model bvc+cash flow+vnp

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PROIECŢIA CONTULUI DE PROFIT (lei) 1 1.03 1.03 1.01 1 Nr. Crt. CATEGORIA 31.12.2010 30.06.2011 31.12.2011 AN 1 AN 2 AN 3 AN 4 AN 5 1 Cifra de afaceri 5,437,845.00 7,291,795.00 14,948,179.75 17,937,815.70 18,475,950.17 19,030,228.68 ### ### 2 (312,257.00) (670,105.00) (1,373,715.25) (1,785,829.83) (1,839,404.72) (1,894,586.86) ### ### 3 97,684.00 137,381.00 281,631.05 366,120.37 377,103.98 388,417.10 392,301.27 392,301.27 4 53,687.00 32,541.00 66,709.05 86,721.77 89,323.42 92,003.12 92,923.15 92,923.15 Total venituri din exploatare 5,276,959.00 6,791,612.00 13,922,804.60 16,604,828.01 17,102,972.85 17,616,062.03 ### ### 5 3,247,103.00 4,141,865.00 8,490,823.25 11,038,070.23 11,369,212.33 11,710,288.70 ### ### 6 197,608.00 320,199.00 656,407.95 853,330.34 878,930.25 905,298.15 914,351.13 914,351.13 7 175,090.00 203,703.00 407,406.00 547,156.00 547,156.00 547,156.00 547,156.00 547,156.00 8 1,248,050.00 1,271,951.00 2,607,499.55 3,389,749.42 3,491,441.90 3,596,185.15 ### ### Total cheltuieli de exploatare 4,867,851.00 5,937,718.00 12,162,136.75 15,828,305.98 16,286,740.47 16,758,928.01 ### ### Rezultatul din exploatare 409,108.00 853,894.00 1,760,667.85 776,522.03 816,232.37 857,134.02 871,176.92 871,176.92 Total venituri financiare 23,248.00 77,055.00 157,962.75 205,351.58 211,512.12 217,857.49 220,036.06 220,036.06 9 162,948.00 68,040.00 139,482.00 181,326.60 186,766.40 192,369.39 194,293.08 194,293.08 10 65,983.00 65,157.00 133,571.85 173,643.41 178,852.71 184,218.29 186,060.47 186,060.47 11 - - 12 - - Total cheltuieli financiare 228,931.00 133,197.00 273,053.85 354,970.01 365,619.11 376,587.68 380,353.56 380,353.56 Rezultatul financiar (205,683.00) (56,142.00) (115,091.10) (149,618.43) (154,106.98) (158,730.19) (160,317.49) (160,317.49) 203,425.00 797,752.00 1,645,576.75 626,903.60 662,125.39 698,403.83 710,859.43 710,859.43 13 34,290.00 132,521.00 263,292.28 100,304.58 105,940.06 111,744.61 113,737.51 113,737.51 169,135.00 665,231.00 1,382,284.47 526,599.02 556,185.33 586,659.22 597,121.92 597,121.92 VENITURI DIN EXPLOATARE Variatia stocurilor (+ pentru C; - pentru D) Venituri din productia realizata pentru scopuri proprii si capitalizata Alte venituri din CHELTUIELI DE EXPLOATARE Cheltuieli materiale – Cheltuieli cu personalul – total Cheltuieli cu Alte cheltuieli de TOTAL VENITURI FINANCIARE CHELTUIELI FINANCIARE DIN CARE Cheltuieli din diferente de curs Cheltuielile privind dobanzile Cheltuieli privind sconturile acordate Alte cheltuieli REZULTATUL BRUT AL EXERCIŢIULUI Impozit pe profit/cifra de afaceri REZULTATUL NET AL EXERCIŢIULUI FINANCIAR

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Model BVC+CASH FLOW+VNP

