SPEC BAU POLSKA SPÓŁKA Z OGRANICZONĄ ODPOWIEDZIALNOŚCIĄ

SPEC BAU POLSKA SPÓŁKA Z OGRANICZONĄ ODPOWIEDZIALNOŚCIĄ

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Key data

Status

Active

KRS number

0000290451Copy
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REGON

12054684900000Copy
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NIP/VAT code

5492322863Copy
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VAT registration date

11/10/2007

VAT status

Active

Bankruptcy proceedings

No proceedings

SPEC BAU POLSKA SPÓŁKA Z OGRANICZONĄ ODPOWIEDZIALNOŚCIĄ

Contacts

Registered address

Registered address

UL. GOSPODARCZA 8, 32-600, OŚWIĘCIM, POLSKACopy
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Website

Website

-
B Pie Chart

B

High
Highest reliabilityLowest reliability

Reliability

A - Highest
Selected TriangleB - High
C - Average
D - Low
E - Lowest

Incorporation date

11/10/2007

Share capital

250,000.00 PLN

Primary activity

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

Representatives

2

Representatives rights

NIEZALEŻNIE OD TEGO CZY ZARZĄD JEST JEDNOOSOBOWY CZY WIELOOSOBOWY, DO SKŁADANIA OŚWIADCZEŃ W IMIENIU SPÓŁKI ORAZ ZACIĄGANIA ZOBOWIĄZAŃ I REPREZENTOWANIA SPÓŁKI UPRAWNIONY JEST SAMODZIELNIE CZŁONEK ZARZĄDU.

Representatives

dot
Vice-president of the management boardB********* K*****
dot
Chairman of the management boardD**** B********* K***

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
B********* K*****
Vice-president of the management board
D**** B********* K***
Chairman of the management board

Persons with Significant Control

3
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Persons with Significant Control

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

Financial ratios

€

Net Profit (zł)

30,210,506

Net Profit (zł)

30,210,506

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
290,769,183
19,939,646
16,074,614
0.10
1.39
5.53
32,039,654
74,819,873
861,943
2,528,587
2023
281,624,781
40,537,250
32,440,707
0.11
1.53
11.52
55,680,361
58,316,755
1,887,126
7,082,968
2024
316,514,060
37,711,297
30,210,506
0.11
1.42
9.54
63,890,867
80,916,960
2,211,382
8,587,732
2024
316,514,060
37,711,297
30,210,506
0.11
1.42
9.54
63,890,867
80,916,960
2,211,382
8,587,732

Turnover (zł)

2024

Turnover (zł)

316,514,060 złAscended12 % *

Profit before tax (zł)

37,711,297 złDescended-7 % *

Net Profit (zł)

30,210,506 złDescended-7 % *

Working capital requirement (%)

0.11 Ascended0.00 % *

Liquidity ratio

1.42 Descended-7.19 % *

Net profitability (%)

9.54 %Descended-17.19 % *

Equity (zł)

63,890,867 złAscended15 % *

Current liabilities (zł)

80,916,960 złAscended39 % *

Non current liabilities (zł)

2,211,382 złAscended17 % *

Non-current Assets (zł)

8,587,732 złAscended21 % *

*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
Debt typesort 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

SPEC BAU POLSKA SPÓŁKA Z OGRANICZONĄ ODPOWIEDZIALNOŚCIĄ Documents

18
Datesort default icon
Descriptionsort default icon
15/07/2025
OD 01.01.2024 DO 31.12.2024
21/07/2024
OD 01.01.2023 DO 31.12.2023
23/07/2023
OD 01.01.2022 DO 31.12.2022
10/10/2022
OD 01.01.2021 DO 31.12.2021
28/06/2021
OD 01.01.2020 DO 31.12.2020