GEAR SLOT SRL
- J51/482/2015CALARASIdin 02.12.2015
- J2016000635232ILFOVdin 17.02.2016in vigoare
ONRC · 08.07.2026
ANAF · 19.08.2026
ANAF · 19.08.2026
ANAF · 30.06.2026
conform SEAP · 01.09.2026
satul Crivăţ
Vecinii nu se pot numara: nu am putut lega adresa de o cheie din registru.
Le-am cautat dupa strada si numar, nu dupa cheia registrului — o potrivire mai slaba decat a celorlalte randuri.
Sunt firmele care au sediul social aici azi, nu cele care erau aici cand era si firma asta.
Vecinii nu se pot numara: nu am putut lega adresa de o cheie din registru.
Le-am cautat dupa strada si numar, nu dupa cheia registrului — o potrivire mai slaba decat a celorlalte randuri.
Sunt firmele care au sediul social aici azi, nu cele care erau aici cand era si firma asta.
Firmele sunt cele care au sediul social azi la aceeasi adresa, dupa cheia de adresa a registrului — sau, unde cheia nu leaga nimic, dupa strada si numar, si randul o spune. 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 | 50% |
| persoanăadministrator | 50% |
| 2 deținători 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 |
|---|---|---|---|---|---|---|---|
| 2025 | 145.424.254 RON | 8.949.904 RON | 55.019.842 RON | 19.072.981 RON | 57.945.908 RON | 26.536.374 RON | 364 |
| 2024 | 109.291.102 RON | 3.079.547 RON | 47.705.942 RON | 22.959.283 RON | 39.852.589 RON | 18.964.250 RON | 202 |
| 2023 | 78.666.385 RON | 8.399.767 RON | 23.116.772 RON | 23.036.138 RON | 14.047.002 RON | 17.919.051 RON | 55 |
| 2022 | 75.238.829 RON | 8.270.384 RON | 21.554.464 RON | 18.091.343 RON | 8.933.741 RON | 9.519.284 RON | 30 |
| 2021 | 62.384.159 RON | 6.828.040 RON | 10.495.239 RON | 11.712.762 RON | 6.577.629 RON | 10.559.481 RON | 24 |
| 2020 | 31.669.389 RON | 2.894.083 RON | 4.490.883 RON | 6.292.822 RON | 4.624.642 RON | 7.152.495 RON | 18 |
| 2019 | 34.874.093 RON | 4.509.166 RON | 7.052.443 RON | 4.356.493 RON | 7.946.889 RON | 7.163.673 RON | 16 |
| 2018 | 27.162.114 RON | 3.556.161 RON | 4.780.556 RON | 2.389.748 RON | 6.222.122 RON | 5.433.457 RON | 14 |
| 2017 | 17.567.897 RON | 3.056.230 RON | 2.272.046 RON | 1.411.327 RON | 2.655.331 RON | 3.119.401 RON | 12 |
| 2016 | 3.627.067 RON | 393.244 RON | 1.760.150 RON | 1.057.474 RON | 544.462 RON | 423.171 RON | 3 |
| Indicator | 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 |
|---|---|---|---|---|---|---|---|---|---|---|
| Cifra de afaceri | 145.424.254 RON | 109.291.102 RON | 78.666.385 RON | 75.238.829 RON | 62.384.159 RON | 31.669.389 RON | 34.874.093 RON | 27.162.114 RON | 17.567.897 RON | 3.627.067 RON |
| Venituri totale | 146.394.305 RON | 110.541.850 RON | 79.196.153 RON | 75.952.369 RON | 62.551.049 RON | 32.010.820 RON | 35.087.401 RON | 27.221.560 RON | 17.589.411 RON | 3.635.795 RON |
| Cheltuieli totale | 135.682.621 RON | 106.911.857 RON | 69.505.286 RON | 66.368.716 RON | 54.578.270 RON | 28.695.284 RON | 29.833.790 RON | 23.042.535 RON | 14.017.796 RON | 3.168.034 RON |
| Profit brut | 10.711.684 RON | 3.629.993 RON | 9.690.867 RON | 9.583.653 RON | 7.972.779 RON | 3.315.536 RON | 5.253.611 RON | 4.179.025 RON | 3.571.615 RON | 467.761 RON |
| Profit net | 8.949.904 RON | 3.079.547 RON | 8.399.767 RON | 8.270.384 RON | 6.828.040 RON | 2.894.083 RON | 4.509.166 RON | 3.556.161 RON | 3.056.230 RON | 393.244 RON |
| Active fixe (imobilizate) | 19.072.981 RON | 22.959.283 RON | 23.036.138 RON | 18.091.343 RON | 11.712.762 RON | 6.292.822 RON | 4.356.493 RON | 2.389.748 RON | 1.411.327 RON | 1.057.474 RON |
| Active circulante | 57.945.908 RON | 39.852.589 RON | 14.047.002 RON | 8.933.741 RON | 6.577.629 RON | 4.624.642 RON | 7.946.889 RON | 6.222.122 RON | 2.655.331 RON | 544.462 RON |
| Stocuri | 241.279 RON | 154.578 RON | 151.504 RON | 133.679 RON | 0 RON | 2.492 RON | 17.132 RON | 71.393 RON | 95.031 RON | 25.941 RON |
| Creante | 20.717.836 RON | 15.577.356 RON | 8.565.279 RON | 7.011.376 RON | 4.390.160 RON | 1.949.555 RON | 1.156.316 RON | 544.222 RON | 359.117 RON | 77.371 RON |
| Casa si conturi la banci | 36.986.793 RON | 24.120.655 RON | 5.330.219 RON | 1.788.686 RON | 2.187.469 RON | 2.672.595 RON | 6.773.441 RON | 5.606.507 RON | 2.201.183 RON | 441.150 RON |
| Cheltuieli in avans | 5.114.518 RON | 4.434.884 RON | 4.529.247 RON | 4.299.760 RON | 3.015.425 RON | 767.289 RON | 1.937.713 RON | 1.616.104 RON | 1.324.789 RON | 581.385 RON |
| Datorii totale | 55.019.842 RON | 47.705.942 RON | 23.116.772 RON | 21.554.464 RON | 10.495.239 RON | 4.490.883 RON | 7.052.443 RON | 4.780.556 RON | 2.272.046 RON | 1.760.150 RON |
| Provizioane | 577.191 RON | 576.564 RON | 576.564 RON | 251.096 RON | 251.096 RON | 41.375 RON | 24.979 RON | 13.961 RON | — | 0 RON |
| Capitaluri proprii | 26.536.374 RON | 18.964.250 RON | 17.919.051 RON | 9.519.284 RON | 10.559.481 RON | 7.152.495 RON | 7.163.673 RON | 5.433.457 RON | 3.119.401 RON | 423.171 RON |
| Capital subscris varsat | 30.000 RON | 30.000 RON | 30.000 RON | 30.000 RON | 30.000 RON | 30.000 RON | 30.000 RON | 30.000 RON | 30.000 RON | 30.000 RON |
| Nr. mediu salariati | 364 | 202 | 55 | 30 | 24 | 18 | 16 | 14 | 12 | 3 |