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BVCPROIECIA CONTULUI DE PROFIT I PIERDERE -SC Rom Dinarom SRL(lei)11.031.031.0111111111111Nr. Crt.CATEGORIA31.12.201030.06.201131.12.2011AN 1AN 2AN 3AN 4AN 5AN 6AN 7AN 8AN 9AN 10AN 11AN 12AN 13AN 14AN 15VENITURI DIN EXPLOATARE1Cifra de afaceri5,437,845.007,291,795.0014,948,179.7517,937,815.7018,475,950.1719,030,228.6819,220,530.9619,220,530.9619,220,530.9619,220,530.9619,220,530.9619,220,530.9619,220,530.9619,220,530.9619,220,530.9619,220,530.9619,220,530.9619,220,530.962Variatia stocurilor (+ pentru C; - pentru D)(312,257.00)(670,105.00)(1,373,715.25)(1,785,829.83)(1,839,404.72)(1,894,586.86)(1,913,532.73)(1,913,532.73)(1,913,532.73)(1,913,532.73)(1,913,532.73)(1,913,532.73)(1,913,532.73)(1,913,532.73)(1,913,532.73)(1,913,532.73)(1,913,532.73)(1,913,532.73)3Venituri din productia realizata pentru scopuri proprii si capitalizata97,684.00137,381.00281,631.05366,120.37377,103.98388,417.10392,301.27392,301.27392,301.27392,301.27392,301.27392,301.27392,301.27392,301.27392,301.27392,301.27392,301.27392,301.274Alte venituri din exploatare53,687.0032,541.0066,709.0586,721.7789,323.4292,003.1292,923.1592,923.1592,923.1592,923.1592,923.1592,923.1592,923.1592,923.1592,923.1592,923.1592,923.1592,923.15Total venituri din exploatare5,276,959.006,791,612.0013,922,804.6016,604,828.0117,102,972.8517,616,062.0317,792,222.6517,792,222.6517,792,222.6517,792,222.6517,792,222.6517,792,222.6517,792,222.6517,792,222.6517,792,222.6517,792,222.6517,792,222.6517,792,222.65CHELTUIELI DE EXPLOATARE5Cheltuieli materiale total3,247,103.004,141,865.008,490,823.2511,038,070.2311,369,212.3311,710,288.7011,827,391.5911,827,391.5911,827,391.5911,827,391.5911,827,391.5911,827,391.5911,827,391.5911,827,391.5911,827,391.5911,827,391.5911,827,391.5911,827,391.596Cheltuieli cu personalul total197,608.00320,199.00656,407.95853,330.34878,930.25905,298.15914,351.13914,351.13914,351.13914,351.13914,351.13914,351.13914,351.13914,351.13914,351.13914,351.13914,351.13914,351.137Cheltuieli cu amortizarile175,090.00203,703.00407,406.00547,156.00547,156.00547,156.00547,156.00547,156.00547,156.00547,156.00547,156.00547,156.00547,156.00547,156.00547,156.00547,156.00547,156.00547,156.008Alte cheltuieli de exploatare1,248,050.001,271,951.002,607,499.553,389,749.423,491,441.903,596,185.153,632,147.013,632,147.013,632,147.013,632,147.013,632,147.013,632,147.013,632,147.013,632,147.013,632,147.013,632,147.013,632,147.013,632,147.01Total cheltuieli de exploatare4,867,851.005,937,718.0012,162,136.7515,828,305.9816,286,740.4716,758,928.0116,921,045.7316,921,045.7316,921,045.7316,921,045.7316,921,045.7316,921,045.7316,921,045.7316,921,045.7316,921,045.7316,921,045.7316,921,045.7316,921,045.73Rezultatul din exploatare409,108.00853,894.001,760,667.85776,522.03816,232.37857,134.02871,176.92871,176.92871,176.92871,176.92871,176.92871,176.92871,176.92871,176.92871,176.92871,176.92871,176.92871,176.92TOTAL VENITURI FINANCIARETotal venituri financiare23,248.0077,055.00157,962.75205,351.58211,512.12217,857.49220,036.06220,036.06220,036.06220,036.06220,036.06220,036.06220,036.06220,036.06220,036.06220,036.06220,036.06220,036.06CHELTUIELI FINANCIARE DIN CARE9Cheltuieli din diferente de curs