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NATURPRODUKT - Company Information, finance statistics

Date of updating data: 25.06.2015
Basic information
Business name NATURPRODUKT
PIN 31341187
TIN 2020364511
VAT number SK2020364511
Date create 03 February 1993
Company category Spoločnosť s ručením obmedzeným
Registered seat NATURPRODUKT
Nádražná 20
90028
Ivanka pri Dunaji
Financial information
Sales and income 5 718 656 €
Profit 509 850 €
Capital 1 865 581 €
Own capital 1 331 799 €
Contact Information
Email naturprodukt@naturprodukt.sk
Phone(s) 0245647501, 0245647539, 0245647624, 0245647625, 0245647626, 0245647632, 0245647633, 0245943213, 0245
Fax(es) 0245945288
Date of updating data: 25.06.2015
ASSETS 2014
TOTAL ASSETS line. 02 + r. 33 + r. 74 1,809,634
A. Non-current assets r. 03 + r. 11 + r. 21 235,324
A.I. Non-current intangible assets total (r. 04 to r. 10) 0
A.I.1. Capitalised development costs (012) - /072, 091A/ 0
2. Software (013) - /073, 091A/ 0
3. Valuable rights (014) - /074, 091A/ 0
4. Goodwill (015) - /075, 091A/ 0
5. Other non-current intangible assets (019, 01X) - /079, 07X, 091A/ 0
6. Acquired long-term intangible assets (041) - /093/ 0
7. Advances on long-term intangible assets (051) - /095A/ 0
A.II. Non-current tangible assets total (r. 12 to r. 20) 235,324
A.II.1. Land (031) - /092A/ 55,214
2. Buildings (021) - /081, 092A/ 72,293
3. Separate movable assets and sets of movable assets (022) - /082, 092A/ 107,300
4. Production units of permanent crops (025) - /085, 092A/ 0
5. Basic herd and draft animals (026) - /086, 092A/ 0
6. Other non-current tangible assets (029, 02X, 032) - /089, 08X, 092A/ 0
7. Acquired long-term tangible assets (042) - /094/ 517
8. Advances on long-term tangible assets (052) - /095A/ 0
9. The impairment loss to the acquired assets (+/- 097) +/- 098 0
A.III. Non-current financial assets total (r. 22-r. 32) 0
A.III.1. Equity investments and shares in affiliated entities (061A, 062A, 063A) - /096A/ 0
2. Equity securities and shares with podielovou participation except in affiliated entities (062A) - /096A/ 0
3. Other feasible securities and shares (063A) - /096A/ 0
4. Loans to affiliated entities (066A) - /096A/ 0
5. Borrowings under the proportionate participation in addition to affiliated entities (066A) - /096A/ 0
6. Other loans (067A) - /096A/ 0
7. Debt securities and other long-term financial assets (065A, 069A,06XA) - /096A/ 0
8. Loans and other long-term financial assets with a remaining maturity of not more than one year (066A, 067A, 069A, 06XA) - /096A/ 0
9. Accounts in banks with a commitment longer than one year (22XA) 0
10. Acquisition total non-current financial assets (043) - /096A/ 0
11. Advances on long-term financial assets (053) - /095A/ 0
B. Current assets r. 34 + r. 41 + r. 53 + r. 66 + r. 71 1,560,142
B.I. Total inventory (r. 35 to r. 40) 688,971
B.I.1. Material (112, 119, 11X) - /191, 19X/ 47,758
2. Work in progress and semi-finished products of own production (121, 122, 12X) - /192, 193, 19X/ 0
3. Products (123) - /194/ 0
4. Animals (124) - /195/ 0
5. Goods (132, 133, 13X, 139) - /196, 19X/ 641,213
6. Advance payments for inventory (314A) - /391A/ 0
B.II. Long-term receivables sum (r. 42 + r. 46 to r. 52) 20,240
B.II.1. Trade receivables the sum of (r. 43 to r. 45) 11,651
1.a. Trade receivables owed by affiliated entities (311A, 312A, 313A, 314A, 315A, 31XA) - /391A/ 0
1.b. Trade receivables in the framework of the proportionate participation of the addition of receivables to affiliated entities (311A, 312A, 313A, 314A, 315A, 31XA) - /391A/ 0
