| Фирма | От дата | Роля | Дял | Приходи | Персонал |
|---|---|---|---|---|---|
| ПАРК МАРКОВО ЕООД | 01.06.2017 | Едноличен собственик на капитала | 100% | 10М-100M лв. | 127 |
| КАЛЕРО 2019 ООД | 18.09.2019 | Съдружник | 54% | 100k-1M лв. |
| Година | 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Приход | 1 896 -95.01% | 38 013 -14.62% | 44 521 12.85% | 39 453 | 32 820 3.92% | 31 582 19.24% | 26 485 43.43% | 18 466 105.34% | 8 993 88.73% | 4 765 100.97% | 2 371 276.95% | 629 | ||||||
|
Счетоводна печалба |
1 388 -62.93% | 3 744 30.64% | 2 866 0.32% | 2 857 | 1 361 9.67% | 1 241 242.97% | -868 0% | -868 -590.4% | 177 88.3% | 94 248.15% | 27 237.5% | 8 | ||||||
|
Оперативни разходи |
502 | 34 189 | 41 477 | 36 381 | 28 775 | 29 806 | 24 573 | 18 971 | 8 077 | 4 502 | 2 320 | 621 | ||||||
|
Разходи за персонала |
124 -95.9% | 3 028 -3.35% | 3 133 56.03% | 2 008 | 1 573 19.08% | 1 321 33.3% | 991 21.6% | 815 149.24% | 327 78.69% | 183 157.75% | 71 545.45% | 11 | ||||||
| Нетен марж | 73.21% 643.27% | 9.85% 53% | 6.44% -11.1% | 7.24% | 4.15% 5.53% | 3.93% 219.9% | -3.28% 30.28% | -4.7% -338.82% | 1.97% -0.23% | 1.97% 73.23% | 1.14% -10.46% | 1.27% | ||||||
| Вписан в ТР | ||||||||||||||||||
| Финансов отчет |
| Година | 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Общо активи | 42 837 -3.38% | 44 334 226.18% | 13 592 2.74% | 13 230 5.18% | 12 579 20.29% | 10 457 21.86% | 8 581 3.86% | 8 262 7.24% | 7 704 234.08% | 2 306 -0.99% | 2 329 -0.72% | 2 346 369.2% | 500 | |||||
|
Дълготрайни активи |
14 943 13.77% | 13 134 38.21% | 9 503 -0.8% | 9 580 5.93% | 9 044 13.18% | 7 991 9.5% | 7 298 -2.94% | 7 519 2.29% | 7 351 283.06% | 1 919 -0.98% | 1 938 12.54% | 1 722 586.06% | 251 | |||||
|
Материални запаси |
21 -99.16% | 2 490 3.75% | 2 400 23.46% | 1 944 11.66% | 1 741 -0.57% | 1 751 70% | 1 030 48.84% | 692 111.62% | 327 -11.86% | 371 -2.88% | 382 620.75% | 53 152.38% | 21 | |||||
|
Общо задължения |
77 -82.3% | 435 -92.38% | 5 705 0% | 5 705 -23.35% | 7 443 1.61% | 7 325 10.72% | 6 616 -12.14% | 7 530 -9.51% | 8 321 314.6% | 2 007 -9.14% | 2 209 -4.37% | 2 310 374.33% | 487 | |||||
|
Задължения към фин. инст. |
218 -90.25% | 2 235 0% | 2 235 -63.04% | 6 047 1.92% | 5 933 -6.08% | 6 317 -10.28% | 7 041 -9.15% | 7 750 300.93% | 1 933 -7.38% | 2 087 0.77% | 2 071 329.67% | 482 | ||||||
| Вземания общо | 26 175 -3.81% | 27 211 1787.03% | 1 442 -57.74% | 3 412 100.71% | 1 700 147.81% | 686 466.94% | 121 450% | 22 214.29% | 7 -30% | 10 150% | 4 -99.27% | 545 54400% | 1 | |||||
|
Собствен капитал |
12 662 3.4% | 12 246 30.37% | 9 393 37.14% | 6 849 59.06% | 4 306 37.48% | 3 132 61.94% | 1 934 169.74% | 717 215.27% | -622 -308.03% | 299 149.17% | 120 233.33% | 36 176.92% | 13 | |||||
|
Парични средства |
3 744 0% | 3 744 4106.74% | 89 0% | 89 -1.11% | 90 210.34% | 29 -78.03% | 132 355.17% | 29 52.63% | 19 375% | 4 -20% | 5 -80.77% | 26 -88.55% | 227 |
| Година | Служители |
|---|---|
| 2021 | 13 -45.83% |
| 2020 | 24 -17.24% |
| 2019 | 29 -93.41% |
| 2018 | 440 2.56% |
| 2017 | 429 14.71% |
| 2016 | 374 6.86% |
| 2015 | 350 14.01% |
| 2014 | 307 31.2% |
| 2013 | 234 |