valutar162,948.0068,040.00139,482.00181,326.60186,766.40192,369.39194,293.08194,293.08194,293.08194,293.08194,293.08194,293.08194,293.08194,293.08194,293.08194,293.08194,293.08194,293.0810Cheltuielile privind dobanzile65,983.0065,157.00133,571.85173,643.41178,852.71184,218.29186,060.47186,060.47186,060.47186,060.47186,060.47186,060.47186,060.47186,060.47186,060.47186,060.47186,060.47186,060.4711Cheltuieli privind sconturile acordate0.00.012Alte cheltuieli financiare0.00.0Total cheltuieli financiare228,931.00133,197.00273,053.85354,970.01365,619.11376,587.68380,353.56380,353.56380,353.56380,353.56380,353.56380,353.56380,353.56380,353.56380,353.56380,353.56380,353.56380,353.56Rezultatul financiar(205,683.00)(56,142.00)(115,091.10)(149,618.43)(154,106.98)(158,730.19)(160,317.49)(160,317.49)(160,317.49)(160,317.49)(160,317.49)(160,317.49)(160,317.49)(160,317.49)(160,317.49)(160,317.49)(160,317.49)(160,317.49)REZULTATUL BRUT AL EXERCIIULUI FINANCIAR203,425.00797,752.001,645,576.75626,903.60662,125.39698,403.83710,859.43710,859.43710,859.43710,859.43710,859.43710,859.43710,859.43710,859.43710,859.43710,859.43710,859.43710,859.4313Impozit pe profit/cifra de afaceri34,290.00132,521.00263,292.28100,304.58105,940.06111,744.61113,737.51113,737.51113,737.51113,737.51113,737.51113,737.51113,737.51113,737.51113,737.51113,737.51113,737.51113,737.51REZULTATUL NET AL EXERCIIULUI FINANCIAR169,135.00665,231.001,382,284.47526,599.02556,185.33586,659.22597,121.92597,121.92597,121.92597,121.92597,121.92597,121.92597,121.92597,121.92597,121.92597,121.92597,121.92597,121.92

cash-flowCash Flow - Compania SC Rom Dinarom SRLSe va completa in echivalent euro si va fi corelat cu perioada de creditarean 0 (31.12.2011)an 1an 2an 3an 4an 5an 6an 7an 8an 9an 10an 11an 12an 13an 14an 15Cash at the beginning of the period / Cash la inceputul perioadei1,46513,00047,67750,64581,42593,302144,925206,293207,408248,26928,87549,227109,324169,167223,754273,088INFLOWS / INCASARI6,212,6385,774,7655,938,9486,108,0576,166,1176,166,1176,166,1176,166,1176,166,1177,666,1176,166,1176,166,1176,166,1176,166,1176,166,1176,166,117Cash Sales / Vanzari in numerar4,310,6385,172,7655,327,9485,487,7875,542,6655,542,6655,542,6655,542,6655,542,6655,542,6655,542,6655,542,6655,542,6655,542,6655,542,6655,542,665Incash of the receivables from previous and current year/ Incasari aferente creantelor din anul precedent si din anul curent curent300,000300,000309,000318,270321,453321,453321,453321,453321,453321,453321,453321,453321,453321,453321,453321,453Investment loans / Credite pt investitii1,300,0001,500,000Working capital loans/ Credite pt capital de lucru302,000302,000302,000302,000302,000302,000302,000302,000302,000302,000302,000302,000302,000302,000302,000302,000Due to affiliated / Credite actionari / asociati / companii din grupOUTFLOWS / PLATI6,201,1035,740,0895,935,9806,077,2786,154,2406,114,4946,104,7496,165,0036,125,2577,885,5116,145,7656,106,0206,106,2756,111,5306,116,7846,117,039Cash Operational Expenses, from which: / Alte datorii curente platibile imediat (ex:salarii, dividende, rambursari imprumuturi asociati, firme