"id","code_prefix_start","code_prefix_end","name","name@fr" "group_1","1","","Permanent Funding","Financement permanent" "group_11","11","","Shareholders' Equity","Capitaux propres" "group_111","111","","Corporate or Personal Capital","Capital social ou personnel" "group_112","112","","Share, Merger and Contribution Premiums","Primes d'émission, de fusion et d'apport" "group_113","113","","Revaluation Differences","Écarts de réévaluation" "group_114","114","","Legal Reserve","Réserve légale" "group_115","115","","Other Reserves","Autres réserves" "group_116","116","","Retained Result","Report à nouveau" "group_118","118","","Net Results Pending Allocation","Résultats nets en instance d'affectation" "group_119","119","","Net Result for the Fiscal Year","Résultat net de l'exercice" "group_13","13","","Related Shareholders' Equity","Capitaux propres assimilés" "group_131","131","","Investment Grants","Subventions d'investissement" "group_135","135","","Regulated Provisions","Provisions réglementées" "group_14","14","","Financial Debts","Dettes de financement" "group_141","141","","Bond Loans","Emprunts obligataires" "group_148","148","","Other Financial Liabilities","Autres dettes de financement" "group_15","15","","Long-Term Provisions for Risks and Expenses","Provisions durables pour risques et charges" "group_151","151","","Provisions for Risks","Provisions pour risques" "group_155","155","","Provisions for Expenses","Provisions pour charges" "group_16","16","","Establishments' and Branches' Liaison Accounts","Comptes de liaison des établissements et succursales" "group_160","160","","Establishments' and Branches' Liaison Accounts","Comptes de liaison des établissements et succursales" "group_17","17","","Foreign Exchange Liabilities","Écarts de conversion passif" "group_171","171","","Increase in Non-Current Receivables","Augmentation des créances immobilisées" "group_172","172","","Decrease in Financing Liabilities","Diminution des dettes de financement" "group_2","2","","Non-Current Assets","Actif immobilisé" "group_21","21","","Non-Value Non-Current Assets","Immobilisations en non-valeurs" "group_211","211","","Start-Up Costs","Frais préliminaires" "group_212","212","","Deferred Expenses over Several Years","Charges à répartir sur plusieurs exercices" "group_213","213","","Bond Redemption Premiums","Primes de remboursement des obligations" "group_22","22","","Intangible Non-Current Assets","Immobilisations incorporelles" "group_221","221","","Non-Current Assets in Research and Development","Immobilisation en recherche et développement" "group_222","222","","Patents, Trademarks, Rights and Similar Assets","Brevets, marques, droits et valeurs similaires" "group_223","223","","Commercial Funds","Fonds commercial" "group_228","228","","Other Intangible Non-Current Assets","Autres immobilisations incorporelles" "group_23","23","","Tangible Non-Current Assets","Immobilisations corporelles" "group_231","231","","Land","Terrains" "group_232","232","","Constructions","Constructions" "group_233","233","","Technical Installations, Equipment and Tools","Installations techniques, matériel et outillage" "group_234","234","","Transport Equipment","Matériel de transport" "group_235","235","","Furniture, Office Equipment, Miscellaneous Amenities","Mobilier, matériel de bureau, aménagements divers" "group_238","238","","Other Tangible Non-Current Assets","Autres immobilisations corporelles" "group_239","239","","Tangible Non-Current Assets in Progress","Immobilisations corporelles en cours" "group_24","24","25","Financial Non-Current Assets","Immobilisations financières" "group_241","241","","Non-Current Loans","Prêts immobilisés" "group_248","248","","Other Financial Receivables","Autres créances financières" "group_251","251","","Equity Securities","Titres de participation" "group_258","258","","Other Long-Term Securities","Autres titres immobilisés" "group_27","27","","Foreign Exchange Assets","Écarts de conversion actif" "group_271","271","","Decrease in Non-Current Assets","Diminution des créances immobilisées" "group_272","272","","Increase in Financing Liabilities","Augmentation des dettes de financement" "group_28","28","","Depreciations of Non-Current Assets","Amortissements des immobilisations" "group_281","281","","Depreciations