Hírközlési Múzeumi Alapítvány, Évkönyv, 2006

Rövid tartalmi összefoglaló angol nyelven

Profits for 2006 shown in the foundation’s public service report No. Name of item Previous year (HUF 1000) Current year (HUF 1000) a b c e l. A. Inflow from all public service activity 256 148 251 115 2. 1. Support for public service operations 239 367 240 377 3. a) from founders 233 965 240 098 4. b) from central budget 0 0 5. c) from local governments 0 0 6. d) from social insurance 0 0 7. e) other, of this 1%: 5 402 279 8. 2. Competitive grants 12 774 4 082 9. 3. Inflow from public service activity 2 957 3 929 10. 4. Inflow from membership dues 0 0 11. 5. Miscellaneous inflow 1 050 2 727 12. B. Inflow from business activity 0 0 13. C. Total inflow 256 148 251 115 14. D. Expenditure for public service activity 254 106 253 601 15. 1. Expenditure on materials 83 518 76 150 16. 2. Expenditure on personnel 152 827 163 641 17. 3. Amortization 12 903 11 980 18. 4. Miscellaneous expenditure 4 836 1 815 19. 5. Expenditure of financial operations 22 15 20. 6. Exceptional expenditure 0 0 21. E. Expenditure for business activity 0 0 22. 1. Expenditure for materials 0 0 23. 2. Expenditure for personnel 0 0 24. 3. Amortization 0 0 25. 4. Miscellaneous expenditure 0 0 26. 5. Expenditure for financial operations 0 0 27. 6. Exceptional expenditure 0 0 28. F. Total expenditure 254 106 253 601 29. G. Pre-tax profit 0 0 30. H. Amount due in taxes 0 0 31. I. Business profit for current year 0 0 32. J. Profit from public service for current year 2 042-2 486 216

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