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Sabiedrība ar ierobežotu atbildību "BŪVMEHANIZĀCIJA"

BŪVMEHANIZĀCIJA

Activeis not in process of liquidation on Jun 14, 2024

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Turnover rank

#2,439triangle729

Activity rank

#7triangle4

Profit rank

#1,639triangle37,058

2023202220212020201920182017201620152014201320122011
EURUSD

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Income

Financial indicator20202019
Net turnover
2.60M EUR
-26%
3.47M EUR
18%
Cost of goods sold
░░░░░░░░
0%
░░░░░░░░
0%
Gross profit
░░░░░░░░
0%
░░░░░░░░
0%
Selling expenses
░░░░░░░░
-
Administrative expenses
░░░░░░░░
0%
░░░░░░░░
0%
Other operating income
░░░░░░░░
-
Other operating expenses
-
░░░░░░░░
0%
Finance income
░░░░░░░░
-
Finance expenses
░░░░░░░░
-
Profit before tax
░░░░░░░░
0%
░░░░░░░░
0%
Corporate income tax
-
░░░░░░░░
Net profit
2.13K EUR
-100%
581K EUR
61%

Assets

Financial indicator20202019
Total assets
1.39M EUR
1%
1.37M EUR
-2%
Non­-current assetsArrow
░░░░░░░░
0%
░░░░░░░░
0%
Current assetsArrow
░░░░░░░░
0%
░░░░░░░░
0%

Equity and liabilities

Financial indicator20202019
Total equity and liabilities
░░░░░░░░
0%
░░░░░░░░
0%
Equity
░░░░░░░░
0%
░░░░░░░░
0%
LiabilitiesArrow
-
-

Cash flow

Financial indicator20202019
Operating cash flow by indirect method
-
-
Net operating cash flowArrow
░░░░░░░░
0%
░░░░░░░░
0%
Profit or loss before adjustments for the effects of changes in working capital and short-term payables
░░░░░░░░
0%
░░░░░░░░
0%
Profit or loss before corporation tax
░░░░░░░░
0%
░░░░░░░░
0%
Net cash flow from investing activities
░░░░░░░░
0%
░░░░░░░░
0%
Acquisition of fixed assets and intangible assets
░░░░░░░░
0%
░░░░░░░░
0%
Cash overview
-
-
Net increase or decrease in cash and cash equivalents
░░░░░░░░
0%
░░░░░░░░
0%
Cash and cash equivalents at the beginning of the reporting year
░░░░░░░░
0%
░░░░░░░░
0%
Cash and cash equivalents at the end of the reporting year
░░░░░░░░
0%
░░░░░░░░
0%

Other

Financial indicator20202019
Employees
50
-11%
56
1%