Purpose of the company: The execution of measures for innovative sewer and pipeline rehabilitation of all media and sizes, planning, consulting, as well as the development of trenchless boring and pipe renovation systems for all media and sizes, acquiring, renting, and trading of equipment for pipe and sewer rehabilitation as well as for the...
Adress: Karlstr. 13 a 66557 Illingen Deutschland
Local court: 66119 SaarbrĂŒcken
Register number: HRB15080
The average total assets of company karo-san GmbH over the last 10 years is 2.932.543,06 âŹ.
The company karo-san GmbH as of the reporting date 2022 a bank balance of approx. 1.104,08 âŹ. That is -99,80 % less than the average bank balance in the industry of companies with this total assets.
The equity ratio of karo-san GmbH is 8,86 % in the year 2022. In total, that ist 224.925,41 âŹ.
The average absolute change in liquidity of the company karo-san GmbH compared to the previous year amounts to -109,19 âŹ. That means that the liquidity of the company has increased or decreased by this amount per year on average.
The cash flow of the company karo-san GmbH amounts to -982,73 ⏠in the year 2022.
The publication dates refer to the date on which the company published its annual financial statements in the company register. This information can provide important insights into the management of the company.
The information presented here comes from publicly accessible sources, in particular the Unternehmensregister, in which companies are obliged to disclose their annual financial statements (Sections 325 et seq. of the German Commercial Code (HGB)).
All key financial figures are based on the companies' published annual financial statements. The information is analysed automatically by Bonscore, without content processing or interpretation.
Please note that despite the utmost care, no guarantee can be given that the information provided is up-to-date, complete or correct.