Financial results - SIPIGFERM SRL

Financial Summary - Sipigferm Srl
Unique identification code: 18199098
Registration number: J2005001346016
Nace: 146
Sales - Ron
6.922.726
Net Profit - Ron
73.465
Employees
21
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Company Sipigferm Srl with Fiscal Code 18199098 recorded a turnover of 2025 of 6.922.726, with a net profit of 73.465 and having an average number of employees of 21. The company operates in the field of Creşterea porcinelor having the NACE code 146.
Sales - Ron

Sales, Profit, Employees, Total Income, Financial Results - Sipigferm Srl

2016 2017 2018 2019 2020 2021 2022 2023 2024 2025
Sales - EUR 724.465 1.219.941 957.579 1.166.448 945.376 626.722 745.710 1.726.770 1.861.395 6.922.726
Total Income - EUR 1.015.574 1.045.308 1.054.570 1.094.521 1.081.325 960.064 1.106.738 1.725.051 1.972.747 7.981.338
Total Expenses - EUR 991.585 1.005.823 1.042.981 1.007.813 1.052.769 1.076.997 1.251.825 1.561.586 1.749.011 7.893.802
Gross Profit/Loss - EUR 23.989 39.486 11.589 86.708 28.556 -116.933 -145.087 163.465 223.735 87.536
Net Profit/Loss - EUR 6.993 2.698 9.979 74.992 25.764 -121.901 -151.110 146.516 193.689 73.465
Employees 12 14 14 12 10 13 17 16 20 21
The table presents the most important indicators of the company from the Profit and Loss Account for the last 10 years of activity as found at the Ministry of Finance. The data provides the evolution of the company during this period regarding the increases and possibly decreases recorded. In the last year of activity, the sales decreased by -25.2%, from 1.861.395 euro in the year 2024, to 6.922.726 euro in 2025. The Net Profit decreased by -890.000 euro, from 193.689 euro in 2024, to 73.465 in the last year.
Sales - Ron
Net Profit - Ron
Employees

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Debts, Equity, Inventories, Receivables, Accounts, Assets - Sipigferm Srl - CUI 18199098

2016 2017 2018 2019 2020 2021 2022 2023 2024 2025
Fixed Assets 1.664.629 1.482.281 1.379.853 1.211.461 1.161.470 965.752 799.058 786.992 836.370 4.142.822
Current Assets 736.320 597.598 658.441 471.347 356.892 615.889 1.011.289 691.594 894.665 5.759.906
Inventories 677.276 445.765 455.868 212.083 220.984 322.462 636.943 241.714 276.363 2.454.192
Receivables 45.462 146.650 183.659 137.220 38.002 291.038 356.229 435.210 597.341 3.216.152
Cash 12.245 3.869 18.915 122.044 97.905 2.390 18.118 14.670 20.961 89.562
Shareholders Funds 128.200 128.728 136.344 208.696 230.503 103.490 -47.299 99.361 292.494 1.526.443
Social Capital 178.365 175.346 172.129 168.795 165.595 161.923 162.425 161.933 161.028 801.000
Debts 2.272.749 1.379.325 1.352.028 864.294 776.172 1.065.114 1.433.560 1.062.601 1.209.830 7.674.773
Income in Advance 684.146 571.826 549.922 609.818 511.686 413.037 424.086 316.624 228.711 701.512
Exchange rate - RON 1 4.9743 4.9465 4.9315 4.9468 4.8371 4.7454 4.6535 4.5681 4.4908
Main CAEN "146 - 146"
CAEN Financial Year 146
The table presents the company's Balance Sheet structure for the last 10 years. Current Assets recorded a value of 5.759.906 euro in 2025 which includes Inventories of 2.454.192 euro, Receivables of 3.216.152 euro and cash availability of 89.562 euro.
The company's Equity was valued at 1.526.443 euro, while total Liabilities amounted to 7.674.773 euro. Equity increased by 71.490 euro, from 292.494 euro in 2024, to 1.526.443 in 2025. The Debt Ratio was 77.5% in the year 2025.

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