Accounting reportsPreviously
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Name | PUBLICHNOE AKTSIONERNOE OBSCHESTVO "T PLYUS" |
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INN | 6315376946 |
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KPP | 502401001 |
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OGRN | 1056315070350 |
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OKPO | 78257026 |
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FFSM | 55113-E |
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Address | 143421, MOSKOVSKAYA OBLAST', km. 26-y, d. 5, ofis. 506 |
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Phone | +7 (846) 279-63-20 Contact details |
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Fax | +7 (846) 279-61-62 |
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OKVED code | Type | Name of activity type |
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35.11 | Core activity | Electric power generation, transmission and distribution | 16.21 | Additional activity | Production of veneer, plywood, wood boards and panels | 28.11 | Additional activity | Manufacture of engines and turbines, except aircraft, vehicle and cycle engines | All types of activities | 28.13 | Additional activity | Manufacture of other pumps and compressors | 33.12 | Additional activity | Repair of fabricated metal products, machinery and equipment | 35.11.1 | Additional activity | Production of electricity | 35.11.3 | Additional activity | Electricity generation without distribution | 35.11.4 | Additional activity | Electricity generation from thermal power with other suppliers for distribution | 35.12 | Additional activity | Electricity transmission and technological connection to distribution network | 35.13 | Additional activity | electricity distribution | 35.30.1 | Additional activity | Cogeneration plant with heat produced by other suppliers for distribution | 35.30.11 | Additional activity | Production of steam and hot water (thermal energy), thermal power plants | 35.30.13 | Additional activity | Production of steam and hot water (thermal energy) of other power plants and industrial power stations | 35.30.14 | Additional activity | Production of steam and hot water (heat power) by boiler | 35.30.2 | Additional activity | District heating plant with heat produced by other suppliers for distribution | 35.30.4 | Additional activity | Heat through district heating plant with no other suppliers for distribution | 35.30.5 | Additional activity | Heat distribution without generating | 35.30.6 | Additional activity | Commercial steam and hot water (thermal energy) | 36.00.1 | Additional activity | Distribution of water for drinking and industrial needs | 36.00.2 | Additional activity | Distribution of water for drinking and industrial needs | 37.00 | Additional activity | The collection and treatment of waste water | 38.1 | Additional activity | Operation of sewage | 38.2 | Additional activity | Collection of hazardous waste, 3812 | 42.21 | Additional activity | Construction engineering services for water supply and drainage, gas | 42.22.1 | Additional activity | Construction of long-distance power lines and communication | 42.22.2 | Additional activity | Pipeline, road construction, well construction and sewage treatment plant construction 4220 | 42.22.3 | Additional activity | Hunting clubs | 43.22 | Additional activity | Production of sanitary-engineering works, installation of heating systems and air conditioning systems | 47.9 | Additional activity | Retail trade not in stores, stalls or markets | 49.3 | Additional activity | Passenger transport on land (excluding taxis) | 49.4 | Additional activity | Freight transport by road and removal services | 49.50.21 | Additional activity | Transport via gas pipelines | 50.30 | Additional activity | Activity Inland water passenger transport | 52.10.21 | Additional activity | Storage and warehousing of oil and products of its processing | 52.10.23 | Additional activity | Storage and warehousing of other liquid or gaseous cargo | 52.10.9 | Additional activity | Khranenie i skladirovanie prochikh gruzov | 52.22.2 | Additional activity | Activities auxiliary related to inland waterway transport | 55.90 | Additional activity | Other provision of lodgings nec | 56.29 | Additional activity | Activities catering for other types of catering | 61.10 | Additional activity | Television broadcasting corporations | 61.10.1 | Additional activity | Voice services through wired telecommunications activities | 61.10.4 | Additional activity | Activity in the sphere of electrical documentation | 63.91 | Additional activity | News agency activities | 64.99 | Additional activity | Provision of other financial services nec | 68.1 | Additional activity | Buying and selling of own real estate | 68.10 | Additional activity | Buying and selling of own real estate, buildings and dwellings | 68.2 | Additional activity | Renting and operating of own or leased real estate | 68.20.2 | Additional activity | Renting and operating of own or leased commercial properties and non- residential buildings | 68.32.1 | Additional activity | Management of residential land, residential buildings and apartments for third parties | 69 | Additional activity | Legal activities | 70.10.2 | Additional activity | Activity in holding companies management | 71.12.12 | Additional activity | Stahl-Gro?handel |
