Impatt: Fast Rispons

Projezzjonijiet: Rispons Fast

Din it-taqsima qed tinbena bħalissa filwaqt li jkunu aġġornati biex jinkludu data 2012 ġodda. Aħna nistennew li jkollhom l-sezzjoni IMPATT lest sa l-aħħar ta 'Jannar.

Impatt fuq is-Suq Rispons Fast

Potenzjal Dħul Nett kull sena mill-Suq Share

FAST MERKANZIJA: PROJEZZJONIJIET SOMMARJU MARKET
 
 
suq Sharedħul SharebastimentiSP DħulSP ExpenseSP Dħul NettQligħ / Bastiment
1% Share1,332,403,904644932,682,733520,351,462412,331,270640,266
2% Share2,664,807,80812871,865,365,466936,632,632928,732,833721,626
3% Share3,997,211,71219312,798,048,1981,248,843,5101,549,204,689802,281
4% Share5,329,615,61625743,730,730,9311,456,984,0952,273,746,836883,352
5% Share6,662,019,52032174,663,413,6641,561,054,3873,102,359,277964,364

Projected Stqarrija Dħul

MERKANZIJA FAST: DIKJARAZZJONI TAD-DĦUL PROJEZZJONIJIET
 
 
# Ta Dgħajjes Skjerati3061115213384
suq Share0.04%0.07%0.13%0.24%0.42%
yr 1yr 2yr 3yr 4yr 5
bejgħ48,110,15397,182,509183,383,394339,992,813612,837,046
Spejjeż operattivi-22,032,514-45,247,440-87,008,601-165,989,713-308,226,531
Marġni gross26,077,63951,935,06996,374,793174,003,101304,610,515
deprezzament-777,778-10,136,111-20,344,444-37,950,000-69,151,389
G & A-4,406,503-9,049,488-17,401,720-33,197,943-61,645,306
Dħul mill-imgħax164,135548,1241,114,0561,977,0743,298,254
Expense interess-2,835,000-8,284,500-15,361,500-27,877,500-49,854,000
Dħul pretax18,222,49325,013,09444,381,18576,954,732127,258,073
Taxxi Income-5,466,748-7,503,928-13,314,355-23,086,420-38,177,422
Dħul nett12,755,74517,509,16631,066,82953,868,31289,080,651
deprezzament777,77810,136,11120,344,44437,950,00069,151,389
Dħul mill-imgħax-164,135-548,124-1,114,056-1,977,074-3,298,254
Expense interess2,835,0008,284,50015,361,50027,877,50049,854,000
Taxxi Income5,466,7487,503,92813,314,35523,086,42038,177,422
Dħul nett21,671,13642,885,58278,973,073140,805,158242,965,208

Karta tal-bilanċipproġettata

MERKANZIJA FAST: KARTA TAL-BILANĊ PROJEZZJONIJIET
 
 
 
 
 
yr 1yr 2yr 3yr 4yr 5
ASSI
Assi kurrenti
Iċċekkjar / Tifdil8,206,74719,199,45036,503,32662,350,356102,562,322
Kontijiet riċevibbli481,102971,8251,833,8343,399,9286,128,370
inventarju91,000185,000348,000643,0001,157,000
Assi kurrenti oħra25,00025,00025,00025,00025,000
Assi kurrenti totali8,803,84820,381,27538,710,16066,418,284109,872,692
Assi fissi
spiża91,000,000185,000,000348,000,000643,000,0001,157,000,000
Acc'd depr-777,778-10,913,889-31,258,333-69,208,333-138,359,722
Assi Netti Fissi90,222,222174,086,111316,741,667573,791,6671,018,640,278
ASSI TOTALI99,026,071194,467,386355,451,827640,209,9501,128,512,970
PASSIV & EQUITY
passiv
Passiv kurrenti
kontijiet pagabbli220,325452,474870,0861,659,8973,082,265
Passiv kurrenti oħra50,00050,00050,00050,00050,000
Passiv Kurrenti Total270,325502,474920,0861,709,8973,132,265
Obbligazzjonijiet fit-tul81,000,000155,700,000283,200,000513,300,000911,100,000
Passiv totali81,270,325156,202,474284,120,086515,009,897914,232,265
ekwità
Stock komuni500,000800,0001,000,0001,000,0001,000,000
Addizzjonali mħallsa Kapitali4,500,0007,200,0009,000,0009,000,0009,000,000
Qligħ imfaddal12,755,74530,264,91161,331,741115,200,053204,280,705
Ekwità totali17,755,74538,264,91171,331,741125,200,053214,280,705
PASSIV TOTAL & EQUITY99,026,071194,467,386355,451,827640,209,9501,128,512,970

Flow pproġettata Cash

FAST MERKANZIJA: PROJEZZJONIJIET LIKWIDITÀ
 
 
 
 
yr 1yr 2yr 3yr 4yr 5
ATTIVITAJIET OPERATTIVI
Dħul nett12,755,74517,509,16631,066,82953,868,31289,080,651
Aġġustamenti li tirrikonċilja Dħul Nett
għall-flus kontanti netti pprovduta mill-operazzjonijiet:
Bidla fil:
Kontijiet riċevibbli-481,102-490,724-862,009-1,566,094-2,728,442
kontijiet pagabbli220,325232,149417,612789,8111,422,368
Assi kurrenti oħra-25,000----
deprezzament777,77810,136,11120,344,44437,950,00069,151,389
inventarju-91,000-94,000-163,000-295,000-514,000
Obbligazzjonijiet oħra50,000----
Flus kontanti netti pprovduta mill Attivitajiet operattivi13,206,74727,292,70350,803,87790,747,029156,411,966
Attivitajiet ta 'investiment
tagħmir-91,000,000-94,000,000-163,000,000-295,000,000-514,000,000
Flus kontanti netti pprovduta mill Investiment Attivitajiet-91,000,000-94,000,000-163,000,000-295,000,000-514,000,000
ATTIVITAJIET TA 'FINANZJAMENT
Teħid b'self LTD90,000,00093,000,000162,000,000294,000,000513,000,000
LTD Paydowns-9,000,000-18,300,000-34,500,000-63,900,000-115,200,000
Kontribuzzjonijiet ekwità5,000,0003,000,0002,000,000--
dividend Pagamenti-----
Flus kontanti netti pprovduta mill Attivitajiet ta 'Finanzjament86,000,00077,700,000129,500,000230,100,000397,800,000
Żieda netta fi flus kontanti għall-perjodu8,206,74710,992,70317,303,87725,847,02940,211,966
Flus fil-bidu tal-perjodu-8,206,74719,199,45036,503,32662,350,356
Flus kontanti fl-aħħar tal-perjodu8,206,74719,199,45036,503,32662,350,356102,562,322

sommarju