1.c. Other trade receivables (311A, 312A, 313A, 314A, 315A, 31XA) - /391A/ 11,651
2. Net value of contract (316A) 0
3. Other loans to affiliated entities (351A) - /391A/ 0
4. Other claims within the proportionate participation of the addition of receivables to affiliated entities (351A) - /391A/ 0
5. Receivables from partners, members and association (354A, 355A, 358A, 35XA) - 391A 0
6. Receivables from derivative operations (373A, 376A) 0
7. Other receivables (335A, 336, 33XA, 371A, 374A, 375A, 378A) - /391A/ 0
8. Deferred tax asset (481A) 8,589
B.III. Short-term receivables sum (r. 54 + r. 58 to r. 65) 654,415
B.III.1. Trade receivables the sum of (r. 55 to r. 57) 652,870
1.a. Trade receivables owed by affiliated entities (311A, 312A, 313A, 314A, 315A, 31XA) - /391A/ 37,227
1.b. Trade receivables in the framework of the proportionate participation of the addition of receivables to affiliated entities (311A, 312A, 313A, 314A, 315A, 31XA) - /391A/ 0
1.c. Other trade receivables (311A, 312A, 313A, 314A, 315A, 31XA) - /391A/ 615,643
2. Net value of contract (316A) 0
3. Other loans to affiliated entities (351A) - /391A/ 0
4. Other claims within the proportionate participation of the addition of receivables to affiliated entities (351A) - /391A/ 0
5. Receivables from partners, members and association (354A, 355A, 358A, 35XA, 398A) - /391A/ 0
6. Social security (336) - /391A/ 0
7. Tax assets and subsidies (341, 342, 343, 345, 346, 347) - /391A/ 68
8. Receivables from derivative operations (373A, 376A) 0
9. Other receivables (335A, 33XA, 371A, 374A, 375A, 378A) - /391A/ 1,477
B.IV. Short-term financial assets total (r. 67 to r. 70) 0
B.IV.1. Short-term financial assets in affiliated entities (251A, 253A, 256A, 257A, 25XA) - /291A, 29XA/ 0
2. Short-term financial assets without short-term financial assets in affiliated entities (251A, 253A, 256A, 257A, 25XA) - /291A, 29XA/ 0
3. Own shares and own business shares (252) 0
4. Acquisition total short-term financial assets (259, 314A) - /291A/ 0
B.V. Financial accounts r. 72 + r. 73 196,516
B.V.1. Money (211, 213, 21X) 7,554
2. Bank accounts (221A, 22X +/- 261) 188,962
C. Total accruals (r. 75 to r. 78) 14,168
C.1. Prepaid expenses long-term (381A, 382A) 0
2. Prepaid expenses short-term (381A, 382A) 13,920
3. Accrued income long-term (385A) 0
4. Accrued income short-term (385A) 248
LIABILITIES 2014
TOTAL EQUITY AND LIABILITIES r. 80 + r. 101 + r. 141 1,809,634
A. Equity r. 81 + r. 85 + r. 86 + r. 87 + r. 90 + r. 93 + r. 97 + r. 100 1,401,649
A.I. Capital sum (r. 82 to r. 84) 9,959
A.I.1. Share capital (411 or +/- 491) 9,959
2. Change in share capital +/- 419 0
3. Receivables for subscribed capital (/-/353) 0
A.II. Share premium (412) 0
A.III. Other capital funds (413) 9,520
A.IV. The legal reserve funds r. 88 + r. 89 996
A.IV.1. Legal reserve fund indivisible fund (417A, 418, 421A, 422) 996
2. Reserve for own shares and own ownership interests (417A, 421A) 0
A.V Other funds from profit r. 91 + r. 92 22,426
A.V.1. Statutory funds (423, 42X) 0
2. Other funds (427, 42X) 22,426
A.VI. Valuation differences from revaluation total (r. 94 to r. 96) 0
A.VI.1. Valuation differences from revaluation of assets and liabilities (+/- 414) 0
2. Valuation differences from capital participation (+/- 415) 0
3. Valuation differences from revaluation in the event of a merger, amalgamation into a separate entity and division (+/- 416) 0
A.VII. Profit / loss from previous years r. 98 + r. 99 848,898
