Financial statements Absolut Capital Group Polska Spółka Z Ograniczoną Odpowiedzialnością Development Project

Balance sheet of Absolut Capital Group Polska Spółka Z Ograniczoną Odpowiedzialnością Development Project

Company age:
Age:
18 y. 10 m. 5 d.
Company suspended its operations from 2024-04-11

Balance sheet data of ABSOLUT CAPITAL GROUP POLSKA SPÓŁKA Z OGRANICZONĄ ODPOWIEDZIALNOŚCIĄ DEVELOPMENT PROJECT

Year
2018
2019
2020
2021
2022
2023
Total assets 203 735,90 196 754,99 95 726,00 96 025,47 96 324,94 95 644,41
A. Fixed assets 100 925,96 162 512,09 61 885,60 0,00 62 487,44 62 784,01
B. Current assets 102 809,94 34 242,90 33 840,40 96 025,47 33 837,50 32 860,40
C. Share capital contributions (basic funds) - 0,00 0,00 0,00 0,00 0,00
D. Own shares (stocks) - 0,00 0,00 0,00 0,00 0,00
Total liabilities 203 735,90 196 754,99 95 726,00 96 025,47 96 324,94 95 644,41
A. Equity -548 428,34 -440 068,44 -443 425,70 -447 003,73 -453 846,92 -457 783,11
B. Liabilities and provisions for liabilities 752 164,24 636 823,43 539 151,70 543 029,20 550 171,86 553 427,52
I. Long-term liabilities - 475 425,38 498 525,91 0,00 509 546,07 507 944,41
II. Short-term liabilities 749 839,24 158 935,05 38 900,79 541 304,20 38 900,79 43 758,11
Financial data is automatically retrieved from the EKRS webpage of the Ministry of Justice.

  • Fixed Assets - Assets held for a longer period, typically longer than a year, such as real estate or machinery.
  • Current Assets - Assets intended to be used or sold within a year, such as inventory, receivables, and cash.
  • Equity - The net value of a company's assets, representing the difference between its assets and liabilities.
  • Long-Term Liabilities - Financial obligations to be repaid over a period longer than a year, such as loans or bonds.
  • Short-Term Liabilities - Financial obligations to be repaid within a year, such as payables to suppliers or short-term loans.
  • Reserve Capital - A portion of equity set aside for specific purposes, such as covering losses or business development.