| Denumire | AVOSTAR INVEST SRL |
| CUI | 14369424 |
| EUID | ROONRC.J13/2180/2001 |
| Stare (ONRC) | 1048 funcţiune |
company_people (căutare după CUI, fallback după Nr. Reg. Comerțului)
| Nume | Calitate | Țara nașterii |
|---|---|---|
| ENACHE GHEORGHE | - | România |
company_people pentru această firmă.company_people pentru această firmă.Microîntreprinderi , Constanţa
| Număr dosar | Instanță / Secție | Stadiu / Categorie | Ultimul termen | Acțiuni |
|---|
| An | Cifra de afaceri | Profit net | Datorii | Active | Salariati |
|---|---|---|---|---|---|
| 2025 | 2 835 859 | 471 792 | 4 852 378 | 8 432 211 | 1 |
| 2024 | 2 461 398 | 907 493 | 3 763 164 | 7 019 976 | 1 |
| 2023 | 2 432 936 | 1 033 635 | 4 658 247 | 7 021 816 | 1 |
| 2022 | 215 284 | 99 901 | 4 207 322 | 5 492 131 | 1 |
| 2021 | 1 219 482 | 528 588 | 2 001 128 | 3 586 036 | 1 |
| 2020 | 3 817 177 | 1 678 031 | 3 161 234 | 4 217 554 | 1 |
| 2019 | 0 | 3 661 | 3 587 021 | 2 965 309 | 0 |
| 2018 | 0 | -120 | 2 255 814 | 1 630 441 | 0 |
| 2017 | 0 | -403 | 630 571 | 5 318 | 0 |
| 2016 | — | — | — | — | — |
| Cod CAEN preponderent | — |
| Obiect Activitate | — |
| Descriere Activitate | — |
| Cod CAEN principal | — |
| Descriere activitate (principal) | — |
| Număr asociați | 0 |
| Număr administratori | 1 |
| Număr beneficiari | 0 |
| Sucursale (UE) | 0 |
| Număr sedii secundare | — |
| Categorie de mărime | microîntreprindere (estimare, 2025) |
| RTVAI | NU |
| Split TVA | NU |
| Active imobilizate | 166.575 |
| Active circulante | 6.853.401 |
| Stocuri | 6.606.887 |
| Creante | 175.695 |
| Disponibilitati | 70.819 |
| Datorii | 3.763.164 |
| Venituri in avans | 30.875 |
| Capitaluri proprii | 3.225.937 |
| Capital social | 300 |
| Cifra de afaceri | 2.461.398 |
| Venituri totale | 3.962.327 |
| Cheltuieli totale | 2.979.165 |
| Profit brut | 983.162 |
| Pierdere bruta | 0 |
| Profit net | 907.493 |
| Pierdere neta | 0 |
| Nr. salariati | 1 |
| Active imobilizate | 237.643 |
| Active circulante | 6.784.173 |
| Stocuri | 6.662.129 |
| Creante | 35.848 |
| Disponibilitati | 86.196 |
| Datorii | 4.658.247 |
| Venituri in avans | 45.125 |
| Capitaluri proprii | 2.318.444 |
| Capital social | 300 |
| Cifra de afaceri | 2.432.936 |
| Venituri totale | 5.352.333 |
| Cheltuieli totale | 4.294.089 |
| Profit brut | 1.058.244 |
| Pierdere bruta | 0 |
| Profit net | 1.033.635 |
| Pierdere neta | 0 |
| Nr. salariati | 1 |
| Active imobilizate | 1.079.448 |
| Active circulante | 4.412.683 |
| Stocuri | 4.223.352 |
| Creante | 42.983 |
| Disponibilitati | 146.348 |
| Datorii | 4.207.322 |
| Capitaluri proprii | 1.284.809 |
| Capital social | 300 |
| Cifra de afaceri | 215.284 |
| Venituri totale | 2.887.277 |
| Cheltuieli totale | 2.781.993 |
| Profit brut | 105.284 |
| Pierdere bruta | 0 |
| Profit net | 99.901 |
| Pierdere neta | 0 |
| Nr. salariati | 1 |
| Active imobilizate | 1.079.448 |
| Active circulante | 2.506.588 |
| Stocuri | 1.703.298 |
| Creante | 144.372 |
