MES | ACTIVO NO CORRIENTE | ACTIVO CORRIENTE | PATRIMONIO NETO | PASIVO NO CORRIENTE | PASIVO CORRIENTE | FONDO DE MANIOBRA | RATIO DE LIQUIDEZ | RATIO DE SOLVENCIA |
1
|
4726.04
|
-7001.73
|
-10000
|
0
|
-6042.15
|
959.58
|
1.16
|
1.94
|
2
|
4726.04
|
1143.38
|
-10000
|
0
|
-11039.38
|
-9896
|
0.1
|
0.53
|
3
|
4726.04
|
19645.69
|
-10000
|
0
|
-17741.06
|
1904.63
|
1.11
|
1.37
|
12
|
3534.92
|
19645.69
|
-10000
|
0
|
-16600.95
|
3044.74
|
1.18
|
1.4
|