style=\"text-align: right;\" width=\"125\">13.580.831<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">B. CURRENT ASSETS<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">I. INVENTORY<\/td>\n<td style=\"text-align: right;\" width=\"125\">995.189<\/td>\n<td style=\"text-align: right;\" width=\"125\">132.61<\/td>\n<td style=\"text-align: right;\" width=\"125\">408.878<\/td>\n<td style=\"text-align: right;\" width=\"125\">416.201<\/td>\n<td style=\"text-align: right;\" width=\"125\">526.044<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">II.Receivables<\/td>\n<td style=\"text-align: right;\" width=\"125\">3.249.575<\/td>\n<td style=\"text-align: right;\" width=\"125\">4.815.606<\/td>\n<td style=\"text-align: right;\" width=\"125\">7.499.261<\/td>\n<td style=\"text-align: right;\" width=\"125\">10.313.567<\/td>\n<td style=\"text-align: right;\" width=\"125\">26.988.039<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">III. SHORT TERM INVESTMENTS<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">V. CASH &amp; CASH EQUIVALENTS<\/td>\n<td style=\"text-align: right;\" width=\"125\">812.944<\/td>\n<td style=\"text-align: right;\" width=\"125\">3.007.788<\/td>\n<td style=\"text-align: right;\" width=\"125\">2.354.993<\/td>\n<td style=\"text-align: right;\" width=\"125\">10.349.946<\/td>\n<td style=\"text-align: right;\" width=\"125\">9.860.185<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">CURRENT ASSETS \u2013 TOTAL<\/td>\n<td style=\"text-align: right;\" width=\"125\">5.057.708<\/td>\n<td style=\"text-align: right;\" width=\"125\">7.956.004<\/td>\n<td style=\"text-align: right;\" width=\"125\">10.263.132<\/td>\n<td style=\"text-align: right;\" width=\"125\">21.079.714<\/td>\n<td style=\"text-align: right;\" width=\"125\">37.374.268<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">C. PREPAID EXPENSES<\/td>\n<td style=\"text-align: right;\" width=\"125\">68.672<\/td>\n<td style=\"text-align: right;\" width=\"125\">94.669<\/td>\n<td style=\"text-align: right;\" width=\"125\">686.217<\/td>\n<td style=\"text-align: right;\" width=\"125\">1.164.516<\/td>\n<td style=\"text-align: right;\" width=\"125\">1.694.641<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">D. SHORT TERM DEBT<\/td>\n<td style=\"text-align: right;\" width=\"125\">3.557.154<\/td>\n<td style=\"text-align: right;\" width=\"125\">5.623.092<\/td>\n<td style=\"text-align: right;\" width=\"125\">3.677.445<\/td>\n<td style=\"text-align: right;\" width=\"125\">8.512.531<\/td>\n<td style=\"text-align: right;\" width=\"125\">20.378.052<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">E. NET CURRENT ASSETS \/ NET CURRENT LIABILITIES<\/td>\n<td style=\"text-align: right;\" width=\"125\">1.567.397<\/td>\n<td style=\"text-align: right;\" width=\"125\">2.421.826<\/td>\n<td style=\"text-align: right;\" width=\"125\">6.824.913<\/td>\n<td style=\"text-align: right;\" width=\"125\">13.002.133<\/td>\n<td style=\"text-align: right;\" width=\"125\">17.991.690<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">F. TOTAL ASSETS LESS CURRENT LIABILITIES<\/td>\n<td style=\"text-align: right;\" width=\"125\">1.937.886<\/td>\n<td style=\"text-align: right;\" width=\"125\">2.719.152<\/td>\n<td style=\"text-align: right;\" width=\"125\">7.455.008<\/td>\n<td style=\"text-align: right;\" width=\"125\">16.099.388<\/td>\n<td style=\"text-align: right;\" width=\"125\">32.271.688<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">G. LONG TERM DEBT<\/td>\n<td style=\"text-align: right;\" width=\"125\">657.788<\/td>\n<td style=\"text-align: right;\" width=\"125\">499.858<\/td>\n<td style=\"text-align: right;\" width=\"125\">4.354.951<\/td>\n<td style=\"text-align: right;\" width=\"125\">9818415<\/td>\n<td style=\"text-align: right;\" width=\"125\">19.415.307<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">H. PROVISIONS<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<\/tr>\n<tr>\n<td width=\"409\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">I. PREPAID \/ ADVANCE REVENUE<\/td>\n<td style=\"text-align: right;\" width=\"125\">417.184<\/td>\n<td style=\"text-align: right;\" width=\"125\">305.269<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">1. Subsidies for investments<\/td>\n<td style=\"text-align: right;\" width=\"125\">415.355<\/td>\n<td style=\"text-align: right;\" width=\"125\">299.514<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">2. Unearned revenue<\/td>\n<td style=\"text-align: right;\" width=\"125\">1.829<\/td>\n<td style=\"text-align: right;\" width=\"125\">5.755<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">less than one year<\/td>\n<td style=\"text-align: right;\" width=\"125\">1.829<\/td>\n<td style=\"text-align: right;\" width=\"125\">5.755<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">more than one year<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">3. Income received in advance for assets transferred from customers<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">Negative goodwill<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">J. CAPITAL &amp; RESERVES<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">I. CAPITAL<\/td>\n<td style=\"text-align: right;\" width=\"125\">333.333<\/td>\n<td style=\"text-align: right;\" width=\"125\">450.438<\/td>\n<td style=\"text-align: right;\" width=\"125\">1.351.315<\/td>\n<td style=\"text-align: right;\" width=\"125\">3.044.426<\/td>\n<td style=\"text-align: right;\" width=\"125\">5.175.524<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">1. Subscribed paid capital<\/td>\n<td style=\"text-align: right;\" width=\"125\">333.333<\/td>\n<td style=\"text-align: right;\" width=\"125\">450.438<\/td>\n<td style=\"text-align: right;\" width=\"125\">1.351.315<\/td>\n<td style=\"text-align: right;\" width=\"125\">3.044.426<\/td>\n<td style=\"text-align: right;\" width=\"125\">5.175.524<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">2. Subscribed unpaid capital<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">3.Patrimony (autonomous public sector entities)<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">4. National institutes of research and development patrimony<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">II. PREMIUM SHARE CAPITAL<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\">680.247<\/td>\n<td style=\"text-align: right;\" width=\"125\">2.594.889<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">III. REVALUATION RESERVES<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">IV. MANDATORY RESERVES<\/td>\n<td style=\"text-align: right;\" width=\"125\">60.359<\/td>\n<td style=\"text-align: right;\" width=\"125\">61.073<\/td>\n<td style=\"text-align: right;\" width=\"125\">69.147<\/td>\n<td style=\"text-align: right;\" width=\"125\">164.559<\/td>\n<td style=\"text-align: right;\" width=\"125\">210.693<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">Company own shares<\/td>\n<td style=\"text-align: right;\" width=\"125\">33.333<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">Gains related to equity instruments<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">Losses related to equity instruments<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">V. RETAINED EARNINGS<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">SOLD C<\/td>\n<td style=\"text-align: right;\" width=\"125\">309.066<\/td>\n<td style=\"text-align: right;\" width=\"125\">392.026<\/td>\n<td style=\"text-align: right;\" width=\"125\">507.392<\/td>\n<td style=\"text-align: right;\" width=\"125\">896.861<\/td>\n<td style=\"text-align: right;\" width=\"125\">1.245.333<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">SOLD D<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">VI. PROFIT (LOSS) FOR THE YEAR<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">SOLD C<\/td>\n<td style=\"text-align: right;\" width=\"125\">212.643<\/td>\n<td style=\"text-align: right;\" width=\"125\">1.033.833<\/td>\n<td style=\"text-align: right;\" width=\"125\">1.180.277<\/td>\n<td style=\"text-align: right;\" width=\"125\">1.590.291<\/td>\n<td style=\"text-align: right;\" width=\"125\">3.676.077<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">SOLD D<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">Profit allocation<\/td>\n<td style=\"text-align: right;\" width=\"125\">18.575<\/td>\n<td style=\"text-align: right;\" width=\"125\">18.84<\/td>\n<td style=\"text-align: right;\" width=\"125\">8.074<\/td>\n<td style=\"text-align: right;\" width=\"125\">95.411<\/td>\n<td style=\"text-align: right;\" width=\"125\">46.135<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">SHAREHOLDERS EQUITY \u2013 TOTAL<\/td>\n<td style=\"text-align: right;\" width=\"125\">864.743<\/td>\n<td style=\"text-align: right;\" width=\"125\">1.919.780<\/td>\n<td style=\"text-align: right;\" width=\"125\">3.100.057<\/td>\n<td style=\"text-align: right;\" width=\"125\">6.280.973<\/td>\n<td style=\"text-align: right;\" width=\"125\">12.856.381<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">Public patrimony<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">CAPITAL \u2013 TOTAL<\/td>\n<td style=\"text-align: right;\" width=\"125\">864.743<\/td>\n<td style=\"text-align: right;\" width=\"125\">1.919.780<\/td>\n<td style=\"text-align: right;\" width=\"125\">3.100.057<\/td>\n<td style=\"text-align: right;\" width=\"125\">6.280.973<\/td>\n<td style=\"text-align: right;\" width=\"125\">12.856.381<\/td>\n<\/tr>\n<\/tbody>\n<\/table>\n<\/div><\/div><\/div><\/div><\/div><\/div><\/div><\/section><section class=\"l-section wpb_row us_custom_fe9ce664 height_small\"><div class=\"l-section-h i-cf\"><div class=\"g-cols vc_row via_flex valign_top type_default stacking_default\"><div class=\"vc_col-sm-12 wpb_column vc_column_container\"><div class=\"vc_column-inner\"><div class=\"wpb_wrapper\"><div class=\"wpb_text_column\"><div class=\"wpb_wrapper\"><h4>PROFIT AND LOSS ACCOUNT<\/h4>\n<\/div><\/div><div class=\"wpb_text_column\"><div class=\"wpb_wrapper\"><table width=\"1034\">\n<tbody>\n<tr>\n<td width=\"409\"><\/td>\n<td style=\"text-align: right;\" width=\"125\"><strong>2014<\/strong><\/td>\n<td style=\"text-align: right;\" width=\"125\"><strong>2015<\/strong><\/td>\n<td style=\"text-align: right;\" width=\"125\"><strong>2016<\/strong><\/td>\n<td style=\"text-align: right;\" width=\"125\"><strong>2017<\/strong><\/td>\n<td style=\"text-align: right;\" width=\"125\"><strong>2018<\/strong><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">1. NET TURNOVER<\/td>\n<td style=\"text-align: right;\" width=\"125\">8.179.532<\/td>\n<td style=\"text-align: right;\" width=\"125\">9.992.994<\/td>\n<td style=\"text-align: right;\" width=\"125\">13.694.914<\/td>\n<td style=\"text-align: right;\" width=\"125\">21.745.520<\/td>\n<td style=\"text-align: right;\" width=\"125\">19.887.510<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">Sold production<\/td>\n<td style=\"text-align: right;\" width=\"125\">3.256.157<\/td>\n<td style=\"text-align: right;\" width=\"125\">4.370.986<\/td>\n<td style=\"text-align: right;\" width=\"125\">7.813.729<\/td>\n<td style=\"text-align: right;\" width=\"125\">12.623.082<\/td>\n<td style=\"text-align: right;\" width=\"125\">12.273.404<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">Revenues from sold merchandise<\/td>\n<td style=\"text-align: right;\" width=\"125\">4.923.375<\/td>\n<td style=\"text-align: right;\" width=\"125\">5.621.974<\/td>\n<td style=\"text-align: right;\" width=\"125\">5.881.185<\/td>\n<td style=\"text-align: right;\" width=\"125\">9.122.438<\/td>\n<td style=\"text-align: right;\" width=\"125\">7.680.980<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">Commercial discounts<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">Interest expenses recorded by entities removed from the genera register and which have open leasing contracts<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">Income from subsidies related to net turnover<\/td>\n<td width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\">34<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">2. Revenues corresponding to production in progress (account 