din grup*)100,000100,0005,00050,000120,000120,000150,000250,000250,00045,000145,000145,000185,000230,000275,000315,000Corporate tax and other taxes / Impozit pe profit si alte taxe (plati catre buget)65,81923,32724,63725,98726,45126,45126,45126,45126,45126,45126,45126,45126,45126,45126,45126,451Payments for due suppliers from previous and current year/ Plati furnizori din anii precedenti si din anul curent scadenti in anul curent4,170,2844,516,8144,647,5854,782,2794,828,5244,828,5244,828,5244,828,5244,828,5244,828,5244,828,5244,828,5244,828,5244,828,5244,828,5244,828,524Purchase / investments in fixed assets / Cumparari / investitii in active fixe1,530,0001,800,000Loans reimbursements / Rambursari credite 1 (inclusiv dobanda)**764,948923,758884,012844,266804,520764,774725,028685,283645,537605,791566,045526,299486,553446,808407,062Loans reimbursements / Rambursari credite 2 (inclusiv dobanda)**335,000335,000335,000335,000335,000335,000335,000335,000335,000335,000335,000335,000335,000335,000335,000335,000Loans reimbursements / Rambursari credite 3 (inclusiv dobanda)**205,000205,000205,001205,001205,002205,002205,003Loans reimbursements TOTAL / Rambursari credite TOTAL335,0001,099,9481,258,7581,219,0121,179,2661,139,5201,099,7741,060,0281,020,2831,185,5371,145,7911,106,0461,066,3001,026,555986,810947,065Leasing reimbursements / Rambursari leasing 1 (inclusiv dobanda, val reziduala- daca e cazul)Leasing reimbursements / Rambursari leasing 2 (inclusiv dobanda, val reziduala- daca e cazul))Leasing reimbursements / Rambursari leasing 3 (inclusiv dobanda, val reziduala- daca e cazul)Leasing reimbursements TOTAL / Rambursari leasing TOTAL0000000000000000Balance (Inflows - Outflows) / Sold (Incasari - Plati)11,53534,6772,96930,77911,87751,62361,3691,11540,860(219,394)20,35260,09759,84354,58849,33349,078Cash at the end of the period / Cash la sfarsitul perioadei13,00047,67750,64581,42593,302144,925206,293207,408248,26928,87549,227109,324169,167223,754273,088322,166130000

R621829:Va rugam introduceti valoarea cash-ului la inceputul perioadei

NPVCompany nameAAARelationship Manager nameHanu Mircea DanielInterest rate6.00%Investment value (eur)1,000,000No of years (loan period)15thousand euryear 1year 2year 3year 4year 5year 6year 7year 8year 9year 10year 11year 12year 13year 14year 15Net profit122.46129.35136.43138.87138.87138.87138.87138.87138.87138.87138.87138.87138.87138.87138.87Depreciation127.25127.25127.25127.25127.25127.25127.25127.25127.25127.25127.25127.25127.25127.25127.25Annual installments to be paid (interest is not included)44.8389.6689.6689.6689.6689.6689.6689.6689.6689.6689.6689.6689.6689.6689.66P/L cash flow204.88166.94174.02176.46176.46176.46176.46176.46176.46176.46176.46176.46176.46176.46176.46Investment value-100000000000000000Discounted Cash Flow(806.71)148.57146.11139.77131.86124.39117.35110.71104.4498.5392.9587.6982.7378.0573.63Investment valueNet Present Value730.09Repayment period (years)Y7Discounted CFY1204.88204.88(795.12)Y2148.57353.46(646.54)Y3146.11499.57(500.43)Y4139.77639.34(360.66)Y5131.86771.20(228.80)Y6124.39895.59(104.41)Y7117.351,012.9412.94Y8110.711,123.65123.65Y9104.441,228.10228.10Y1098.531,326.63326.63Y1192.951,419.59419.59Y1287.691,507.28507.28Y1382.731,590.01590.01Y1478.051,668.05668.05Y1573.631,741.68741.68Repayment period = 1st year with value zero on column D