of Non-Value Assets","Amortissements des non-valeurs" "group_282","282","","Depreciations of Intangible Non-Current Assets","Amortissements des immobilisations incorporelles" "group_283","283","","Depreciations of Tangible Non-Current Assets","Amortissements des immobilisations corporelles" "group_29","29","","Provisions for Depreciation of Non-Current Assets","Provisions pour dépréciation des immobilisations" "group_292","292","","Provisions for Depreciation of Intangible Non-Current Assets","Provisions pour dépréciation des immobilisations incorporelles" "group_293","293","","Provisions for Depreciation of Tangible Non-Current Assets","Provisions pour dépréciation des immobilisations corporelles" "group_294","294","295","Provisions for Depreciation of Financial Non-Current Assets","Provisions pour dépréciation des immobilisations financières" "group_3","3","","Current Assets Excluding Cash","Actif circulant hors trésorerie" "group_31","31","","Inventories","Stocks" "group_311","311","","Goods","Marchandises" "group_312","312","","Consumable Materials and Supplies","Matières et fournitures consommables" "group_313","313","","Products in Progress","Produits en cours" "group_314","314","","Intermediary and Residual Products","Produits intermédiaires et produits résiduels" "group_315","315","","Finished Products","Produits finis" "group_34","34","","Receivables from Current Assets","Créances de l'actif circulant" "group_341","341","","Supplier Receivables, Advances and Down Payments","Fournisseurs débiteurs, avances et acomptes" "group_342","342","","Customers and Related Accounts","Clients et comptes rattachés" "group_343","343","","Personnel - Receivables","Personnel - Débiteur" "group_345","345","","Government - Receivables","État - Débiteur" "group_346","346","","Partner Accounts - Receivables","Comptes d'associés - Débiteurs" "group_348","348","","Other Receivables","Autres débiteurs" "group_349","349","","Accruals and Deferrals - Assets","Comptes de régularisation - Actif" "group_35","35","","Securities and Investment Assets","Titres et valeurs de placement" "group_350","350","","Securities and Investment Assets","Titres et valeurs de placement" "group_37","37","","Foreign Exchange Assets (Current Part)","Écarts de conversion - Actif (Eléments circulants)" "group_370","370","","Foreign Exchange Assets (Current Part)","Écarts de conversion - Actif (Eléments circulants)" "group_39","39","","Provisions for Depreciation of Current Assets Accounts","Provisions pour dépréciation des comptes de l'actif circulant" "group_391","391","","Provisions for Depreciation of Inventories","Provisions pour dépréciation des stocks" "group_394","394","","Provisions for Depreciation of Receivables from Current Assets","Provisions pour dépréciation des créances de l'actif circulant" "group_395","395","","Provisions for Depreciation of Securities and Investment Assets","Provisions pour dépréciation des titres et valeurs de placement" "group_4","4","","Current Liabilities Excluding Cash","Passif circulant hors trésorerie" "group_44","44","","Debts of Current Liabilities","Dettes du passif circulant" "group_441","441","","Suppliers and Related Accounts","Fournisseurs et comptes rattachés" "group_442","442","","Customer Payables, Advances and Down Payments","Clients créditeurs, avances et acomptes" "group_443","443","","Personnel - Payables","Personnel - Créditeur" "group_444","444","","Social Organizations - Payables","Organismes sociaux" "group_445","445","","Government - Payables","État - Créditeur" "group_446","446","","Partner Accounts - Payables","Comptes d'associés - Créditeurs" "group_448","448","","Other Creditors","Autres créanciers" "group_449","449","","Accruals and Deferrals - Liabilities","Comptes de régularisation - Passif" "group_45","45","","Other Provisions for Risks and Expenses","Autres provisions pour risques et charges" "group_450","450","","Other Provisions for Risks and Expenses","Autres provisions pour risques et charges" "group_47","47","","Foreign Exchange Liabilities (Current Part)","Écarts de conversion - Passif (Eléments circulants)" "group_470","470","","Foreign Exchange Liabilities (Current Part)","Écarts de conversion - Passif (Eléments circulants)" "group_5","5","","Cash