| Фирма | От дата | Роля | Дял | Приходи | Персонал |
|---|---|---|---|---|---|
| ЕСО ИНЖЕНЕРИНГ ЕООД | 18.02.2021 | Едноличен собственик на капитала | 100% | 10М-100M лв. | 72 |
| ЕСО ПРОЕКТ ЕООД | 26.04.2022 | Едноличен собственик на капитала | 100% | 1M-10M лв. |
| Година | 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 | 2007 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Приход | 616 744 -4.09% | 643 040 -6.07% | 684 609 1.18% | 676 647 1.38% | 667 438 6.7% | 625 550 20.55% | 518 930 27.78% | 406 123 -24.41% | 537 268 -3.64% | 557 586 13.45% | 491 464 9.72% | 447 921 -1.14% | 453 070 26.76% | 357 433 | |||||
|
Счетоводна печалба |
56 451 108.41% | 27 086 -25.1% | 36 164 14.22% | 31 663 -61.43% | 82 092 16.97% | 70 182 291.33% | 17 934 454.15% | -5 064 86.83% | -38 457 -133.09% | 116 226 35.55% | 85 741 280.79% | -47 427 -749.68% | 7 300 -30.37% | 10 484 | |||||
|
Оперативни разходи |
560 392 | 616 117 | 650 268 | 648 411 | 588 507 | 556 700 | 449 000 | 406 123 | 432 360 | 440 848 | 405 041 | 46 820 | 432 224 | 313 037 | |||||
|
Разходи за персонала |
96 459 4.7% | 92 133 -37.49% | 147 392 2.67% | 143 557 10.52% | 129 892 64.17% | 79 120 9.32% | 72 376 6.51% | 67 953 2.73% | 66 145 3.05% | 64 190 0.1% | 64 128 1.11% | 63 422 6.44% | 59 583 26.26% | 47 192 | |||||
| Нетен марж | 9.15% 117.3% | 4.21% -20.26% | 5.28% 12.89% | 4.68% -61.95% | 12.3% 9.63% | 11.22% 224.63% | 3.46% 377.16% | -1.25% 82.58% | -7.16% -134.34% | 20.84% 19.48% | 17.45% 264.77% | -10.59% -757.15% | 1.61% -45.07% | 2.93% | |||||
| 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 | 2 839 294 4.85% | 2 707 956 -1.72% | 2 755 229 0.54% | 2 740 356 -0.05% | 2 741 596 1.56% | 2 699 386 18.62% | 2 275 633 1099.29% | 189 748 51.83% | 124 971 -47.63% | 238 613 52.47% | 156 495 61.1% | 97 140 -16.95% | 116 970 21.12% | 96 576 | |||||
|
Дълготрайни активи |
2 588 460 7.47% | 2 408 582 3.16% | 2 334 739 5.11% | 2 221 258 -1.35% | 2 251 623 -0.64% | 2 266 033 10.4% | 2 052 589 5563.56% | 36 242 -17.15% | 43 746 9.51% | 39 946 -15.81% | 47 445 -15.53% | 56 169 5.22% | 53 384 7.74% | 49 551 | |||||
|
Материални запаси |
25 077 30.51% | 19 214 58.61% | 12 114 -5.02% | 12 754 -13.58% | 14 758 12.74% | 13 090 17.5% | 11 140 29.34% | 8 613 -30.96% | 12 476 1.55% | 12 285 -3.98% | 12 794 -19.33% | 15 859 -2.51% | 16 267 85.1% | 8 788 | |||||
|
Общо задължения |
672 340 15.18% | 583 714 7.45% | 543 232 17.08% | 463 967 1.52% | 457 011 -1.39% | 463 447 28.96% | 359 371 185.7% | 125 788 136.13% | 53 271 -8.46% | 58 195 0.32% | 58 008 -23.48% | 75 808 45.62% | 52 059 36.24% | 38 210 | |||||
|
Задължения към фин. инст. |
441 | ||||||||||||||||||
| Вземания общо | 60 199 -29.98% | 85 969 2.58% | 83 804 -22.56% | 108 211 19.89% | 90 256 -23.67% | 118 238 30.17% | 90 831 -30.2% | 130 134 198.76% | 43 558 -71.63% | 153 547 61.8% | 94 897 310.45% | 23 120 -44.12% | 41 378 45.73% | 28 393 | |||||
|
Собствен капитал |
2 166 954 2.01% | 2 124 242 -3.97% | 2 211 997 -2.83% | 2 276 389 -0.36% | 2 284 585 2.18% | 2 235 939 16.3% | 1 922 490 2905.77% | 63 960 -10.79% | 71 700 -60.26% | 180 418 83.19% | 98 487 361.69% | 21 332 -67.14% | 64 911 11.21% | 58 366 | |||||
|
Парични средства |
152 493 -25.29% | 204 118 -36.95% | 323 737 -18.28% | 396 145 3.95% | 381 082 30.96% | 290 997 143.89% | 119 314 756.96% | 13 923 -16.89% | 16 752 -48.98% | 32 835 2298.47% | 1 369 165.31% | 516 -91.31% | 5 941 -39.65% | 9 844 |
| Година | Служители |
|---|---|
| 2021 | 623 -84.52% |
| 2020 | 4024 514.35% |
| 2019 | 655 -84.32% |
| 2018 | 4177 563.02% |
| 2017 | 630 -6.94% |
| 2016 | 677 -8.02% |
| 2015 | 736 6.05% |
| 2014 | 694 41.06% |
| 2013 | 492 |