Sheet4Credite BTsoldgarantiiGrafic de rambursareinvestitii27217117,033.10IpotecaEURSuma5,590,000.00Cheltuieli generale250,000.00FNGCIMM 80% + depozit colateral200,000.00RONDobinda9.71Linie de credit502,315.00ipotecanr. crt.Cheltuieli generale74,520.00ipotecaSoldPlata PrincipalDobinda de plataComision de administrare12345678910111213141515,590,000.0045,232.422,795.0032,126.44Rate192,758.62385,517.24385,517.24385,517.24385,517.24385,517.24385,517.24385,517.24385,517.24385,517.24385,517.24385,517.24385,517.24385,517.24385,517.242943,868.102200009460004730005,590,000.0045,232.422,795.00dobinzi538,889.65506,915.01469,481.29432,047.57394,613.84357,180.12319,746.39282,312.67244,878.95207,445.22170,011.50132,577.7795,144.0557,710.3220,276.603693,868.105,590,000.0045,232.422,795.00comisioane33,299.0531,323.2829,010.1726,697.0724,383.9722,070.8619,757.7617,444.6615,131.5512,818.4510,505.348,192.245,879.143,566.031,252.9345,590,000.0045,232.422,795.00764,948.33923,757.53884,011.70844,265.88804,520.05764,774.22725,028.39685,282.57645,536.74605,790.91566,045.08526,299.26486,553.43446,807.60407,061.775ipoteca828,966.9013000005,590,000.0045,232.422,795.0065,590,000.0045,232.422,795.0075,590,000.0032,126.4445,232.422,795.008refinantare826,835.005,557,873.5632,126.4444,972.462,778.949626,835.005,525,747.1332,126.4444,712.502,762.87105,493,620.6932,126.4444,452.552,746.8111202,131.905,461,494.2532,126.4444,192.592,730.7512200,000.005,429,367.8232,126.4443,932.632,714.68192,758.62538,889.6533,299.0513majorare402,131.905,397,241.3832,126.4443,672.682,698.62538,889.65141,228,966.905,365,114.9432,126.4443,412.722,682.5633,299.05155,332,988.5132,126.4443,152.772,666.49165,300,862.0732,126.4442,892.812,650.43175,268,735.6332,126.4442,632.852,634.37185,236,609.2032,126.4442,372.902,618.30195,204,482.7632,126.4442,112.942,602.24205,172,356.3232,126.4441,852.982,586.18215,140,229.8932,126.4441,593.032,570.11225,108,103.4532,126.4441,333.072,554.05235,075,977.0132,126.4441,073.112,537.99245,043,850.5732,126.4440,813.162,521.93385,517.24506,915.0131,323.28255,011,724.1432,126.4440,553.202,505.86506,915.01264,979,597.7032,126.4440,293.242,489.8031,323.28274,947,471.2632,126.4440,033.292,473.74284,915,344.8332,126.4439,773.332,457.67294,883,218.3932,126.4439,513.382,441.61304,851,091.9532,126.4439,253.422,425.55314,818,965.5232,126.4438,993.462,409.48324,786,839.0832,126.4438,733.512,393.42334,754,712.6432,126.4438,473.552,377.36344,722,586.2132,126.4438,213.592,361.29354,690,459.7732,126.4437,953.642,345.23364,658,333.3332,126.4437,693.682,329.17385,517.24469,481.2929,010.17374,626,206.9032,126.4437,433.722,313.10469,481.29384,594,080.4632,126.4437,173.772,297.0429,010.17394,561,954.0232,