Accounts","Trésorerie" "group_51","51","","Cash Accounts - Assets","Trésorerie - Actif" "group_511","511","","Checks and Securities to be Cashed","Chèques et valeurs à encaisser" "group_514","514","","Bank, General Treasury and Postal Checks in Debit","Banques, Trésorerie Générale et Chèques Postaux débiteurs" "group_516","516","","Cash, Imprest Accounts and Letters of Credit","Caisses, régies d'avances et accréditifs" "group_55","55","","Cash Accounts - Liabilities","Trésorerie - Passif" "group_552","552","","Discount Credits","Crédits d'escompte" "group_553","553","","Cash Credits","Crédits de trésorerie" "group_554","554","","Banks (Credit Balances)","Banques (Soldes créditeurs)" "group_59","59","","Provisions for Depreciation of Cash Accounts","Provisions pour dépréciation des comptes de trésorerie" "group_590","590","","Provisions for Depreciation of Cash Accounts","Provisions pour dépréciation des comptes de trésorerie" "group_6","6","","Expense Accounts","Comptes de charges" "group_61","61","","Operating Expenses","Charges d'exploitation" "group_611","611","","Purchases of Goods Resold","Achats revendus de marchandises" "group_612","612","","Purchases of Materials and Supplies Consumed","Achats consommés de matières et fournitures" "group_613","613","614","Other External Expenses","Autres charges externes" "group_616","616","","Taxes and Duties","Impôts et taxes" "group_617","617","","Personnel Expenses","Charges de personnel" "group_618","618","","Other Operating Expenses","Autres charges d'exploitation" "group_619","619","","Operating Allocations","Dotations d'exploitation" "group_63","63","","Financial Expenses","Charges financières" "group_631","631","","Interest Expenses","Charges d'intérêts" "group_633","633","","Foreign Exchange Losses","Pertes de change" "group_638","638","","Other Financial Expenses","Autres charges financières" "group_639","639","","Financial Allocations","Dotations financières" "group_65","65","","Non-Current Expenses","Charges non courantes" "group_651","651","","Net Depreciation Value of Non-Current Assets Sold","Valeurs nettes d'amortissements des immobilisations cédées" "group_656","656","","Subsidies Granted","Subventions accordées" "group_658","658","","Other Non-Current Expenses","Autres charges non courantes" "group_659","659","","Non-Current Allocations","Dotations non courantes" "group_67","67","","Income Taxes","Impôts sur les résultats" "group_670","670","","Income Taxes","Impôts sur les résultats" "group_7","7","","Income Accounts","Comptes de produits" "group_71","71","","Operating Income","Produits d'exploitation" "group_711","711","","Sales of Goods","Ventes de marchandises" "group_712","712","","Sales of Goods and Services Produced","Ventes de biens et services produits" "group_713","713","","Change in Inventory of Products","Variations des stocks de produits" "group_714","714","","Non-Current Assets Produced by the Company for its Own Use","Immobilisations produites par l'entreprise pour elle-même" "group_716","716","","Operating Subsidies","Subventions d'exploitation" "group_718","718","","Other Operating Income","Autres produits d'exploitation" "group_719","719","","Operating Reversals; Expense Transfers","Reprises d'exploitation; Transferts de charges" "group_73","73","","Financial Income","Produits financiers" "group_732","732","","Income from Equity Securities and Other Non-Current Assets","Produits des titres de participation et des autres titres immobilisés" "group_733","733","","Foreign Exchange Gains","Gains de change" "group_738","738","","Interest and Other Financial Income","Intérêts et autres produits financiers" "group_739","739","","Financial Reversals; Expense Transfers","Reprises financières; Transferts de charges" "group_75","75","","Non-Current Income","Produits non courants" "group_751","751","","Income from Disposal of Non-Current Assets","Produits des cessions d'immobilisations" "group_756","756","","Balancing Subsidies","Subventions d'équilibre" "group_757","757","","Reversals of Investment Subsidies","Reprises sur subventions d'investissement" "group_758","758","","Other Non-Current Income","Autres produits non courants" "group_759","759","","Non-Current Reversals; Expense Transfers","Reprises non courantes; Transferts de charges"