A.VII.1. Retained earnings from previous years (428) 848,898
2. Accumulated losses from previous years (/-/429) 0
A.VIII. Profit / loss for the accounting period after tax /+-/ r. 01 - r. 81 + r. 85 + r. 86 + r. 87 + r. 90 + r. 93 + r. 97 + r. 101 + r. 141) 509,850
B. Liabilities line. 102 + r. 118 + r. 121 + r. 122 + r. 136 + r. 139 + r. 140 407,985
B.I. Long-term liabilities total (r. 103 + r. 107 to r. 117) 26,815
B.I.1. Long-term trade payables total (r. 104-r. 106) 0
1.a. Trade payables to affiliated entities (321A, 475A, 476A) 0
1.b. Trade payables under the proportionate participation in addition to the liabilities to affiliated entities (321A, 475A, 476A) 0
1.c. Other payables (321A, 475A, 476A) 0
2. Net value of contract (316A) 0
3. Other liabilities to affiliated entities (471, 47XA) 0
4. Other liabilities within the local participation in addition to the liabilities to affiliated entities (471, 47XA) 0
5. Other long-term liabilities (479A, 47XA) 23,975
6. Long-term advance payments received (475A) 0
7. Long-term bills of exchange payable (478A) 0
8. Issued bonds issued (473A/-/255A) 0
9. Liabilities from social fund (472) 2,840
10. Other long-term liabilities (336, 372A, 474A, 47XA) 0
11. Long-term liabilities from derivative operations (373A, 377A) 0
12. Deferred tax liability (481A) 0
B.II. Long-term provisions r. 119 + r. 120 0
B.II.1. Legal provisions (451A) 0
2. Other provisions (459A, 45X) 0
B.III Long-term bank loans (461A, 46XA) 0
B.IV. Short-term liabilities total (r. 123 + r. 127 to r. 135) 327,645
B.IV.1. Trade payables total (r. 124 to r. 126) 165,119
1.a. Trade payables to affiliated entities (321A, 322A, 324A, 325A, 326A, 32XA, 475A, 476A, 478A, 47XA) 0
1.b. Trade payables under the proportionate participation in addition to the liabilities to affiliated entities (321A, 322A, 324A, 325A, 326A, 32XA, 475A, 476A, 478A, 47XA) 0
1.c. Other payables (321A, 322A, 324A, 325A, 326A, 32XA, 475A, 476A, 478A, 47XA) 165,119
2. Net value of contract (316A) 0
3. Other liabilities to affiliated entities (361A, 36XA, 471A, 47XA) 0
4. Other liabilities within the local participation in addition to the liabilities to affiliated entities (361A, 36XA, 471A, 47XA) 0
5. Liabilities to the company and the association,(364, 365, 366, 367, 368, 398A, 478A, 479A) 3,405
6. Liabilities to employees (331, 333, 33X, 479A) 19,850
7. Liabilities from social insurance (336) 18,987
8. Tax liabilities and subsidies (341, 342, 343, 345, 346, 347, 34X) 91,464
9. Liabilities from derivative operations (373A, 377A) 0
10. Other liabilities (372A, 379A, 474A, 475A, 479A, 47XA) 28,820
B.V. Short-term provisions r. 137 + r. 138 53,525
B.V.1. Statutory reserves (323A, 451A) 49,525
2. Other reserves (323A, 32X, 459A, 45XA) 4,000
B.VI. Current bank loans (221A, 231, 232, 23X, 461A, 46XA) 0
B.VII. Short-term financial assistance (241, 249, 24X, 473A, /-/255A) 0
C. Total accruals (r. 142 to r. 145) 0
C.1. Accrued expenses long-term (383A) 0
2. Accrued expenses kratkodobé (383A) 0
3. Deferred revenue long-term (384A) 0
4. Deferred income short-term (384A) 0
Date of updating data: 25.06.2015
Income and expenses 2014
* Net turnover (part of the accounting tr. 6 according to the law) 5,652,009
** Income from the economic activity of the total sum (r. 03 to r. 09) 5,718,656
I. Revenues from the sale of goods (604, 607) 5,596,100
II. Revenues from sales of own products (601) 0
III. Revenues from sale of services (602, 606) 55,909
IV. Changes in inventory own work capitalized in inventories (+/-) (účtová group of 61) 0
