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</br></br><h2>Patrimonio Neto</h1></br></br><div id="TabContainerEEFF_tbnEstadoP

atrimonioNeto_tblgrdEstadoPatrimonioNeto">
<table class="contenedor_centrado">
<tr>
<td style="background: #6b8fb3;color: #fffff
f;text-align: left;vertical-align: middle;font-weight: bold;height: 22px;font-si
ze: 12px;font-family: Arial, Helvetica, sans-serif;padding-left:5px;">
<span id="TabContainerEEFF_tbnEstadoPatrim
onioNeto_lblEmpresa02">CASA GRANDE SOCIEDAD ANONIMA ABIERTA (CASA GRANDE S.A.A.)
</span>
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</tr>
<tr>
<td style=" background: #96afc9; color: #fff
fff; text-align: left; vertical-align: middle; font-weight: bold; height: 22px;
font-size: 12px; font-family: Arial, Helvetica, sans-serif; padding-left:5px;"
>
<span id="TabContainerEEFF_tbnEstadoPatri
monioNeto_lblEstados02">ESTADOS FINANCIEROS</span>
|
<span id="TabContainerEEFF_tbnEstadoPatr
imonioNeto_lblBimestre02">INDIVIDUAL | ANUAL AL 31 DE DICIEMBRE DEL -1 ( EN MILE
S DE NUEVOS SOLES )</span>
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</tr>
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<div>
<table class="contenedor_centrado" cellspacing="0" rules="all" border="1
" id="TabContainerEEFF_tbnEstadoPatrimonioNeto_grdEstadoPatrimonioNeto" style="w
idth:1200px;border-collapse:collapse;">
<tr class=" grid_subtitulo2" valign="middle" style="color:White;
background-color:#BCBBBC;border-width:0px;font-size:9px;font-weight:bold;height:
20px;">
<th scope="col">Cuenta</th><th align="right" scope="col"
>Capital</th><th align="right" scope="col">Acciones de Inversi&#243;n</th><th al
ign="right" scope="col">Capital Adicional</th><th align="right" scope="col">Resu
ltados no Realizados</th><th align="right" scope="col">Reservas Legales</th><th
align="right" scope="col">Otras Reservas</th><th align="right" scope="col">Resul
tados Acumulados</th><th align="right" scope="col">Diferencias de Conversi&#243;
n</th><th align="right" scope="col">Total Patrimonio Neto</th>
</tr><tr style="color:DimGray;background-color:LightGrey;font-we
ight:bold;">
<td>SALDOS AL 1ERO DE ENERO DE 2008</td><td align="right
">844,901</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td alig
n="right">&nbsp;</td><td align="right">261,611</td><td align="right">85,016</td>
<td align="right">(571,490)</td><td align="right">&nbsp;</td><td align="right">6
20,038</td>
</tr><tr>
<td class="margen_eeff">Ganancia (P&#233;rdida) por valo
r razonable de:</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><t
d align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;
</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right"
>&nbsp;</td><td align="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">- Inmuebles, Maquinaria y Equipo
</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right"
>&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align=

"right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td


align="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">- Activos Financieros disponible
s para la Venta</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><t
d align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;
</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right"
>&nbsp;</td><td align="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">Ganancia (P&#233;rdida) por Cobe
rturas de Flujo de Efectivo y/o Coberturas de Inversi&#243;n Neta en un Negocio
en el Extranjero </td><td align="right">&nbsp;</td><td align="right">&nbsp;</td>
<td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbs
p;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="righ
t">&nbsp;</td><td align="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">Ganancia (P&#233;rdida) por Dife
rencias de Cambio</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td>
<td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbs
p;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="righ
t">&nbsp;</td><td align="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">Ingresos (gastos) reconocidos di
rectamente en Patrimonio</td><td align="right">&nbsp;</td><td align="right">&nbs
p;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="righ
t">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td alig
n="right">&nbsp;</td><td align="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">Transferencias netas de Resultad
os no Realizados</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><
td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp
;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right
">&nbsp;</td><td align="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">Otras Transferencias netas</td><
td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp
;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right
">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align
="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">Utilidad (P&#233;rdida) Neta del
Ejercicio</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td ali
gn="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td>
<td align="right">&nbsp;</td><td align="right">30,756</td><td align="right">&nbs
p;</td><td align="right">30,756</td>
</tr><tr style="color:DimGray;background-color:LightGrey;font-we
ight:bold;">
<td>Total de ingresos y gastos reconocidos </td><td alig
n="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><
td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp
;</td><td align="right">30,756</td><td align="right">&nbsp;</td><td align="right
">30,756</td>
</tr><tr>
<td class="margen_eeff">Efecto acumulado de Cambios en P
ol&#237;ticas Contables y Correcci&#243;n de Errores</td><td align="right">&nbsp
;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right
">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align
="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">Distribuciones o Asignaciones a

