Financial statements Przedsiębiorstwo Produkcyjno-Usługowo-Handlowe J.m.mazur
Balance sheet data of PRZEDSIĘBIORSTWO PRODUKCYJNO-USŁUGOWO-HANDLOWE J.M.MAZUR
|
Year
|
2018
|
2019
|
2020
|
2021
|
2022
|
2023
|
|---|---|---|---|---|---|---|
| Total assets | 9 678 289,45 | 9 259 833,21 | 7 255 367,40 | 5 247 491,93 | 8 124 295,80 | 6 715 523,55 |
| A. Fixed assets | 2 962 431,61 | 2 552 001,34 | 2 363 254,50 | 2 402 257,65 | 2 348 058,58 | 2 732 928,25 |
| B. Current assets | 6 715 857,84 | 6 707 831,87 | 4 892 112,90 | 2 845 234,28 | 5 776 237,22 | 3 982 595,30 |
| C. Share capital contributions (basic funds) | - | - | - | - | - | - |
| D. Own shares (stocks) | - | - | - | - | - | - |
| Total liabilities | 9 678 289,45 | 9 259 833,21 | 7 255 367,40 | 5 247 491,93 | 8 124 295,80 | 6 715 523,55 |
| A. Equity | 5 802 237,70 | 5 605 971,82 | 3 484 210,92 | 3 757 091,27 | 3 930 466,01 | 4 028 928,73 |
| B. Liabilities and provisions for liabilities | 3 876 051,76 | 3 969 162,59 | 3 771 156,48 | 1 490 400,66 | 4 193 829,79 | 2 686 594,82 |
| I. Long-term liabilities | 0,00 | - | 0,00 | 88 256,78 | 728 139,18 | 684 418,42 |
| II. Short-term liabilities | 3 876 051,76 | 3 969 162,59 | 3 761 024,15 | 1 381 005,66 | 3 445 673,37 | 1 962 582,98 |
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.