V. Activation (účtová a group of 62) 0
VI. Revenues from sales of intangible fixed assets, tangible fixed assets and materials (641, 642) 8,983
VII. Other revenues from economic activity (644, 645, 646, 648, 655, 657) 57,664
** The cost of economic activity along r. 11 + r. 12 + r. 13 + r.14 + r. 15 + r. 20 + r. 21 + r. 24 + r. 25 + r. 26 5,048,776
A. The costs incurred for the purchase of goods sold (504, 507) 2,699,924
B. Consumption of material, energy and other non-inventory items supplies (501, 502, 503) 233,702
C Impairment losses on inventories (+/-) (505) 0
D. Services (účtová group of 51) 1,476,533
E. Personnel expenses (r. 16 to r. 19) 530,814
E.1. Wages and salaries (521, 522) 381,965
2. Remuneration of members of the company bodies and cooperative (523) 0
3. The cost of social insurance (524, 525, 526) 132,853
4. Social expenses (527, 528) 15,996
F. Taxes and fees (účtová group of 53) 20,247
G. Depreciation and impairment losses on non-current intangible assets and tangible fixed assets (r. 22 + r. 23) 75,119
G.1. Depreciation of intangible assets and property, plant and equipment (551) 75,119
2. Impairment losses on non-current intangible assets and tangible fixed assets (+/-) (553) 0
H. Residual price of sold long-term assets and material sold (541, 542) 0
I. Allowance for bad debts (+/-) (547) -939
J. Other costs of economic activity (543, 544, 545, 546, 548, 549, 555, 557) 13,376
*** Profit / loss from operating activities (+/-) (r. 02 - r. 10) 669,880
* Added value (r. 03 + r. 04 + r. 05 + r. 06 + r. 07) - (r. 11 + r. 12 + r. 13 + r. 14) 1,241,850
** Revenues from financial activities total r. 30 + r. 31 + r. 35 + r. 39 + r. 42 + r. 43 + r. 44 180
VIII. Revenues from the sale of securities and shares (661) 0
IX. Income from non-current financial assets total (r. 32 to r. 34) 0
IX.1. Income from securities and shares of affiliated entities (665) 0
2. Income from securities and shares in proportionate participation in addition to the revenues of the affiliated entities (665) 0
3. Other income from securities and shares (665A) 0
X. Proceeds from short-term financial assets total (r. 36 to r. 38) 0
X.1. Proceeds from short-term financial assets from affiliated entities (666A) 0
2. Proceeds from short-term financial assets in proportionate participation in addition to the revenues of the affiliated entities (666A) 0
3. Other income from short-term financial assets (666A) 0
XI. Interest income (r. 40 + r. 41) 15
XI.1. Interest income from linked entities (662A) 0
2. Other interest income (662A) 15
XII. Foreign exchange gains (663) 165
XIII. Income from the revaluation of securities and income from derivative transactions (664, 667) 0
XIV. Other income from financial activities (668) 0
**. The cost of financial activity along r. 46 + r. 47 + r. 48 + r. 49 + r. 52 + r. 53 + r. 54 7,775
K. Sold securities and shares (561) 0
L. The cost of short-term financial assets (566) 0
M. Impairment losses on financial assets (+/-) (565) 0
N. Interest cost (r. 50 + r. 51) 2,348
N.1. Interest expense for the linked entities (562A) 0
2. Other expense (562A) 2,348
O. Exchange rate losses (563) 653
P. The cost of revaluation of securities and the cost of derivative operations (564, 567) 0
Q. Other expenses on financial activities (568, 569) 4,774
*** Profit / loss from financial activities (+/-) (r. 29 - r. 45) -7,595
**** Profit / loss for the accounting period before tax (+/-) (r. 27 + r. 55) 662,285
R. Income tax (r. 58 + r. 59) 152,435
