ACTIVA MAGIC SRL - VAT 25271676
Report about the company ACTIVA MAGIC SRL - VAT 25271676 | J18/173/2009 | Turceni
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Address:
STR. MUNCII, SAT. TURCENI NR. 458, Turceni, Gorj, Romania
Phone:
07223...
E-mail:
-
Website:
-
Primary activity
7732
7732
Employee
1
1
Company age
13 years
13 years
Emergency Certificates
No
No
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Fiscal Code
25271676
25271676
Registration Number
J18/173/2009
J18/173/2009
Registration Date
11/03/2009
11/03/2009
Legal Profile ACTIVA MAGIC SRL - VAT 25271676
Insolvency
0 Files
0 Files
Commercial Trials
0 Files
0 Files
State Contracts
0 RON
0 RON
Payment Incidents
No
No
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Financial Profile ACTIVA MAGIC SRL - VAT 25271676
Profit / Loss Indicators | 2021 ⇨ |
2021 vs 2020 ⇦⇨ |
2020 ⇦⇨ |
2020 vs 2019 ⇦⇨ |
2019 ⇦ |
---|---|---|---|---|---|
Turnover | 338.926 |
➤
+53.35%
|
221.015 |
➤
+3.08%
|
214.420 |
Total Revenues | 347.895 |
➤
+29.26%
|
269.151 |
➤
+25.23%
|
214.927 |
Total Expenses | 277.489 |
➤
+10.89%
|
250.238 |
➤
+19.84%
|
208.806 |
Gross Profit/Loss | 70.406 |
➤
+272.26%
|
18.913 |
➤
+208.99%
|
6.121 |
Balance Sheet Indicators | |||||
---|---|---|---|---|---|
Fixed Assets | 229.536 |
➤
+13.64%
|
201.994 |
➤
-30.44%
|
290.404 |
Current Assets | 55.474 |
➤
-36.26%
|
87.033 |
➤
+101.62%
|
43.166 |
- Inventories | 0 |
➤
-100.00%
|
1.664 |
➤
-25.25%
|
2.226 |
- Receivables | 45.885 |
➤
-30.42%
|
65.942 |
➤
+74.48%
|
37.794 |
- Cash&Accounts | 9.589 |
➤
-50.64%
|
19.427 |
➤
+517.51%
|
3.146 |
Shareholders Equity | 116.569 |
➤
+123.45%
|
52.167 |
➤
+48.73%
|
35.074 |
Total Debts | 168.441 |
➤
-28.89%
|
236.860 |
➤
-20.65%
|
298.496 |
Graphs ACTIVA MAGIC SRL - VAT 25271676
Description ACTIVA MAGIC SRL - VAT 25271676
ACTIVA MAGIC SRL - VAT 25271676 has its headquarters in Turceni and was incorporated on the 11/03/2009, having been on the market for 13 years.
According to the latest financial data from 2021, the company reported a turnover of 338.926 RON, a gross profit of 70.406 RON, having a profit margin of +20.77%. The average number of employees for the year 2021 was of 1 persons.
ACTIVA MAGIC SRL - VAT 25271676 has as its main NACE activity code 7732 - (Renting and leasing of construction and civil engineering machinery and equipment).
According to the latest financial data from 2021, the company reported a turnover of 338.926 RON, a gross profit of 70.406 RON, having a profit margin of +20.77%. The average number of employees for the year 2021 was of 1 persons.
ACTIVA MAGIC SRL - VAT 25271676 has as its main NACE activity code 7732 - (Renting and leasing of construction and civil engineering machinery and equipment).
ICAP Romania analyzes data about ACTIVA MAGIC SRL - VAT 25271676 from official data sources, with extensive chronological information spanning back over several years.
Within the icapb2b.ro platform you may access a whole series of specialized reports about the company, as well as a series of specific business information, such as the analysis of the entire market made up of companies whose main object of activity is the NACE code 7732 - (Renting and leasing of construction and civil engineering machinery and equipment).
Within the icapb2b.ro platform you may access a whole series of specialized reports about the company, as well as a series of specific business information, such as the analysis of the entire market made up of companies whose main object of activity is the NACE code 7732 - (Renting and leasing of construction and civil engineering machinery and equipment).