| Фирма | От дата | Роля | Дял | Приходи | Персонал |
|---|---|---|---|---|---|
| МЕДИЦИНСКИ ЦЕНТЪР "ХРИСТО БОТЕВ" - ГР. ВРАЦА ЕООД | 16.04.2025 | Едноличен собственик на капитала | 100% |
| Година | 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 | 2007 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Приход | 17 965 49.72% | 11 999 7.87% | 11 124 -10.73% | 12 461 -2.56% | 12 788 -1.48% | 12 980 -6.5% | 13 883 1.77% | 13 642 10.89% | 12 302 7.91% | 11 400 -14.84% | 13 387 -10.48% | 14 954 10.73% | 13 505 36.59% | 9 887 | |||||
|
Счетоводна печалба |
-844 26.99% | -1 156 10.46% | -1 291 56.94% | -2 998 -13.17% | -2 649 3.46% | -2 744 -25.81% | -2 181 1.09% | -2 205 -350.92% | -489 | 1 100.21% | -474 -2254.55% | 22 -76.09% | 92 | ||||||
|
Оперативни разходи |
18 317 | 10 072 | 11 633 | 15 458 475 | 15 438 033 | 15 715 | 16 058 | 15 854 752 | 12 788 | 12 209 212 | 13 472 | 15 422 940 | 12 689 | 8 898 | |||||
|
Разходи за персонала |
11 851 45.22% | 8 161 9.26% | 7 469 -99.91% | 8 298 122 -1.95% | 8 463 474 106573.48% | 7 934 -1.67% | 8 069 -99.89% | 7 594 053 118594.17% | 6 398 -99.89% | 5 861 776 100118.43% | 5 849 -99.91% | 6 474 644 142481.9% | 4 541 -2.62% | 4 663 | |||||
| Нетен марж | -4.7% 51.24% | -9.63% 16.99% | -11.61% 51.76% | -24.06% -16.14% | -20.71% 2.01% | -21.14% -34.57% | -15.71% 2.81% | -16.16% -306.63% | -3.97% | 0.01% 100.24% | -3.17% -2045.78% | 0.16% -82.49% | 0.93% | ||||||
| Вписан в ТР | |||||||||||||||||||
| Финансов отчет |
| Година | 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 | 2007 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Общо активи | 17 548 -6.11% | 18 689 11.92% | 16 699 -6.43% | 17 847 -6.25% | 19 037 -2.31% | 19 487 -1.88% | 19 860 -4.22% | 20 736 -1.29% | 21 007 4.35% | 20 132 -2.4% | 20 627 158% | 7 995 -10.88% | 8 971 79.46% | 4 999 | |||||
|
Дълготрайни активи |
16 285 2.01% | 15 964 1.85% | 15 674 -4.47% | 16 408 -3.97% | 17 087 -3.65% | 17 735 2.05% | 17 378 -3.53% | 18 013 -3.09% | 18 587 1.36% | 18 338 -1.73% | 18 660 255.16% | 5 254 -18.73% | 6 465 136.73% | 2 731 | |||||
|
Материални запаси |
458 87.7% | 244 38.64% | 176 44.26% | 122 -6.15% | 130 -25.71% | 175 -13.79% | 203 -3.79% | 211 -24.37% | 279 21.3% | 230 8.49% | 212 -99.9% | 219 989 87545.02% | 251 -1.95% | 256 | |||||
|
Общо задължения |
17 468 -2.17% | 17 855 22.96% | 14 521 0.88% | 14 395 6.1% | 13 567 19.34% | 11 368 26.34% | 8 998 16.98% | 7 692 16.4% | 6 608 20.28% | 5 494 6.31% | 5 168 -25.03% | 6 893 -10.54% | 7 705 105.91% | 3 742 | |||||
|
Задължения към фин. инст. |
|||||||||||||||||||
| Вземания общо | 132 -7.69% | 143 -52.81% | 303 -74.64% | 1 195 -99.93% | 1 600 857 114574.57% | 1 396 -10.74% | 1 564 -25.2% | 2 091 47.77% | 1 415 19.21% | 1 187 -23.27% | 1 547 -99.92% | 1 892 915 418686.5% | 452 -13.41% | 522 | |||||
|
Собствен капитал |
80 -90.41% | 834 -61.71% | 2 178 -36.91% | 3 452 -36.89% | 5 470 -32.63% | 8 119 -25.25% | 10 862 -16.73% | 13 044 -9.41% | 14 399 -1.63% | 14 638 -5.31% | 15 459 1302.81% | 1 102 -12.95% | 1 266 0.72% | 1 257 | |||||
|
Парични средства |
561 -75.46% | 2 286 352.67% | 505 601.39% | 72 -60% | 180 16.88% | 154 -77.58% | 687 77.06% | 388 -43.02% | 681 104.5% | 333 93.6% | 172 40.98% | 122 -90.08% | 1 230 -12.95% | 1 413 |
| Година | Служители |
|---|---|
| 2021 | 562 2.74% |
| 2020 | 547 -0.73% |
| 2019 | 551 5.76% |
| 2018 | 521 -12.88% |
| 2017 | 598 -13.46% |
| 2016 | 691 -1% |
| 2015 | 698 -1.55% |
| 2014 | 709 -0.42% |
| 2013 | 712 |