R.1. Income tax expense current (591, 595) 159,457
2. Deferred income taxes (+/-) (592) -7,022
S. The transfer of the shares in the profit or loss to a shareholder of (+/- 596) 0
**** Profit / loss for the accounting period after taxation (+/-) (r. 56 - r. 57 - r. 60) 509,850
Date of updating data: 25.06.2015
Date of updating data: 25.06.2015
  • PIN :31341187 TIN: 2020364511 VAT number: SK2020364511
  • Registered seat: NATURPRODUKT, Nádražná 20, 90028, Ivanka pri Dunaji
  • Date create: 03 February 1993
  • Directors:
    Person Function Registered seat Date
    Ing. Marian Kollega Na Kŕčoch 413/10 Chorvátsky Grob 900 25 03.02.1993
  • Owners:
    Person Function Share Registered seat
    Ing. Marian Kollega 996 € (10%) Na Kŕčoch 413/10 Chorvátsky Grob 900 25
    NATURPRODUKT CZ spol. s r.o. 8 963 € (90%) Šestajovice Praha východ
    • History of changes in the company and the presentation of trade registers:
      23.02.2010Nové predmety činnosti:
      veľkodistribúcia liekov a zdravotníckych pomôcok
      29.03.2006Noví spoločníci:
      Ing. Marian Kollega Na Kŕčoch 413/10 Chorvátsky Grob 900 25
      Nový štatutárny orgán:
      Ing. Marian Kollega Na Kŕčoch 413/10 Chorvátsky Grob 900 25 Vznik funkcie: 03.02.1993
      28.03.2006Zrušeny spoločníci:
      Ing. Marian Kollega J. Stanislava 1 Bratislava
      Zrušeny štatutárny orgán:
      Ing. Marian Kollega J. Stanislava 1 Bratislava
      19.06.2000Nové predmety činnosti:
      kúpa tovaru za účelom jeho ďalšieho predaja a predaj konečnému spotrebiteľovi
      kúpa tovaru za účelom jeho ďalšieho predaja a predaj iným prevádzkovateľom živnosti
      sprostredkovateľská činnosť
      baliace činnosti
      prieskum trhu a verejnej mienky
      činnosť organizačných poradcov
      usporadúvanie výstav, trhov a kongresov
      reklamné služby
      rozšírovanie a vydávanie periodických a neperiodických publikácií v rozsahu voľnej živnosti
      poradenská činnosť v oblasti obchodu a služieb
      18.06.2000Zrušeny predmety činnosti:
      kúpa rozličného tovaru v rozsahu voľnej živnosti za účelom jeho ďaľšieho predaja a predaj
      28.10.1999Noví spoločníci:
      NATURPRODUKT CZ spol. s r.o. IČO: 48 401 722 Na Viničkách 638 Šestajovice Praha východ
      Ing. Marian Kollega J. Stanislava 1 Bratislava
      Nový štatutárny orgán:
      konateľ
      Ing. Marian Kollega J. Stanislava 1 Bratislava
      27.10.1999Zrušeny spoločníci:
      NATURPRODUKT spol. s r.o., Rodinná 13 Havířov Česká republika
      Ing. Marian Kollega J. Stanislava 1 Bratislava
      Zrušeny štatutárny orgán:
      konatelia
      Ing. Marian Kollega J. Stanislava 1 Bratislava
      25.09.1998Noví spoločníci:
      NATURPRODUKT spol. s r.o., Rodinná 13 Havířov Česká republika
      Ing. Marian Kollega J. Stanislava 1 Bratislava
      24.09.1998Zrušeny spoločníci:
      NATURPRODUKT spol. s r.o., Rodinná 13 Havířov Česká republika
      Ing. Marian Kollega J. Stanislava 1 Bratislava
      29.05.1996Nové obchodné meno:
      NATURPRODUKT spol. s r.o.
      Nové sidlo:
      Nádražná 20 Ivanka pri Dunaji 900 28
      Nová právna forma:
      Spoločnosť s ručením obmedzeným
      Nové predmety činnosti:
      kúpa rozličného tovaru v rozsahu voľnej živnosti za účelom jeho ďaľšieho predaja a predaj
      Noví spoločníci:
      NATURPRODUKT spol. s r.o., Rodinná 13 Havířov Česká republika
      Ing. Marian Kollega J. Stanislava 1 Bratislava
      Nový štatutárny orgán:
      konatelia
      Ing. Marian Kollega J. Stanislava 1 Bratislava