126.4436,913.812,280.98404,529,827.5932,126.4436,653.852,264.91414,497,701.1532,126.4436,393.902,248.85424,465,574.7132,126.4436,133.942,232.79434,433,448.2832,126.4435,873.992,216.72444,401,321.8432,126.4435,614.032,200.66454,369,195.4032,126.4435,354.072,184.60464,337,068.9732,126.4435,094.122,168.53474,304,942.5332,126.4434,834.162,152.47484,272,816.0932,126.4434,574.202,136.41385,517.24432,047.5726,697.07494,240,689.6632,126.4434,314.252,120.34432,047.57504,208,563.2232,126.4434,054.292,104.2826,697.07514,176,436.7832,126.4433,794.332,088.22524,144,310.3432,126.4433,534.382,072.16534,112,183.9132,126.4433,274.422,056.09544,080,057.4732,126.4433,014.472,040.03554,047,931.0332,126.4432,754.512,023.97564,015,804.6032,126.4432,494.552,007.90573,983,678.1632,126.4432,234.601,991.84583,951,551.7232,126.4431,974.641,975.78593,919,425.2932,126.4431,714.681,959.71603,887,298.8532,126.4431,454.731,943.65385,517.24394,613.8424,383.97613,855,172.4132,126.4431,194.771,927.59394,613.84623,823,045.9832,126.4430,934.811,911.5224,383.97633,790,919.5432,126.4430,674.861,895.46643,758,793.1032,126.4430,414.901,879.40653,726,666.6732,126.4430,154.941,863.33663,694,540.2332,126.4429,894.991,847.27673,662,413.7932,126.4429,635.031,831.21683,630,287.3632,126.4429,375.081,815.14693,598,160.9232,126.4429,115.121,799.08703,566,034.4832,126.4428,855.161,783.02713,533,908.0532,126.4428,595.211,766.95723,501,781.6132,126.4428,335.251,750.89385,517.24357,180.1222,070.86733,469,655.1732,126.4428,075.291,734.83357,180.12743,437,528.7432,126.4427,815.341,718.7622,070.86753,405,402.3032,126.4427,555.381,702.70763,373,275.8632,126.4427,295.421,686.64773,341,149.4332,126.4427,035.471,670.57783,309,022.9932,126.4426,775.511,654.51793,276,896.5532,126.4426,515.551,638.45803,244,770.1132,126.4426,255.601,622.39813,212,643.6832,126.4425,995.641,606.32823,180,517.2432,126.4425,735.691,590.26833,148,390.8032,126.4425,475.731,574.20843,116,264.3732,126.4425,215.771,558.13385,517.24319,746.3919,757.76853,084,137.9332,126.4424,955.821,542.07319,746.39863,052,011.4932,126.4424,695.861,526.0119,757.76873,019,885.0632,126.4424,435.901,509.94882,987,758.6232,126.4424,175.951,493.88892,955,632.1832,126.4423,915.991,477.82902,923,505.7532,126.4423,656.031,461.75912,891,379.3132,126.4423,396.081,445.69922,859,252.8732,126.4423,136.121,429.63932,827,126.4432,126.4422,876.161,413.56942,795,000.0032,126.4422,616.211,397.50952,762,873.5632,126.4422,356.251,381.44962,730,747.1332,126.4422,096.301,365.37385,517.24282,312.6717,444.66972,698,620.6932,126.4421,836.341,349.31282,312.67982,666,494.2532,126.4421,576.381,333.2517,444.66992,634,367.8232,126.4421,316.431,317.181002,602,241.3832,126.4421,056.471,301.121012,570,114.9432,126.4420,796.511,285.061022,537,988.5132,126.4420,536.561,268.991032,505,862.0732,126.4420,276.601,252.931042,473,735.6332,126.4420,016.641,236.871052,441,609.2032,126.4419,756.691,220.801062,409,482.7632,126.4419,496.731,204.741072,377,356.3232,126.4419,236.771,188.681082,345,229.8932,126.4418,976.821,172.61385