Full name
BOGMAR BB SPÓŁKA Z OGRANICZONĄ ODPOWIEDZIALNOŚCIĄ SPÓŁKA KOMANDYTOWA
uses securityreCAPTCHA
46.90.Z - Non-specialised wholesale trade
14.12.Z - Manufacture of workwear
27.90.Z - Manufacture of other electrical equipment
28.29.Z - Manufacture of other general-purpose machinery notelsewhere classified
32.99.Z - Other manufacturing notelsewhere classified
73.11.Z - Advertising agencies activities
77.39.Z - Rental and leasing of other machinery, equipment and tangible goods not elsewhere classified
96.01.Z - Washing and (dry-)cleaning of textile and fur products
2021 | 2022 | 2023 | ||
---|---|---|---|---|
M PLN | M PLN | M PLN | % | |
Assets | 20,3 | 35,6 | 48 | 35 |
Gross profit (loss) | 4,1 | 9,4 | 11 | 17,7 |
Net profit (loss) | 3,3 | 7,5 | 8,8 | 17,3 |
Cash | 4,3 | 15,9 | 17 | 7,2 |
Liabilities and provisions for liabilities | 5,8 | 17,1 | 20,8 | 21,5 |
Net income from sale | 20,1 | 52,2 | 58,7 | 12,5 |
Short time liabilities | 5,3 | 15,5 | 15,9 | 2,5 |
Working assets | 19,8 | 30,7 | 39,6 | 28,9 |
Equity capital | 14,5 | 18,4 | 27,2 | 47,6 |
Operating profit (EBIT) | 4 | 9,6 | 11,4 | 19,2 |
% | % | % | p.p. | |
Equity capital to total assets | 71,3 | 51,8 | 56,6 | 4,8 |
Gross profit margin | 20,2 | 18 | 18,8 | 0,8 |
Days | Days | Days | Days | |
Short term commitment turnover cycle | 109 | 99 | -10 | |
Current financial liquidity indicator | 3.709813356399536 | 1.836175799369812 | 2.1992204189300537 | 0,4 |
Opinie dotyczące usług, produktów oraz działalności firmy nie są weryfikowane