| Disponibilitati | 658.918 |
| Datorii | 2.001.128 |
| Capitaluri proprii | 1.584.908 |
| Capital social | 300 |
| Cifra de afaceri | 1.219.482 |
| Venituri totale | 2.253.134 |
| Cheltuieli totale | 1.712.351 |
| Profit brut | 540.783 |
| Pierdere bruta | 0 |
| Profit net | 528.588 |
| Pierdere neta | 0 |
| Nr. salariati | 1 |
| Active imobilizate | 0 |
| Active circulante | 4.217.554 |
| Stocuri | 1.350.771 |
| Creante | 15.933 |
| Disponibilitati | 2.850.850 |
| Datorii | 3.161.234 |
| Capitaluri proprii | 1.056.320 |
| Capital social | 300 |
| Cifra de afaceri | 3.817.177 |
| Venituri totale | 4.539.778 |
| Cheltuieli totale | 2.826.426 |
| Profit brut | 1.713.352 |
| Pierdere bruta | 0 |
| Profit net | 1.678.031 |
| Pierdere neta | 0 |
| Nr. salariati | 1 |
| Active imobilizate | 575.866 |
| Active circulante | 2.389.443 |
| Stocuri | 2.178.380 |
| Creante | 155.689 |
| Disponibilitati | 55.374 |
| Datorii | 3.587.021 |
| Capitaluri proprii | -621.712 |
| Capital social | 300 |
| Venituri totale | 1.255.614 |
| Cheltuieli totale | 1.251.803 |
| Profit brut | 3.811 |
| Pierdere bruta | 0 |
| Profit net | 3.661 |
| Pierdere neta | 0 |
| Nr. salariati | 0 |
| Active imobilizate | 575.866 |
| Active circulante | 1.054.575 |
| Stocuri | 928.152 |
| Creante | 125.611 |
| Disponibilitati | 812 |
| Datorii | 2.255.814 |
| Capitaluri proprii | -625.373 |
| Capital social | 300 |
| Venituri totale | 927.112 |
| Cheltuieli totale | 927.232 |
| Profit brut | 0 |
| Pierdere bruta | 120 |
| Profit net | 0 |
| Pierdere neta | 120 |
| Nr. salariati | 0 |
| Active circulante | 5.318 |
| Creante | 5.322 |
| Disponibilitati | -4 |
| Datorii | 630.571 |
| Capitaluri proprii | -625.253 |
| Capital social | 300 |
| Venituri totale | 0 |
| Cheltuieli totale | 403 |
| Profit brut | 0 |
| Pierdere bruta | 403 |
| Profit net | 0 |
| Pierdere neta | 403 |
| Active circulante | 5.200 |
| Stocuri | 0 |
| Creante | 5.263 |
| Disponibilitati | -63 |
| Datorii | 630.050 |
| Capitaluri proprii | -624.850 |
| Capital social | 300 |
| Cifra de afaceri | 0 |
| Venituri totale | 0 |
| Cheltuieli totale | 427 |
| Profit brut | 0 |
| Pierdere bruta | 427 |
| Profit net | 0 |
| Pierdere neta | 427 |
| An | Tip | Ultima actualizare |
|---|---|---|
| 2024 | WEBASIG | 2026-02-05 13:31:30 |
| 2024 | WEBBROK | 2026-02-05 13:31:30 |
| 2023 | WEBASIG | 2026-02-05 13:31:30 |
| 2023 | WEBBROK | 2026-02-05 13:31:30 |
| 2022 | WEBASIG | 2026-02-05 13:31:30 |
| 2022 | WEBBROK | 2026-02-05 13:31:30 |
| 2021 | WEBASIG | 2026-02-05 13:31:30 |
| 2021 | WEBBROK | 2026-02-05 13:31:30 |
| 2020 | WEBASIG | 2026-02-05 13:31:30 |
| 2020 | WEBBROK | 2026-02-05 13:31:30 |
| 2019 | WEBASIG | 2026-02-05 13:31:30 |
| 2019 | WEBBROK | 2026-02-05 13:31:30 |
| 2018 | WEBASIG | 2026-02-05 13:31:29 |
| 2018 | WEBBROK | 2026-02-05 13:31:30 |
| 2017 | WEBASIG | 2026-02-05 13:31:29 |
| 2017 | WEBBROK | 2026-02-05 13:31:29 |
| 2016 | WEBASIG | 2026-02-05 13:31:29 |
| 2016 | WEBBROK | 2026-02-05 13:31:29 |