,517.24244,878.9515,131.551092,313,103.4532,126.4418,716.861,156.55244,878.951102,280,977.0132,126.4418,456.911,140.4915,131.551112,248,850.5732,126.4418,196.951,124.431122,216,724.1432,126.4417,936.991,108.361132,184,597.7032,126.4417,677.041,092.301142,152,471.2632,126.4417,417.081,076.241152,120,344.8332,126.4417,157.121,060.171162,088,218.3932,126.4416,897.171,044.111172,056,091.9532,126.4416,637.211,028.051182,023,965.5232,126.4416,377.251,011.981191,991,839.0832,126.4416,117.30995.921201,959,712.6432,126.4415,857.34979.86385,517.24207,445.2212,818.451211,927,586.2132,126.4415,597.39963.79207,445.221221,895,459.7732,126.4415,337.43947.7312,818.451231,863,333.3332,126.4415,077.47931.671241,831,206.9032,126.4414,817.52915.601251,799,080.4632,126.4414,557.56899.541261,766,954.0232,126.4414,297.60883.481271,734,827.5932,126.4414,037.65867.411281,702,701.1532,126.4413,777.69851.351291,670,574.7132,126.4413,517.73835.291301,638,448.2832,126.4413,257.78819.221311,606,321.8432,126.4412,997.82803.161321,574,195.4032,126.4412,737.86787.10385,517.24170,011.5010,505.341331,542,068.9732,126.4412,477.91771.03170,011.501341,509,942.5332,126.4412,217.95754.9710,505.341351,477,816.0932,126.4411,958.00738.911361,445,689.6632,126.4411,698.04722.841371,413,563.2232,126.4411,438.08706.781381,381,436.7832,126.4411,178.13690.721391,349,310.3432,126.4410,918.17674.661401,317,183.9132,126.4410,658.21658.591411,285,057.4732,126.4410,398.26642.531421,252,931.0332,126.4410,138.30626.471431,220,804.6032,126.449,878.34610.401441,188,678.1632,126.449,618.39594.34385,517.24132,577.778,192.241451,156,551.7232,126.449,358.43578.28132,577.771461,124,425.2932,126.449,098.47562.218,192.241471,092,298.8532,126.448,838.52546.151481,060,172.4132,126.448,578.56530.091491,028,045.9832,126.448,318.61514.02150995,919.5432,126.448,058.65497.96151963,793.1032,126.447,798.69481.90152931,666.6732,126.447,538.74465.83153899,540.2332,126.447,278.78449.77154867,413.7932,126.447,018.82433.71155835,287.3632,126.446,758.87417.64156803,160.9232,126.446,498.91401.58385,517.2495,144.055,879.14157771,034.4832,126.446,238.95385.5295,144.05158738,908.0532,126.445,979.00369.455,879.14159706,781.6132,126.445,719.04353.39160674,655.1732,126.445,459.08337.33161642,528.7432,126.445,199.13321.26162610,402.3032,126.444,939.17305.20163578,275.8632,126.444,679.22289.14164546,149.4332,126.444,419.26273.07165514,022.9932,126.444,159.30257.01166481,896.5532,126.443,899.35240.95167449,770.1132,126.443,639.39224.89168417,643.6832,126.443,379.43208.82385,517.2457,710.323,566.03169385,517.2432,126.443,119.48192.7657,710.32170353,390.8032,126.442,859.52176.703,566.03171321,264.3732,126.442,599.56160.63172289,137.9332,126.442,339.61144.57173257,011.4932,126.442,079.65128.51174224,885.0632,126.441,819.69112.44175192,758.6232,126.441,559.7496.38176160,632.1832,126.441,299.7880.32177128,505.7532,126.441,039.8364.2517896,379.3132,126.44779.8748.1917964,252.8732,126.44519.9132.1318032,126.4432,126.44259.9616.06385,517.2420,276.601,252.9320,276.601,252.93