reservas de utilidades efectuadas en el per&#237;odo</td><td align="right">&nbsp


;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right
">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align
="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">Dividendos declarados y Particip
aciones acordados durante el per&#237;odo</td><td align="right">&nbsp;</td><td a
lign="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</t
d><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&n
bsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">Nuevos Aportes de accionistas</t
d><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&n
bsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="ri
ght">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td al
ign="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">Reducci&#243;n de Capital o rede
nci&#243;n de Acc. de Inversi&#243;n</td><td align="right">&nbsp;</td><td align
="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><t
d align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;
</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">Acciones en Tesoreria</td><td al
ign="right">2,129</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td>
<td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbs
p;</td><td align="right">10,614</td><td align="right">&nbsp;</td><td align="righ
t">12,743</td>
</tr><tr>
<td class="margen_eeff">Capitalizaci&#243;n de partidas
patrimoniales</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td
align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</
td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&
nbsp;</td><td align="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">Incrementos o disminuciones por
fusiones o escisiones</td><td align="right">&nbsp;</td><td align="right">&nbsp;<
/td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">
&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="
right">&nbsp;</td><td align="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">Conversi&#243;n a moneda de pres
entaci&#243;n</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td
align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</
td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&
nbsp;</td><td align="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">Otros incrementos o disminucione
s de las partidas patrimoniales</td><td align="right">&nbsp;</td><td align="righ
t">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td alig
n="right">(93,142)</td><td align="right">(153)</td><td align="right">103,095</td
><td align="right">&nbsp;</td><td align="right">9,800</td>
</tr><tr style="color:DimGray;background-color:LightGrey;font-we
ight:bold;">
<td>SALDOS AL 31 DE DICIEMBRE DE 2008</td><td align="rig
ht">847,030</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td al
ign="right">&nbsp;</td><td align="right">168,469</td><td align="right">84,863</t
d><td align="right">(427,025)</td><td align="right">&nbsp;</td><td align="right"
>673,337</td>
</tr><tr style="color:DimGray;background-color:LightGrey;font-we

ight:bold;">
<td>SALDOS AL 1ERO DE ENERO DE 2009</td><td align="right
">847,030</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td alig
n="right">&nbsp;</td><td align="right">168,469</td><td align="right">84,863</td>
<td align="right">(427,025)</td><td align="right">&nbsp;</td><td align="right">6
73,337</td>
</tr><tr>
<td class="margen_eeff">Ganancia (P&#233;rdida) por valo
r razonable de:</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><t
d align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;
</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right"
>&nbsp;</td><td align="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">- Inmuebles, Maquinaria y Equipo
</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right"
>&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align=
"right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td
align="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">- Activos Financieros disponible
s para la Venta</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><t
d align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;
</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right"
>&nbsp;</td><td align="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">Ganancia (P&#233;rdida) por Cobe
rturas de Flujo de Efectivo y/o Coberturas de Inversi&#243;n Neta en un Negocio
en el Extranjero </td><td align="right">&nbsp;</td><td align="right">&nbsp;</td>
<td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbs
p;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="righ
t">&nbsp;</td><td align="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">Ganancia (P&#233;rdida) por Dife
rencias de Cambio</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td>
<td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbs
p;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="righ
t">&nbsp;</td><td align="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">Ingresos (gastos) reconocidos di
rectamente en Patrimonio</td><td align="right">&nbsp;</td><td align="right">&nbs
p;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="righ
t">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td alig
n="right">&nbsp;</td><td align="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">Transferencias netas de Resultad
os no Realizados</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><
td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp
;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right
">&nbsp;</td><td align="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">Otras Transferencias netas</td><
td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp
;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right
">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align
="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">Utilidad (P&#233;rdida) Neta del
Ejercicio</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td ali
gn="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td>
<td align="right">&nbsp;</td><td align="right">98,528</td><td align="right">&nbs

p;</td><td align="right">98,528</td>
</tr><tr style="color:DimGray;background-color:LightGrey;font-we
ight:bold;">
<td>Total de ingresos y gastos reconocidos </td><td alig
n="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><
td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp
;</td><td align="right">98,528</td><td align="right">&nbsp;</td><td align="right
">98,528</td>
</tr><tr>
<td class="margen_eeff">Efecto acumulado de Cambios en P
ol&#237;ticas Contables y Correcci&#243;n de Errores</td><td align="right">&nbsp
;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right
">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align
="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">Distribuciones o Asignaciones a
reservas de utilidades efectuadas en el per&#237;odo</td><td align="right">&nbsp
;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right
">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align
="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">Dividendos declarados y Particip
aciones acordados durante el per&#237;odo</td><td align="right">&nbsp;</td><td a
lign="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</t
d><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&n
bsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">Nuevos Aportes de accionistas</t
d><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&n
bsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="ri
ght">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td al
ign="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">Reducci&#243;n de Capital o rede
nci&#243;n de Acc. de Inversi&#243;n</td><td align="right">&nbsp;</td><td align
="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><t
d align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;
</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">Acciones en Tesoreria</td><td al
ign="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td
><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nb
sp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="rig
ht">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">Capitalizaci&#243;n de partidas
patrimoniales</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td
align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</
td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&
nbsp;</td><td align="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">Incrementos o disminuciones por
fusiones o escisiones</td><td align="right">&nbsp;</td><td align="right">&nbsp;<
/td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">
&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="
right">&nbsp;</td><td align="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">Conversi&#243;n a moneda de pres
entaci&#243;n</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td
align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</

td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&


nbsp;</td><td align="right">&nbsp;</td>
</tr><tr>
<td class="margen_eeff">Otros incrementos o disminucione
s de las partidas patrimoniales</td><td align="right">&nbsp;</td><td align="righ
t">&nbsp;</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td alig
n="right">&nbsp;</td><td align="right">(270)</td><td align="right">&nbsp;</td><t
d align="right">&nbsp;</td><td align="right">(270)</td>
</tr><tr style="color:DimGray;background-color:LightGrey;font-we
ight:bold;">
<td>SALDOS AL 31 DE DICIEMBRE DE 2009</td><td align="rig
ht">847,030</td><td align="right">&nbsp;</td><td align="right">&nbsp;</td><td al
ign="right">&nbsp;</td><td align="right">168,469</td><td align="right">84,593</t
d><td align="right">(328,497)</td><td align="right">&nbsp;</td><td align="right"
>771,595</td>
</tr>
</table>
</div>
</td>
</tr>

</table>
</div>

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