71)<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">Sold C<\/td>\n<td width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\">71.913<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">138.912<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">Sold D<\/td>\n<td width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">25.54<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">111.482<\/td>\n<\/tr>\n<tr>\n<td width=\"409\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">3. Product\u0327ia realizata\u0306 de entitate pentru scopurile sale proprii s\u0327i capitalizata\u0306<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">4. Other operating revenues<\/td>\n<td style=\"text-align: right;\" width=\"125\">154.354<\/td>\n<td style=\"text-align: right;\" width=\"125\">492.263<\/td>\n<td style=\"text-align: right;\" width=\"125\">78.65<\/td>\n<td style=\"text-align: right;\" width=\"125\">33.445<\/td>\n<td style=\"text-align: right;\" width=\"125\">6.704.629<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">\u2013 including revenues from negative goodwill<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\">0<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">OPERATING REVENUES \u2013 TOTAL<\/td>\n<td style=\"text-align: right;\" width=\"125\">8.333.886<\/td>\n<td style=\"text-align: right;\" width=\"125\">10.557.170<\/td>\n<td style=\"text-align: right;\" width=\"125\">13.748.024<\/td>\n<td style=\"text-align: right;\" width=\"125\">21.917.877<\/td>\n<td style=\"text-align: right;\" width=\"125\">26.480.657<\/td>\n<\/tr>\n<tr>\n<td width=\"409\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">5. a) Expenses with raw materials and consumables<\/td>\n<td style=\"text-align: right;\" width=\"125\">190.804<\/td>\n<td style=\"text-align: right;\" width=\"125\">400.784<\/td>\n<td style=\"text-align: right;\" width=\"125\">378.816<\/td>\n<td style=\"text-align: right;\" width=\"125\">827.14<\/td>\n<td style=\"text-align: right;\" width=\"125\">35.719<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">Other expenses<\/td>\n<td style=\"text-align: right;\" width=\"125\">77.022<\/td>\n<td style=\"text-align: right;\" width=\"125\">145.942<\/td>\n<td style=\"text-align: right;\" width=\"125\">189.694<\/td>\n<td style=\"text-align: right;\" width=\"125\">281.067<\/td>\n<td style=\"text-align: right;\" width=\"125\">749.761<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">b) Other expenses with utilities (electricity and water)<\/td>\n<td style=\"text-align: right;\" width=\"125\">615<\/td>\n<td style=\"text-align: right;\" width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\">37.773<\/td>\n<td style=\"text-align: right;\" width=\"125\">29.434<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">c) Goods for resale<\/td>\n<td style=\"text-align: right;\" width=\"125\">4.459.307<\/td>\n<td style=\"text-align: right;\" width=\"125\">5.149.093<\/td>\n<td style=\"text-align: right;\" width=\"125\">4.959.338<\/td>\n<td style=\"text-align: right;\" width=\"125\">7.865.799<\/td>\n<td style=\"text-align: right;\" width=\"125\">7.773.252<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">Discounts received<\/td>\n<td style=\"text-align: right;\" width=\"125\">18.462<\/td>\n<td style=\"text-align: right;\" width=\"125\">489<\/td>\n<td style=\"text-align: right;\" width=\"125\">357<\/td>\n<td style=\"text-align: right;\" width=\"125\">104190<\/td>\n<td style=\"text-align: right;\" width=\"125\">196.980<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">6. Personnel expenses<\/td>\n<td style=\"text-align: right;\" width=\"125\">436.073<\/td>\n<td style=\"text-align: right;\" width=\"125\">574.947<\/td>\n<td style=\"text-align: right;\" width=\"125\">957.792<\/td>\n<td style=\"text-align: right;\" width=\"125\">1.023.431<\/td>\n<td style=\"text-align: right;\" width=\"125\">641.866<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">a) Salaries<\/td>\n<td style=\"text-align: right;\" width=\"125\">345.724<\/td>\n<td style=\"text-align: right;\" width=\"125\">468.355<\/td>\n<td style=\"text-align: right;\" width=\"125\">780.154<\/td>\n<td style=\"text-align: right;\" width=\"125\">834.238<\/td>\n<td style=\"text-align: right;\" width=\"125\">627.753<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">b) Social security contributions<\/td>\n<td style=\"text-align: right;\" width=\"125\">90.349<\/td>\n<td style=\"text-align: right;\" width=\"125\">106.592<\/td>\n<td style=\"text-align: right;\" width=\"125\">177.638<\/td>\n<td style=\"text-align: right;\" width=\"125\">189.193<\/td>\n<td style=\"text-align: right;\" width=\"125\">14.113<\/td>\n<\/tr>\n<tr>\n<td width=\"409\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">7.a) Depreciation and amortization<\/td>\n<td style=\"text-align: right;\" width=\"125\">169.327<\/td>\n<td style=\"text-align: right;\" width=\"125\">153.268<\/td>\n<td style=\"text-align: right;\" width=\"125\">114.304<\/td>\n<td style=\"text-align: right;\" width=\"125\">81.669<\/td>\n<td style=\"text-align: right;\" width=\"125\">66.710<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">a.1) Expenses<\/td>\n<td style=\"text-align: right;\" width=\"125\">169.327<\/td>\n<td style=\"text-align: right;\" width=\"125\">153.268<\/td>\n<td style=\"text-align: right;\" width=\"125\">114.304<\/td>\n<td style=\"text-align: right;\" width=\"125\">81.669<\/td>\n<td style=\"text-align: right;\" width=\"125\">66.710<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">a.2) Revenues<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">b) Adjustments related to current assets<\/td>\n<td width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\">1.573<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">b.1) Expenses<\/td>\n<td width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\">1.573<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">b.2) Revenues<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">8. Other operating expenses<\/td>\n<td style=\"text-align: right;\" width=\"125\">2.646.005<\/td>\n<td style=\"text-align: right;\" width=\"125\">3.389.695<\/td>\n<td style=\"text-align: right;\" width=\"125\">5.434.918<\/td>\n<td style=\"text-align: right;\" width=\"125\">9.250.237<\/td>\n<td style=\"text-align: right;\" width=\"125\">12.220.171<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">8.1. Expenses related to third parties<\/td>\n<td style=\"text-align: right;\" width=\"125\">2.635.894<\/td>\n<td style=\"text-align: right;\" width=\"125\">3.354.710<\/td>\n<td style=\"text-align: right;\" width=\"125\">5.388.012<\/td>\n<td style=\"text-align: right;\" width=\"125\">9.179.858<\/td>\n<td style=\"text-align: right;\" width=\"125\">12.051.296<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">8.2. Expenses related to profit tax, other taxes and similar<\/td>\n<td style=\"text-align: right;\" width=\"125\">80<\/td>\n<td style=\"text-align: right;\" width=\"125\">3.621<\/td>\n<td style=\"text-align: right;\" width=\"125\">1.36<\/td>\n<td style=\"text-align: right;\" width=\"125\">2.342<\/td>\n<td style=\"text-align: right;\" width=\"125\">1.728<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">8.3. Other expenses<\/td>\n<td style=\"text-align: right;\" width=\"125\">10.031<\/td>\n<td style=\"text-align: right;\" width=\"125\">31.364<\/td>\n<td style=\"text-align: right;\" width=\"125\">45.546<\/td>\n<td style=\"text-align: right;\" width=\"125\">68.037<\/td>\n<td style=\"text-align: right;\" width=\"125\">167.147<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">Refinancing interest expense recorded by entities removed from the general register and having open leasing contracts<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">Adjustments for provisions<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">Expenses<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">Revenues<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">OPERATING EXPENSES \u2013 TOTAL<\/td>\n<td style=\"text-align: right;\" width=\"125\">7.960.691<\/td>\n<td style=\"text-align: right;\" width=\"125\">9.814.813<\/td>\n<td style=\"text-align: right;\" width=\"125\">12.034.505<\/td>\n<td style=\"text-align: right;\" width=\"125\">19.262.926<\/td>\n<td style=\"text-align: right;\" width=\"125\">21.319.933<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">OPERATING PROFIT (OR LOSS)<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">\u2013 Profit<\/td>\n<td style=\"text-align: right;\" width=\"125\">373.195<\/td>\n<td style=\"text-align: right;\" width=\"125\">742.357<\/td>\n<td style=\"text-align: right;\" width=\"125\">1.713.519<\/td>\n<td style=\"text-align: right;\" width=\"125\">2.654.951<\/td>\n<td style=\"text-align: right;\" width=\"125\">5.160.724<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">\u2013 LOSS<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">9. Revenues from investments<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">\u2013 including revenues from subsidiaries<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">10. Revenues from other investments and loans part of the assets<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">\u2013 including revenues from subsidiaries<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">11. Interest revenues<\/td>\n<td style=\"text-align: right;\" width=\"125\">309<\/td>\n<td style=\"text-align: right;\" width=\"125\">2.28<\/td>\n<td style=\"text-align: right;\" width=\"125\">2.262<\/td>\n<td style=\"text-align: right;\" width=\"125\">1.43<\/td>\n<td style=\"text-align: right;\" width=\"125\">271.064<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">\u2013 including revenues from subsidiaries<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\">229.526<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">Other financial revenues<\/td>\n<td style=\"text-align: right;\" width=\"125\">39.544<\/td>\n<td style=\"text-align: right;\" width=\"125\">710.403<\/td>\n<td style=\"text-align: right;\" width=\"125\">98.865<\/td>\n<td style=\"text-align: right;\" width=\"125\">84.465<\/td>\n<td style=\"text-align: right;\" width=\"125\">245.010<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">FINANCIAL REVENUE \u2013 TOTAL<\/td>\n<td style=\"text-align: right;\" width=\"125\">39.853<\/td>\n<td style=\"text-align: right;\" width=\"125\">712.683<\/td>\n<td style=\"text-align: right;\" width=\"125\">101.127<\/td>\n<td style=\"text-align: right;\" width=\"125\">85.895<\/td>\n<td style=\"text-align: right;\" width=\"125\">516.074<\/td>\n<\/tr>\n<tr>\n<td width=\"409\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">12. Value adjustments on financial assets and financial investments held as current assets<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">\u2013 Expenses<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">\u2013 Revenues<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">13. Interest expenses<\/td>\n<td style=\"text-align: right;\" width=\"125\">118.99<\/td>\n<td style=\"text-align: right;\" width=\"125\">172.908<\/td>\n<td style=\"text-align: right;\" width=\"125\">328.572<\/td>\n<td style=\"text-align: right;\" width=\"125\">597.714<\/td>\n<td style=\"text-align: right;\" width=\"125\">1.156.494<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">\u2013 including expenses to subsidiaries<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">Other financial expenses<\/td>\n<td style=\"text-align: right;\" width=\"125\">24.946<\/td>\n<td style=\"text-align: right;\" width=\"125\">60.664<\/td>\n<td style=\"text-align: right;\" width=\"125\">103.124<\/td>\n<td style=\"text-align: right;\" width=\"125\">234.911<\/td>\n<td style=\"text-align: right;\" width=\"125\">306.441<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">FINANCIAL EXPENSES \u2013 TOTAL<\/td>\n<td style=\"text-align: right;\" width=\"125\">143.936<\/td>\n<td style=\"text-align: right;\" width=\"125\">233.572<\/td>\n<td style=\"text-align: right;\" width=\"125\">431.696<\/td>\n<td style=\"text-align: right;\" width=\"125\">832.625<\/td>\n<td style=\"text-align: right;\" width=\"125\">1.462.935<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">FINANCIAL PROFIT (OR LOSS):<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">\u2013 Profit<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">479.111<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">\u2013 Loss<\/td>\n<td style=\"text-align: right;\" width=\"125\">104.083<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">330.569<\/td>\n<td style=\"text-align: right;\" width=\"125\">746.73<\/td>\n<td style=\"text-align: right;\" width=\"125\">946.861<\/td>\n<\/tr>\n<tr>\n<td width=\"409\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">14. PROFIT (OR LOSS) FROM ORDINARY ACTIVITIES:<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">\u2013 Profit<\/td>\n<td style=\"text-align: right;\" width=\"125\">269.112<\/td>\n<td style=\"text-align: right;\" width=\"125\">1.221.468<\/td>\n<td style=\"text-align: right;\" width=\"125\">1.382.950<\/td>\n<td style=\"text-align: right;\" width=\"125\">1.908.221<\/td>\n<td style=\"text-align: right;\" width=\"125\">4.213.863<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">\u2013 Loss<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">15. Extraordinary Revenues<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">16. Extraordinary expenses<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">17. PROFIT (OR LOSS) FROM EXTRAORDINATY ACTIVITIES:<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">\u2013 Profit<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">\u2013 Loss<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">TOTAL REVENUES<\/td>\n<td style=\"text-align: right;\" width=\"125\">8.373.739<\/td>\n<td style=\"text-align: right;\" width=\"125\">11.269.853<\/td>\n<td style=\"text-align: right;\" width=\"125\">13.849.151<\/td>\n<td style=\"text-align: right;\" width=\"125\">22.003.772<\/td>\n<td style=\"text-align: right;\" width=\"125\">26.996.731<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">TOTAL EXPENSES<\/td>\n<td style=\"text-align: right;\" width=\"125\">8.104.627<\/td>\n<td style=\"text-align: right;\" width=\"125\">10.048.385<\/td>\n<td style=\"text-align: right;\" width=\"125\">12.466.201<\/td>\n<td style=\"text-align: right;\" width=\"125\">20.095.551<\/td>\n<td style=\"text-align: right;\" width=\"125\">22.782.868<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">GROSS MARGIN \/ PROFIT BEFORE TAX:<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">\u2013 Profit<\/td>\n<td style=\"text-align: right;\" width=\"125\">269.112<\/td>\n<td style=\"text-align: right;\" width=\"125\">1.221.468<\/td>\n<td style=\"text-align: right;\" width=\"125\">1.382.950<\/td>\n<td style=\"text-align: right;\" width=\"125\">1.908.221<\/td>\n<td style=\"text-align: right;\" width=\"125\">4.213.863<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">\u2013 Loss<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">18. Income Tax<\/td>\n<td style=\"text-align: right;\" width=\"125\">56.469<\/td>\n<td style=\"text-align: right;\" width=\"125\">187.635<\/td>\n<td style=\"text-align: right;\" width=\"125\">202.673<\/td>\n<td style=\"text-align: right;\" width=\"125\">317.93<\/td>\n<td style=\"text-align: right;\" width=\"125\">537.786<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">19. Other taxes<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">20. NET PROFIT (OR LOSS) FOR THE FISCAL YEAR:<\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<td width=\"125\"><\/td>\n<\/tr>\n<tr>\n<td width=\"409\">\u2013 Profit<\/td>\n<td style=\"text-align: right;\" width=\"125\">212.643<\/td>\n<td style=\"text-align: right;\" width=\"125\">1.033.833<\/td>\n<td style=\"text-align: right;\" width=\"125\">1.180.277<\/td>\n<td style=\"text-align: right;\" width=\"125\">1.590.291<\/td>\n<td style=\"text-align: right;\" width=\"125\">3.676.077<\/td>\n<\/tr>\n<tr>\n<td width=\"409\">\u2013 Loss<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<td style=\"text-align: right;\" width=\"125\">0<\/td>\n<\/tr>\n<\/tbody>\n<\/table>\n<\/div><\/div><\/div><\/div><\/div><\/div><\/div><\/section>\n","protected":false},"excerpt":{"rendered":"*Bittnet individual results. We published Bittnet Group consolidated results separately. BALANCE SHEET 2014 2015 2016 2017 2018 A. FIXED ASSETS I. INTANGIBLE ASSETS 98.493 147.682 178.603 99.62 9.753.934 II. TANGIBLE ASSETS 179.073 58.742 4.501 1.815 643 III. FINANCIAL ASSETS 92.923 90.902 2.266.254 3.826.254 FIXED ASSETS \u2013 TOTAL 370.489 297.326 183.104 2.367.689 13.580.831 B. CURRENT ASSETS...","protected":false},"author":13,"featured_media":0,"parent":7662,"menu_order":0,"comment_status":"closed","ping_status":"closed","template":"","meta":{"footnotes":""},"class_list":["post-6800","page","type-page","status-publish","hentry"],"yoast_head":"<!-- This site is optimized with the Yoast SEO plugin v20.8 - https:\/\/yoast.com\/wordpress\/plugins\/seo\/ -->\n<title>Key figures - balance sheet - profit and loss account - Bittnet<\/title>\n<meta name=\"description\" content=\"Key figures - balance sheet - profit and loss account - Bittnet\" \/>\n<meta name=\"robots\" content=\"index, follow, max-snippet:-1, max-image-preview:large, max-video-preview:-1\" \/>\n<link rel=\"canonical\" href=\"https:\/\/investors.bittnet.ro\/en\/bittnet-group\/key-figures\/individual-results\/\" \/>\n<meta property=\"og:locale\" content=\"en_US\" \/>\n<meta property=\"og:type\" content=\"article\" \/>\n<meta property=\"og:title\" content=\"Key figures - balance sheet - profit and loss account - Bittnet\" \/>\n<meta property=\"og:description\" content=\"Key figures - balance sheet - profit and loss account - Bittnet\" \/>\n<meta property=\"og:url\" content=\"https:\/\/investors.bittnet.ro\/en\/bittnet-group\/key-figures\/individual-results\/\" \/>\n<meta property=\"og:site_name\" content=\"Bittnet Investors Relations Site\" \/>\n<meta property=\"article:publisher\" content=\"https:\/\/www.facebook.com\/BittnetSystems\/\" \/>\n<meta property=\"article:modified_time\" content=\"2020-08-17T10:47:15+00:00\" \/>\n<meta name=\"twitter:card\" content=\"summary_large_image\" \/>\n<meta name=\"twitter:site\" content=\"@NA\" \/>\n<meta name=\"twitter:label1\" content=\"Est. reading time\" \/>\n\t<meta name=\"twitter:data1\" content=\"3 minutes\" \/>\n<script type=\"application\/ld+json\" class=\"yoast-schema-graph\">{\"@context\":\"https:\/\/schema.org\",\"@graph\":[{\"@type\":\"WebPage\",\"@id\":\"https:\/\/investors.bittnet.ro\/en\/bittnet-group\/key-figures\/individual-results\/\",\"url\":\"https:\/\/investors.bittnet.ro\/en\/bittnet-group\/key-figures\/individual-results\/\",\"name\":\"Key figures - balance sheet - profit and loss account - Bittnet\",\"isPartOf\":{\"@id\":\"https:\/\/investors.bittnet.ro\/en\/#website\"},\"datePublished\":\"2019-05-10T06:53:51+00:00\",\"dateModified\":\"2020-08-17T10:47:15+00:00\",\"description\":\"Key figures - balance sheet - profit and loss account - Bittnet\",\"breadcrumb\":{\"@id\":\"https:\/\/investors.bittnet.ro\/en\/bittnet-group\/key-figures\/individual-results\/#breadcrumb\"},\"inLanguage\":\"en-US\",\"potentialAction\":[{\"@type\":\"ReadAction\",\"target\":[\"https:\/\/investors.bittnet.ro\/en\/bittnet-group\/key-figures\/individual-results\/\"]}]},{\"@type\":\"BreadcrumbList\",\"@id\":\"https:\/\/investors.bittnet.ro\/en\/bittnet-group\/key-figures\/individual-results\/#breadcrumb\",\"itemListElement\":[{\"@type\":\"ListItem\",\"position\":1,\"name\":\"Home\",\"item\":\"https:\/\/investors.bittnet.ro\/en\/\"},{\"@type\":\"ListItem\",\"position\":2,\"name\":\"About\",\"item\":\"https:\/\/investors.bittnet.ro\/en\/bittnet-group\/\"},{\"@type\":\"ListItem\",\"position\":3,\"name\":\"Key figures\",\"item\":\"https:\/\/investors.bittnet.ro\/en\/bittnet-group\/key-figures\/\"},{\"@type\":\"ListItem\",\"position\":4,\"name\":\"Individual results\"}]},{\"@type\":\"WebSite\",\"@id\":\"https:\/\/investors.bittnet.ro\/en\/#website\",\"url\":\"https:\/\/investors.bittnet.ro\/en\/\",\"name\":\"Bittnet Investors Relations Site\",\"description\":\"Your Value. 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