•RAZON CIRCULANTE:
6,072,525/3,360,950= 1.80
•RAZON RAPIDA:
6,072,525-2,460,120/3,360,950=
3,612,405/3,360,950= 1.07
•CAPITAL AJENO O CAPITAL PROPIO:
5,363,022.45/6,286,029.05= 0.85
•DEUDA A CORTO PLAZO A CAPITAL PROPIO:
3,360,950/6,286,029.05= 0.53
•DEUDA A LARGO PLAZO A CAPITAL PROPIO:
2,002,072.45/6,286,029.05= 0.32
•INVERSION EN CAPITAL:
6,072,526/6,286,029.05= 0.96
•VALOR CONTABLE DEL CAPITAL:
6,286,029.05/3,235,390= 1.94
•MARGEN DE UTILIDAD BRUTA:
5,526,751-2,342,755/5,526,751=
3,183,996/5,526,751= 0.57
•MARGEN DE UTILIDAD OPERATIVA:
2,984,585.80/5,526,751= 0.54
•ROTACION DE INVENTARIO:
2,342,753/2,460,120= 0.95