Financial results - VADOVA S.R.L.

Financial Summary - Vadova S.r.l.
Unique identification code: 2989325
Registration number: J38/1428/1991
Nace: 2030
Sales - Ron
2.655.098
Net Profit - Ron
126.848
Employee
36
The most important financial indicators for the company Vadova S.r.l. - Unique Identification Number 2989325: sales in 2023 was 2.655.098 euro, registering a net profit of 126.848 euro and having an average number of 36 employees. Firma isi desfasoara activitatea in domeniul Fabricarea vopselelor, lacurilor, cernelii tipografice si masticurilor having the NACE code 2030.

Sales, Profit, Employees, Debts, Capitals, Financial Results - Vadova S.r.l.

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023
Sales - EUR 2.151.642 2.183.596 1.648.256 1.680.704 1.672.083 1.841.606 2.399.048 2.210.835 2.638.131 2.655.098
Total Income - EUR 2.244.508 2.227.480 1.621.242 1.697.900 1.736.246 1.896.678 2.383.589 2.238.894 2.673.115 2.687.376
Total Expenses - EUR 2.222.052 2.201.299 1.599.806 1.641.090 1.731.000 1.872.433 2.113.884 2.134.518 2.595.337 2.560.146
Gross Profit/Loss - EUR 22.456 26.181 21.435 56.810 5.246 24.246 269.705 104.376 77.779 127.229
Net Profit/Loss - EUR 18.860 21.479 17.747 29.995 4.138 20.773 239.513 91.443 68.236 126.848
Employees 38 38 40 37 40 40 41 41 39 36
The table presents the most important indicators of the company from the Profit and Loss Account for the last 10 years of activity. The data show the company's evolution during this period, highlighting any increases or potential decreases recorded. In the last year of activity, the sales increased by 0.9%, from 2.638.131 euro in the year 2022, to 2.655.098 euro in 2023. The Net Profit increased by 58.819 euro, from 68.236 euro in 2022, to 126.848 in the last year.

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Debts, Equity, Inventories, Receivables, Accounts, Assets - Vadova S.r.l. - CUI 2989325

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023
Fixed Assets 595.343 559.251 501.615 507.202 467.981 596.404 573.101 536.997 536.191 741.785
Current Assets 1.367.776 1.314.378 1.019.637 1.040.882 1.156.664 1.135.846 1.162.590 1.090.329 1.467.760 1.191.782
Inventories 406.760 414.279 348.561 368.557 453.021 427.539 441.993 484.606 689.176 619.477
Receivables 842.282 860.140 657.548 656.670 686.813 700.838 670.837 583.452 706.729 556.141
Cash 118.734 39.960 13.528 15.654 16.829 7.469 49.760 22.271 71.855 16.164
Shareholders Funds 583.026 609.371 585.129 592.692 568.169 736.606 944.745 874.703 896.559 948.173
Social Capital 114.210 115.163 113.989 112.060 110.003 107.873 105.828 103.481 103.802 103.487
Debts 1.380.374 1.264.790 936.233 955.695 1.061.765 995.645 790.946 752.624 1.019.784 822.449
Income in Advance 0 0 0 0 0 0 0 0 87.608 162.945
Exchange rate - RON 4.9465 4.9315 4.9468 4.8371 4.7454 4.6535 4.5681 4.4908 4.445 4.4821
Main CAEN "2030 - 2030"
CAEN Financial Year 2030
The table presents the company's Balance Sheet structure for the last 10 years. Current Assets recorded a value of 1.191.782 euro in 2023 which includes Inventories of 619.477 euro, Receivables of 556.141 euro and cash availability of 16.164 euro.
The company's Equity was valued at 948.173 euro, while total Liabilities amounted to 822.449 euro. Equity increased by 54.333 euro, from 896.559 euro in 2022, to 948.173 in 2023. The Debt Ratio was 42.5% in the year 2023.

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