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Active Solutions Ltd.

Clitheroe, Regatul Unit

Active Solutions Ltd., Clitheroe, Regatul Unit · Înregistrează-te: 02178083 · LEI: 2138004W897SQPHFY874 · Forma companiei: Ltd. · Stare: active. Revenue, earnings and total assets included. · Free company profile — no paywall, no login

750.000 £ Estimate

Umsatz2016: 610.000 £2017: 700.000 £2018: 540.000 £2019: 620.000 £2020: 740.000 £2021: 860.000 £2022: 820.000 £2023: 800.000 £2024: 760.000 £2025: 750.000 £
2016201720182019202020212022202320242025

Corporate purpose

Name

  • Exportfleet Ltd.

Financials

Indicator31.03.201631.03.201731.03.201831.03.201931.03.202031.03.202131.03.202231.03.202331.03.202431.03.2025
Stamm-/Grundkapital2,00 £2,00 £2,00 £2,00 £2,00 £2,00 £2,00 £2,00 £2,00 £2,00 £
Bilanzsumme1.276.769 £1.421.945 £1.604.448 £1.723.998 £1.893.492 £2.030.190 £2.008.631 £1.921.725 £1.795.462 £1.749.781 £
Umsatz610.000 £e700.000 £e540.000 £e620.000 £e740.000 £e860.000 £e820.000 £e800.000 £e760.000 £e750.000 £e
Eigenkapital1.269.422 £1.415.365 £1.598.868 £1.717.983 £1.887.753 £2.030.190 £2.008.631 £1.921.725 £1.795.462 £1.749.781 £
EK-Quote99,4 %99,5 %99,7 %99,7 %99,7 %100 %100 %100 %100 %100 %
Kassenbestand739.982 £858.893 £1.009.361 £1.097.361 £744.210 £982.818 £
Forderungen73.472 £93.739 £39.737 £56.773 £86.554 £118.823 £
Materialaufwand283,00 £283,00 £
Immobilien und Grundstücke191.289 £186.200 £181.111 £176.022 £170.933 £83.943 £
Gewinn145.943 £e183.503 £e119.115 £e169.672 £e142.437 £e
Umsatz CAGR14,8 %e−5,9 %e0,5 %e4,9 %e5,3 %e11 %e6,6 %e0,7 %e−3,4 %e
Umsatzrendite20,8 %e34 %e19,2 %e22,9 %e16,6 %e
EK-Rendite10,3 %e11,5 %e6,9 %e9 %e7 %e
Gewinn CAGR25,7 %e−9,7 %e5,1 %e−0,6 %e
Mitarbeiterzahl44335555
Umsatz pro Mitarbeiter135.000 £e155.000 £e246.667 £e286.667 £e164.000 £e160.000 £e152.000 £e150.000 £e

