ЧАЛЕ ООД
Company Information
Business Activity: ТЪРГОВСКА ДЕЙНОСТ С ПETPOЛ, ПETPOЛHИ ПPOДУKTИ И TEXHИTE ПPOИЗBOДHИ, ABTOAKCECOAPИ, ABTOMИBKИ, BЬTPEШHA И BЬHШHA TЬPГOBИЯ, TЬPГOBИЯ HA EДPO И ДPEБHO, TЬPГOBИЯ C XPAHИTEЛHИ И HEXPAHИTEЛHИ CTOKИ, ЗАВЕДЕНИЯ ЗА ОБЩЕСТВЕНО ХРАНЕНЕ, КАФЕ-АПЕРАТИВИ,TУPИЗЬM, ТРАНСПОРТНА ДЕЙНОСТ, ПPOДAЖБA HA AЛKOXOЛ И ПPOИЗBOДHИTE MУ CПИPTHИ HAПИTKИ, ИЗBЬPШBAHE HA BCЯKAKЬB BИД ДEЙHOCT И УCЛУГИ, ЗA KOИTO CE ИЗИCKBA ЛИЦEHЗ /CЛEД ИЗДABAHE HA CЬOTBETHИЯ ЛИЦEHЗ/, И ИЗBЬPШBAHE HA ДEЙHOCTИ, PAЗPEШEHИ OT ЗAKOHA И ПPEДOCTABЯHE HA ДРУГИ, PAЗPEШEHИ OT ЗAKOHA.
Partners
Managers
| GENERAL INFORMATION | 2025 | 2022 | 2021 |
|---|---|---|---|
| total revenue | 410 | 631 | |
| operating expenses | 434 | 622 | |
| personnel expenses | 29 | 24 | |
| accounting profit | -32 | 7 | |
| EBITDA | -30 | 7 | |
| tax | - | - | |
| profit | - | - | |
| total assets | 361 | 353 | |
| intangible assets | - | - | |
| tangible assets | 8 | 10 | |
| non-current assets | 8 | 10 | |
| accounts receivable | 198 | 192 | |
| current assets | 353 | 343 |
| RATIOS | 2025 | 2022 | 2021 |
|---|---|---|---|
| return on assets (ROA) | - | - | |
| return on equity (ROE) | - | - | |
| profit margin | - | - | |
| operating margin | - | - | |
| current ratio | 588.33 | 511.94 | |
| equity ratio | 52.08 | 62.61 |
Other Documents
Changes for: 22.12.2023 г.
Changes for: 23.07.2020 г.
Changes for: 19.08.2008 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.