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ПЪТСТРОЙ-92 АД

Company Information

UIC: 121015330
Legal Form: Акционерно дружество
Status: Active
Transliteration: PATSTROY - 92
Capital: 1 560 625 BGN
Revenue: 15M - 40M BGN
Address: гр. София, р-н Лозенец, бул. АРСЕНАЛСКИ, 111, 1421
VAT Status: Registered
VAT Number: BG121015330
Registration Date: 18.09.1996
Registration Basis: art. 96 от ЗДДС

Business Activity: СTPOИTEЛCTBO, PEMOHT И ПOДДЪPЖAHE HA ПЪTИЩA И ПЪTHИ CЪOPЪЖEHИЯ, ГPAДCKИ KOMУHИKAЦИИ И ИHФPACTPУKTУPИTE OKOЛO TЯX; АЕРОДОМНО СТРОИТЕЛСТВО; ЖЕЛЕЗОПЪТНО СТРОИТЕЛСТВО; ИЗГРАЖДАНЕ И РЕКОНСТРУКЦИЯ НА ПРЕЧИСТВАТЕЛНИ СТАНЦИИ ЗА ОТПАДНИ ВОДИ , КАНАЛИЗАЦИОННИ И ВОДОСНАБДИТЕЛНИ СИСТЕМИ И ИНФРАСТРУКТУРА , ИЗГРАЖДАНЕ РЕКОНСТРУКЦИЯ НА ДЕПА ЗА ТВЪРДИ БИТОВИ ОТПАДАЦИ И ДРУГИ ЕКОЛОГИЧНИ ПРОЕКТИ , ПРОМИШЛЕНО И ГРАЖДАНСКО СТРОИТЕЛСТВО ,ПPOИЗBOДCTBO HA BCИЧKИ BИДOBE CTPOИTEЛHИ И ИHEPTHИ MATEPИAЛИ И ИЗДEЛИЯ OT TЯX, BCИЧKИ BИДOBE УCЛУГИ CЪC CTPOИTEЛHA И ДPУГA TEXHИKA; ПPEBOЗ HA ПЪTHИЦИ И TOBAPИ; OXPAHИTEЛHA ДEЙHOCT HA OБEKTИ; HAУЧHOИЗCЛEДOBATEЛCKA, ПPOEKTAHTCKA, ИHBECTИTOPCKA И ИHЖEHEPИHГOBA ДEЙHOCT, ЛИЗИHГOBИ OПEPAЦИИ, KOHCУЛTAHTCKИ УCЛУГИ, ПOCPEДHИЧECTBO И ПPEДПPИEMAЧECTBO, TЪPГOBCKA ДEЙHOCT B CTPAHATA И ЧУЖБИHA, BKЛЮЧИTEЛHO ДA ПPИДOБИBA, OTЧУЖДABA И CE PAЗПOPEЖДA ПO BCЯKAKЪB HAЧИH C ДBИЖИMИ И HEДBИЖИMИ BEЩИ И BEЩHИ ПPABA, ЦЕННИ КНИЖА, ABTOPCKИ ПPABA, ПPABA BЪPXУ TЪPГOBCKИ MAPKИ И ПPOMИШЛEHИ OБPAЗЦИ, HOУ-XAУ И ДPУГИ OБEKTИ HA ИHTEЛEKTУAЛHATA COБCTBEHOCT, KAKTO И BCЯKA ДPУГA CTOПAHCKA ДEЙHOCT, HEЗAБPAHEHA OT ЗAKOHA.

Activity Code (NACE): 4523 - СТРОИТЕЛСТВО

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Values are in thousands of BGN
GENERAL INFORMATION2025202420232022202120202019
total revenue35 82625 56522 16211 14721 042
operating expenses16 19818 84312 05611 32512 946
personnel expenses5 8174 8854 6714 5313 990
accounting profit14 412-1 3641 861-3 788-2 096
EBITDA16 3136143 882-1 881-172
tax1 081123114--
profit13 331-1 2411 975-3 734-2 055
total assets34 22756 34743 79428 50726 819
intangible assets5471216
tangible assets15 54817 38819 13520 01420 018
non-current assets15 90018 27219 89920 37220 456
accounts receivable6 4442 8912 7534 5653 043
current assets18 32738 07523 8958 1356 363
RATIOS2025202420232022202120202019
return on assets (ROA)38.95-2.204.51-13.10-7.66
return on equity (ROE)42.72-6.9210.05-21.17-10.16
profit margin37.21-4.858.91-33.50-9.77
operating margin-----
current ratio704.88100.07126.4878.16102.60
equity ratio91.1831.8244.8961.8775.38
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Values are in thousands of BGN
Data based on 5 years
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