Registration date | 01.08.2005 |
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Registering department | Inspektsiya Federal'noy nalogovoy sluzhby po Leninskomu rayonu g. Samary |
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PAO "T PLYUS" (Samara Oblast; INN 6315376946) was registered on 1 Aug 2005. The company's authorized capital as of July 1, 2012 was 44467039514 rub. Type of ownership of PAO "T PLYUS" - Open joint-stock companies. Form of ownership of PAO "T PLYUS" - Private property. Principal activities of PAO "T PLYUS": electric power generation, transmission and distribution (35.11), production of veneer, plywood, wood boards and panels (16.21), manufacture of engines and turbines, except aircraft, vehicle and cycle engines (28.11). |
Economic indicators2023
Net profit (RAS) of PAO T PLYUS dropped in 2023 by 1.84% to 13.70 billion RUB from 13.96 billion RUB over the same period in 2022, the company informed. Revenue increased in the accounting period by 9.79% to 293.16 billion RUB from 267.03 billion RUB over 2022; cost of goods sold grew by 11.35% to 262.37 billion RUB from 235.63 billion RUB; sales profit fell by 1.92% to 30.80 billion RUB from 31.40 billion RUB. 2022
Net profit (RAS) of PAO T PLYUS dropped in 2022 by 21.35% to 13.96 billion RUB from 17.75 billion RUB over the same period in 2021, the company informed. Revenue increased in the accounting period by 2.94% to 267.03 billion RUB from 259.39 billion RUB over 2021; cost of goods sold grew by 4.60% to 235.63 billion RUB from 225.28 billion RUB; sales profit fell by 7.96% to 31.40 billion RUB from 34.11 billion RUB. 2021
Net profit (RAS) of PAO T PLYUS dropped in 2021 by 24.84% to 17.75 billion RUB from 23.61 billion RUB over the same period in 2020, the company informed. Revenue increased in the accounting period by 14.00% to 259.39 billion RUB from 227.54 billion RUB over 2020; cost of goods sold grew by 13.74% to 225.28 billion RUB from 198.07 billion RUB; sales profit went up by 15.76% to 34.11 billion RUB from 29.47 billion RUB. 2020
Net profit (RAS) of PAO T PLYUS grew over 2020 by 41.87% to 23.61 billion RUB from 16.64 billion RUB over 2019, the company informed. Revenue decreased in the accounting period by 3.42% to 227.54 billion RUB from 235.58 billion RUB in 2019; cost of goods sold decreased by 1.73% to 198.07 billion RUB from 201.57 billion RUB; sales profit fell by 13.38% to 29.47 billion RUB from 34.02 billion RUB. 2019
Net profit (RAS) of PAO T PLYUS grew over 2019 by 26.14% to 16.41 billion RUB from 13.01 billion RUB over 2018, the company informed. Revenue increased in the accounting period by 2.09% to 235.58 billion RUB from 230.75 billion RUB over 2018; cost of goods sold decreased by 1.02% to 201.57 billion RUB from 203.64 billion RUB; sales profit went up by 25.48% to 34.02 billion RUB from 27.11 billion RUB. 2018
Net profit (RAS) of PAO T PLYUS grew over 2018 4.24 times to 13.01 billion RUB from 3.07 billion RUB over 2017, the company informed. Revenue increased in the accounting period by 3.60% to 230.75 billion RUB from 222.74 billion RUB over 2017; cost of goods sold grew by 4.49% to 203.64 billion RUB from 194.90 billion RUB; sales profit fell by 2.61% to 27.11 billion RUB from 27.84 billion RUB. 2017
Net profit (RAS) of PAO T PLYUS grew over 2017 9.51 times to 3.07 billion RUB from 323.06 million RUB over 2016, the company informed. Revenue increased in the accounting period by 2.80% to 222.74 billion RUB from 216.68 billion RUB over 2016; cost of goods sold grew by 2.33% to 194.90 billion RUB from 190.47 billion RUB; sales profit went up by 6.22% to 27.84 billion RUB from 26.21 billion RUB. 2014
Net profit (RAS) of VOLZHSKAYA TGK, OAO dropped in 2014 13.54 times to 156.76 million RUB from 2.12 billion RUB over the same period in 2013, the company informed. Revenue increased in the accounting period by 31.81% to 77.85 billion RUB from 59.07 billion RUB over 2013; cost of goods sold grew by 31.55% to 73.42 billion RUB from 55.81 billion RUB; sales profit went up by 36.19% to 4.44 billion RUB from 3.26 billion RUB. 2013
Net profit (RAS) of Volzhskaya TGK, OAO grew over 2013 7.81 times to 2.12 billion RUB from 271.64 million RUB over 2012, the company informed. Revenue increased in the accounting period by 11.53% to 59.07 billion RUB from 52.96 billion RUB over 2012; cost of goods sold grew by 8.11% to 55.81 billion RUB from 51.62 billion RUB; sales profit went up 2.43 times to 3.26 billion RUB from 1.34 billion RUB. 2012
Net loss (RAS) of Volzhskaya TGK, OAO dropped over 2012 by 23.97% to 91.51 million RUB from 120.35 million RUB KAgent.Entities.Balance, the company informed. Cost of goods sold decreased by 6.57% to 52.08 billion RUB from 55.74 billion RUB; sales profit fell by 41.95% to 883.70 million RUB from 1.52 billion RUB.
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