e = Statistical estimate, not a published figure

Balance sheet

Position2016-03-312017-03-312018-03-312019-03-312020-03-312021-03-312022-03-312023-03-312024-03-312025-03-31
Sachanlagen198.123189.423181.150178.797172.783
Umlaufvermögen1.313.7371.452.9151.549.0981.656.5151.830.7642.132.9232.069.2452.020.5171.858.7011.807.581
Gesamtvorräte28328331.282
Schuldner73.47293.73939.73759.15486.554118.823
Anlagen des Umlaufvermögens500.000500.000500.000500.0001.000.0001.000.000
Bargeld zur Verfügung739.982858.8931.009.3611.097.361744.210982.818
Innerhalb eines Jahres235.091220.393125.800111.314110.055102.733
Nettoumlaufvermögen Verbindlichkeiten1.078.6461.232.5221.423.2981.545.2011.720.7092.030.1901.996.2401.905.9821.782.0781.737.810
Bilanzsumme abzüglich kurzfristiger Verbindlichkeiten1.276.7691.421.9451.604.4481.723.9981.893.4922.030.1902.008.6311.921.7251.795.4621.749.781
Steuern inkl. latenter Besteuerung, Zwischensumme Bilanz7.3476.5805.5806.0155.739
Nettovermögen Verbindlichkeiten1.269.4221.415.3651.598.8681.717.9831.887.7532.030.1902.008.631
Aktienkapital2222100100
Gewinnrücklagen kumulierte Verluste1.269.4201.415.3631.598.8661.717.9811.887.6532.030.090
Eigenkapital1.269.4221.415.3651.598.8681.717.9831.887.7532.030.1902.008.6311.921.7251.795.4621.749.781
Abschreibungen, Abschreibungen, Sachanlagen, Sachanlagen13.3648.700
Grundstücksgebäude191.289186.200181.111176.022170.93383.943
Möbelbeschläge36025.17925.17925.17925.17925.179
Kumulierte Abschreibungen auf Sachanlagen195.932204.632212.905218.956224.970
Rohmaterial283283
Forderungen aus Lieferungen und Leistungen Forderungen aus Lieferungen und Leistungen73.47293.73939.73756.77386.554118.823
Bruttokosten für Sachanlagen394.055394.055397.753397.753
Erhöhung der Abschreibungen auf Sachanlagen für das Jahr8.7006.051
Zugänge außer durch Unternehmenszusammenschlüsse Sachanlagen3.698
Übrige Schuldner2.381
Abgänge Sachanlagen397.753
Abgänge Rückgang der Abschreibungen Wertminderungen Sachanlagen224.970
Anlagevermögen12.39115.74313.38411.971
Kurzfristige Finanzinstrumente73.005114.53576.62369.771

History

  1. Direktor Ch. V. Hepworth

    04.08.2020 Direktor Charlotte Victoria Hepworth

  2. Sitz: Clitheroe, Großbritannien

    23.06.2020 Sitz: Clitheroe, Großbritannien

  3. Direktor S. E. Hepworth

    27.03.2020 Direktor Samantha Elizabeth Hepworth

  4. Kapital: 2,00 £

    07.05.2014 Kapital: 2,00 £

  5. Direktor John M. Madgwick

    01.12.2012 Direktor John Malcolm Madgwick

    Cho
  6. Direktor Eileen Hepworth

    14.04.1991 Direktor Eileen Marjorie Hepworth

    Cho
  7. Name: Active Solutions Ltd.

    19.03.1988 Name: Active Solutions Ltd.

    Chp
  8. Eintragung

    14.10.1987 Eintragung

    Chp

Companies at this address & nearby

Which companies share the address, street or postal code of Active Solutions Ltd.? Registered office clusters often reveal corporate networks, shell structures and shared back offices — sorted by share capital.

Same address (1)

Sabden, BB7 9HP Clitheroe

1710 companies are registered in Clitheroe in total.

FAQ — Active Solutions Ltd.

What is the LEI of Active Solutions Ltd.?
The Legal Entity Identifier (LEI) of Active Solutions Ltd. is 2138004W897SQPHFY874.
Care este numărul de înregistrare al Active Solutions Ltd.?
Active Solutions Ltd. is registered under the number 02178083 in the official register (Regatul Unit).
Where is Active Solutions Ltd. registered?
Active Solutions Ltd. are adresa înregistrată în Clitheroe, Regatul Unit.
Extrasul de registru al Active Solutions Ltd. este gratuit?
Yes. Eulerpool provides all company register data — including the complete record of Active Solutions Ltd. — completely free of charge, with no login required.

Official registry record

Extrasul complet al registrului oficial — fiecare câmp din LEI / registrul companiilor, gratuit, fără autentificare.

Official registry record — Active Solutions Ltd.
legal_nameActive Solutions Ltd.
legal_cityClitheroe
registration_authority_entity_id02178083
legal_jurisdictionGB
lei2138004W897SQPHFY874
legal_first_address_lineSabden
legal_postal_codeBB7 9HP
headquarters_cityClitheroe
headquarters_postal_codeBB7 9HP
registration_statusactive
entity_legal_form_codeLtd.
northdata_id6079218542
sourcenorthdata