Karopack Polska sp. Z o. O. With headquarters in Katowice is a production company, established in October 2013 as a result of signing a cooperation agreement with our German partner who is also the originator, as well as the licensor, thanks to which our company has exclusive rights in our country, as well as Czech and Slovakia.
The mission of our company
"Caring for the environment thanks to the marketing of 100% organic products in the form of paper filling pads for packaging thanks to the innovative recycling technology for waste paper
17.21.Z - Manufacture of corrugated paper and paperboard and of containers of paper and paperboard
17.2 - Manufacture of articles of paper and paperboard
45.1 - Sale of motor vehicles
46 - Wholesale trade, except of motor vehicles and motorcycles
49.31.Z - Urban and suburban passenger land transport
49.32.Z - Taxi operation
49.39.Z - Other passenger land transport not elsewhere classified
49.41.Z - Freight transport by road
49.42.Z - Removal services
52.10.B - Warehousing and storage of other goods
52.21.Z - Service activities incidental to land transportation
52.24.C - Cargo handling in other reloading points
64 - Financial service activities, except insurance and pension funding
70.2 - Management consultancy activities
77 - Rental and leasing activities
2018 | 2019 | ||
---|---|---|---|
K PLN | K PLN | % | |
Gross profit (loss) | -2,8 | 184 | 6742,1 |
EBITDA | -2,8 | 183,4 | 6752 |
Short time liabilities | 472,1 | 292 | -38,1 |
Equity capital | -470,5 | -286,5 | 39,1 |
Operating profit (EBIT) | -2,8 | 183,4 | 6752 |
Assets | 2 | 5,9 | 204 |
Net profit (loss) | -2,8 | 184 | 6742,1 |
Cash | 1,3 | 5,3 | 297,4 |
Net income from sale | 0,2 | 105,8 | 66 846,6 |
Liabilities and provisions for liabilities | 472,5 | 292,5 | -38,1 |
Working assets | 2 | 5,9 | 204 |
Depreciation | 0 | 0 | 0 |
% | % | p.p. | |
Profitability of capital | 0,6 | -64,2 | -64,8 |
Equity capital to total assets | -24 049,7 | -4817,7 | 19 232 |
Gross profit margin | -1752,9 | 173,9 | 1926,8 |
EBITDA Margin | -1744,8 | 173,4 | 1918,2 |
Days | Days | Days | |
Short term commitment turnover cycle | 1 090 612 | 1008 | -1 089 604 |
Current financial liquidity indicator | 0.004140834324061871 | 0.020334690809249878 | 0 |
Net dept to EBITDA | -170.55189514160156 | 1.5637584924697876 | 172,2 |
Opinie dotyczące usług, produktów oraz działalności firmy nie są weryfikowane