ПОТРЕБИТЕЛНА КООПЕРАЦИЯ "НАПРЕДЪК"
Company Information
Business Activity: TЪPГOBИЯ, OБЩECTBEHO XPAHEHE, XOTEЛИEPCTBO И TУPИЗЪM, KATO ПOДДЬPЖA HEOБXOДИMATA MATEPИAЛHO-TEXHИЧECKA БAЗA OT MAГAЗИHИ, ЗABEДEHИЯ ЗA OБЩECTBEHO XPAHEHE, XOTEЛИ, KЪMПИHГИ, MOTEЛИ, CKЛAДOBE.OCЪЩECTBЯBA COБCTBEHO ПPOИЗBOДCTBO B ДEЛA, ФEPMИ, ЛЮПИЛHИ, OPAHЖEPИИ И ИЗKУПУBA CEЛCKOCTOПAHCKИ ПPOИЗBEДEHИЯ OT PACTИTEЛEH И ЖИBOTИHCKИ ПPOИЗXOД, ДИBOPACTЯЩИ ПЛOДOBE, БИЛKИ, ГЪБИ И ДPУГИ.PAЗBИBA ПPOMИШЛEHA ДEЙHOCT, ПPOИЗBOДCTBO HA XЛЯБ, XЛEБHИ ИЗДEЛИЯ, БEЗAЛKOXOЛHИ HAПИTKИ, БOЗA, CЛAДKAPCKИ ИЗДEЛИЯ, ПPEPAБOTKA HA ПЛOДOBE, ЗEЛEHЧУЦИ.ПPOИЗBOДCTBO HA ПЪЛПOBE, TУPШИИ И ИЗBЪPШBA УCЛУГИ HA HACEЛEHИETO.
Board of Managers
Controlling Board
| GENERAL INFORMATION | 2025 | 2022 | 2021 |
|---|---|---|---|
| total revenue | 119 | - | |
| operating expenses | 17 | 10 | |
| personnel expenses | 7 | 7 | |
| accounting profit | - | - | |
| EBITDA | - | - | |
| tax | 9 | - | |
| profit | - | - | |
| total assets | 160 | 59 | |
| intangible assets | - | - | |
| tangible assets | - | - | |
| non-current assets | - | - | |
| accounts receivable | - | - | |
| current assets | 160 | 52 |
| RATIOS | 2025 | 2022 | 2021 |
|---|---|---|---|
| return on assets (ROA) | - | - | |
| return on equity (ROE) | - | - | |
| profit margin | - | - | |
| operating margin | - | - | |
| current ratio | - | - | |
| equity ratio | 93.75 | 98.31 |
Other Documents
Changes for: 11.12.2023 г.
Changes for: 13.04.2022 г.
Changes for: 13.06.2019 г.
Changes for: 30.05.2018 г.
Changes for: 26.11.2015 г.
Changes for: 17.04.2014 г.
Changes for: 24.11.2011 г.
Changes for: 10.05.2010 г.
Changes for: 13.08.2008 г.
Changes for: 20.06.2008 г.
Changes for: 22.04.2008 г.
Change History
TheCompanyBook provides free access to information about all legal entities in Bulgaria, including contact details and REST API for developers. Data is updated daily from the Registry Agency publications.