Accounting reportsPreviously
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Name | PELOTON KAPITAL, OOO |
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INN | 7701351987 |
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KPP | 770101001 |
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OGRN | 1157746503860 |
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Address | 105062, G.moskva, ul. Pokrovka, d. D. 47A |
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OKVED code | Type | Name of activity type |
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68.20 | Core activity | Renting and operating of own or leased land, buildings and dwellings | 16.23 | Additional activity | Manufacture of other builders' carpentry and joinery | 25.11 | Additional activity | Manufacture of metal structures, products and their parts | All types of activities | 43.21 | Additional activity | Building installation | 43.29 | Additional activity | Gas Heater production | 43.39 | Additional activity | Other construction installation | 43.99.7 | Additional activity | Seal against water and moisture | 46.19 | Additional activity | Activity of agents in wholesale trade of universal assortment of goods | 46.49 | Additional activity | Wholesale of other household and consumer goods | 46.90 | Additional activity | Nonspecialised wholesale trade | 47.7 | Additional activity | Retail sale of other goods in specialised stores | 47.9 | Additional activity | Retail trade not in stores, stalls or markets | 52.10 | Additional activity | Activity Warehousing and storage | 64.99 | Additional activity | Provision of other financial services nec | 66.12.2 | Additional activity | Other activities auxiliary to financial services, except insurance and pension funding | 68.32 | Additional activity | Management of land, buildings and homes for others | 71.11.1 | Additional activity | Engineering activities and related technical consultancy | 73.11 | Additional activity | Activities of advertising agencies | 82.99 | Additional activity | Other business support services to businesses and individuals not otherwise specified |
Registration date | 04.06.2015 |
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Registering department | Mezhrayonnaya inspektsiya Federal'noy nalogovoy sluzhby N 46 po g. Moskve |
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PELOTON KAPITAL, OOO (Moscow; INN 7701351987) was registered on 4 Jun 2015. The company's authorized capital as of July 1, 2012 was 20010000 rub. Principal activities of PELOTON KAPITAL, OOO: renting and operating of own or leased land, buildings and dwellings (68.20), manufacture of other builders' carpentry and joinery (16.23), manufacture of metal structures, products and their parts (25.11). |
Economic indicators2023
Net loss (RAS) of PELOTON KAPITAL, OOO dropped over 2023 by 19.58% to 78.32 million RUB from 97.40 million RUB KAgent.Entities.Balance, the company informed. Revenue increased in the accounting period by 11.89% to 318.92 million RUB from 285.04 million RUB over 2022; cost of goods sold grew by 4.21% to 86.97 million RUB from 83.45 million RUB; sales profit made up 8.58 million RUB compared to sales loss of 18.96 million RUB. 2022
Net loss (RAS) of PELOTON KAPITAL, OOO increased 1.58 times to 97.40 million RUB from 61.78 million RUB over 2021, the company informed. Revenue increased in the accounting period by 13.57% to 285.04 million RUB from 250.98 million RUB over 2021; cost of goods sold grew by 12.70% to 83.45 million RUB from 74.05 million RUB; sales loss decreased by 5.64% to 18.96 million RUB from 20.09 million RUB. 2021
Net loss (RAS) of PELOTON KAPITAL, OOO dropped over 2021 5.10 times to 61.78 million RUB from 315.31 million RUB KAgent.Entities.Balance, the company informed. Revenue increased in the accounting period by 12.99% to 250.98 million RUB from 222.12 million RUB over 2020; cost of goods sold grew 1.59 times to 74.05 million RUB from 46.57 million RUB; sales loss made up 20.09 million RUB compared to sales profit of 19.90 million RUB. 2020
Net loss (RAS) of PELOTON KAPITAL, OOO increased 6.85 times to 305.52 million RUB from 44.60 million RUB over 2019, the company informed. Revenue increased in the accounting period by 4.04% to 222.12 million RUB from 213.49 million RUB over 2019; cost of goods sold decreased by 10.60% to 46.57 million RUB from 52.09 million RUB; sales profit made up 19.90 million RUB compared to sales loss of 10.47 million RUB. 2019
Net loss (RAS) of PELOTON KAPITAL, OOO dropped over 2019 3.78 times to 16.71 million RUB from 63.17 million RUB KAgent.Entities.Balance, the company informed. Revenue increased in the accounting period by 4.28% to 213.49 million RUB from 204.72 million RUB over 2018; cost of goods sold grew by 10.97% to 52.09 million RUB from 46.94 million RUB; sales loss decreased by 19.25% to 10.47 million RUB from 12.96 million RUB. 2018
Net loss (RAS) of TPS GRUP, OOO increased 7.10 times to 64.10 million RUB from 9.03 million RUB over 2017, the company informed. Revenue increased in the accounting period by 7.23% to 204.72 million RUB from 190.91 million RUB over 2017; cost of goods sold grew by 8.21% to 46.94 million RUB from 43.37 million RUB; sales loss decreased by 27.26% to 12.96 million RUB from 17.82 million RUB. 2017
Net loss (RAS) of TPS GRUP, OOO dropped over 2017 by 27.69% to 9.03 million RUB from 12.49 million RUB KAgent.Entities.Balance, the company informed. Revenue decreased in the accounting period by 1.21% to 190.91 million RUB from 193.25 million RUB in 2016; cost of goods sold decreased by 3.35% to 43.37 million RUB from 44.88 million RUB; sales loss made up 17.82 million RUB compared to sales profit of 9.82 million RUB. 2016
Net loss (RAS) of TPS GRUP, OOO dropped over 2016 9.40 times to 12.49 million RUB from 117.38 million RUB KAgent.Entities.Balance, the company informed. Revenue increased in the accounting period 1.63 times to 193.25 million RUB from 118.23 million RUB over 2015; cost of goods sold grew 1.71 times to 44.88 million RUB from 26.25 million RUB; sales profit fell 3.10 times to 9.82 million RUB from 30.41 million RUB.
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