KAWI-BUD SPÓŁKA Z OGRANICZONĄ ODPOWIEDZIALNOŚCIĄ

KAWI-BUD SPÓŁKA Z OGRANICZONĄ ODPOWIEDZIALNOŚCIĄ

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Key data

Status

Active

KRS number

0000662416Copy
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REGON

36651605900000Copy
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NIP/VAT code

7712889462Copy
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VAT registration date

01/03/2017

VAT status

Active

Bankruptcy proceedings

No proceedings

KAWI-BUD SPÓŁKA Z OGRANICZONĄ ODPOWIEDZIALNOŚCIĄ

Contacts

Registered address

Registered address

UL. REGATOWA 10, 97-300, PIOTRKÓW TRYBUNALSKI, POLSKACopy
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Website

Website

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None Pie Chart
no data iconNot calculated
Highest reliabilityLowest reliability

Reliability

A - Highest
B - High
C - Average
D - Low
E - Lowest
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Prescore cannot be calculated due to significantly decreased turnover, expert evaluation needed.

Incorporation date

07/02/2017

Share capital

5,000.00 PLN

Primary activity

Construction of residential and non-residential buildings (41.20.Z - PKD 2007)

Representatives

2

Representatives rights

W PRZYPADKU ZARZĄDU SKŁADAJĄCEGO SIĘ Z DWÓCH LUB WIĘKSZEJ LICZBY OSÓB DO SKŁADANIA OŚWIADCZEŃ I PODPISYWANIA W IMIENIU SPÓŁKI WYMAGANE JEST WSPÓŁDZIAŁANIE DWÓCH CZŁONKÓW ZARZĄDU ALBO JEDNEGO CZŁONKA ZARZĄDU ŁĄCZNIE Z PROKURENTEM

Representatives

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Chairman of the management boardM******* P**** I*********
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Vice-president of the management boardR***** S******* C******

Business linkages

Price: zł63.00
Premium users: 1.00 credit

Financial report (Okredo)

Price: zł22.00
Premium users: 1.00 credit

People

Representatives

2
Personsort default icon
Titlesort default icon
M******* P**** I*********
Chairman of the management board
R***** S******* C******
Vice-president of the management board

Persons with Significant Control

2
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Persons with Significant Control

This information is available in our reports and to subscription users.

Financial ratios

€

Net Profit (zł)

-58,904

Net Profit (zł)

-58,904

Financial report (Okredo)

Price: zł22.00
Premium users: 1.00 credit
Indicator
Turnover (zł)
Profit before tax (zł)
Net Profit (zł)
Working capital requirement (%)
info iconThe working capital requirement indicator shows how much funds a company needs to develop and maintain a business.
Liquidity ratio
info iconliquidityRatio
Net profitability (%)
info iconThis ratio is commonly referred to as a company’s “bottom line” and is a true indicator of a company’s profitability. It shows how much a net profit of € 1 (or other monetary unit) is generated by sales.
Equity (zł)
Current liabilities (zł)
Non current liabilities (zł)
Non-current Assets (zł)
2022
1,676,213
161,674
144,666
0.93
6.69
8.63
1,562,247
274,576
0
0
2023
906,468
129,678
119,186
1.86
19.51
13.15
1,681,653
90,833
0
0
2024
9,259
-58,904
-58,904
175.26
21.56
-636.18
1,622,749
78,937
0
-
2024
9,259
-58,904
-58,904
175.26
21.56
-636.18
1,622,749
78,937
0
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Turnover (zł)

2024

Turnover (zł)

9,259 złDescended-99 % *

Profit before tax (zł)

-58,904 złDescended-145 % *

Net Profit (zł)

-58,904 złDescended-149 % *

Working capital requirement (%)

175.26 Ascended9,322.58 % *

Liquidity ratio

21.56 Ascended10.51 % *

Net profitability (%)

-636.18 %Descended-4,937.87 % *

Equity (zł)

1,622,749 złDescended-4 % *

Current liabilities (zł)

78,937 złDescended-13 % *

Non current liabilities (zł)

0 złAscended- *

Non-current Assets (zł)

-
*over the last year starting selected period

Credit history

No. of unpaid debts

0

Largest debt

-

Amount of unpaid debts

€0.00

Oldest open debt

-

No. of unpaid debts

0

Largest debt

-

Amount of unpaid debts

€0.00

Oldest open debt

-

Credit report

Price: 1.00 credit
Unpaid debts
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Debt amountsort default icon
Debt datesort default icon
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Debt payment history
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Creditor/Data sourcesort default icon
Debt amountsort default icon
Debt datesort default icon
Payment datesort default icon
Debt typesort default icon
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Documents

KAWI-BUD SPÓŁKA Z OGRANICZONĄ ODPOWIEDZIALNOŚCIĄ Documents

8
Datesort default icon
Descriptionsort default icon
08/07/2025
OD 01.01.2024 DO 31.12.2024
04/07/2024
OD 01.01.2023 DO 31.12.2023
13/07/2023
OD 01.01.2022 DO 31.12.2022
01/10/2022
OD 01.01.2021 DO 31.12.2021
15/09/2021
OD 01.01.2020 DO 31.12.2020