REAL METROMAT ESTATE SRL
- J35/536/2010TIMISdin 01.04.2010
- J05/1256/2011BIHORdin 22.06.2011in vigoare
ONRC
ONRC
ANAF · anul 2020
ANAF · 30.06.2026
conform SEAP
Firmele sunt cele care au sediul social azi la aceeasi adresa, dupa cheia de adresa a registrului. O adresa comuna nu inseamna neaparat o legatura reala: intr-o cladire de birouri stau zeci de firme fara nimic intre ele. Informativ, nu dovada.
| Nume | Cotă Capital |
|---|---|
| persoanăadministrator | 100% |
| 1 deținător în act | 100% |
Sumarul provine din actele publicate în Monitorul Oficial partea a IV-a și reflectă starea de la data fiecărui act. Informativ, nu dovadă.
Sursa: portalul instantelor de judecata (portal.just.ro / ECRIS), indexat periodic. Legatura dosar–firma se calculeaza la indexare, potrivind exact denumirile cunoscute ale firmei (inclusiv cele anterioare) cu numele partilor; cand denumirea e purtata de mai multe firme, dosarul apare doar ca potrivire probabila.
Cine mai are sediul social la aceste adrese se vede in Conexiuni cu alte firme, in tabul „Adrese".
| An | Cifra de afaceri | Profit / Pierdere | Datorii totale | Active fixe | Active circulante | Capitaluri proprii | Nr. salariati |
|---|---|---|---|---|---|---|---|
| 2016 | 0 RON | -33.191.003 RON | 66.359.739 RON | 130 RON | 32.351.775 RON | -34.007.834 RON | — |
| 2015 | 0 RON | -2.067 RON | 66.122.381 RON | 130 RON | 65.305.420 RON | -816.831 RON | — |
| 2014 | 0 RON | -1.743 RON | 66.120.340 RON | 130 RON | 65.305.446 RON | -814.764 RON | — |
| 2013 | 0 RON | -3.016 RON | 66.118.597 RON | 130 RON | 65.305.446 RON | -813.021 RON | — |
| 2012 | 0 RON | -9 RON | 66.114.806 RON | 130 RON | 65.348.072 RON | -766.604 RON | — |
| 2011 | 45.590.092 RON | -52.044 RON | 66.114.985 RON | 130 RON | 65.305.633 RON | -809.222 RON | 1 |
| 2010 | 38.186.689 RON | -987.585 RON | 34.349.315 RON | 280 RON | 20.761.766 RON | -987.385 RON | — |
| Indicator | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 |
|---|---|---|---|---|---|---|---|
| Cifra de afaceri | 0 RON | 0 RON | 0 RON | 0 RON | 0 RON | 45.590.092 RON | 38.186.689 RON |
| Venituri totale | 50.373 RON | 0 RON | 0 RON | 0 RON | 0 RON | 45.595.452 RON | 38.244.945 RON |
| Cheltuieli totale | 33.241.376 RON | 2.067 RON | 1.743 RON | 3.016 RON | 9 RON | 45.647.496 RON | 38.996.203 RON |
| Pierdere bruta | 33.191.003 RON | 2.067 RON | 1.743 RON | 3.016 RON | 9 RON | 52.044 RON | 751.258 RON |
| Pierdere neta | 33.191.003 RON | 2.067 RON | 1.743 RON | 3.016 RON | 9 RON | 52.044 RON | 987.585 RON |
| Active fixe (imobilizate) | 130 RON | 130 RON | 130 RON | 130 RON | 130 RON | 130 RON | 280 RON |
| Active circulante | 32.351.775 RON | 65.305.420 RON | 65.305.446 RON | 65.305.446 RON | 65.348.072 RON | 65.305.633 RON | 20.761.766 RON |
| Stocuri | -868.018 RON | 32.146.996 RON | 32.146.996 RON | 32.146.996 RON | 32.146.996 RON | 32.146.996 RON | 13.532.967 RON |
| Creante | 33.147.852 RON | 33.146.844 RON | 33.146.845 RON | 33.146.845 RON | 33.189.471 RON | 33.147.032 RON | 7.219.898 RON |
| Casa si conturi la banci | 71.941 RON | 11.580 RON | 11.605 RON | 11.605 RON | 11.605 RON | 11.605 RON | 8.901 RON |
| Cheltuieli in avans | — | — | — | — | — | — | 15.650.795 RON |
| Datorii totale | 66.359.739 RON | 66.122.381 RON | 66.120.340 RON | 66.118.597 RON | 66.114.806 RON | 66.114.985 RON | 34.349.315 RON |
| Venituri in avans | — | — | — | — | — | — | 3.050.911 RON |
| Capitaluri proprii | -34.007.834 RON | -816.831 RON | -814.764 RON | -813.021 RON | -766.604 RON | -809.222 RON | -987.385 RON |
| Capital subscris varsat | 200 RON | 200 RON | 200 RON | 200 RON | 200 RON | 200 RON | 200 RON |
| Nr. mediu salariati | — | — | — | — | — | 1 | — |