Contacts, activities, address, websites, branches — ООО "ПРОД-МАРКЕТ"
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10.72 Производство сухарей, печенья и прочих сухарных хлебобулочных изделий, производство мучных кондитерских изделий, тортов, пирожных, пирогов и бисквитов, предназначенных для длительного хранения
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ОМСК
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General information
General information about the organization
Update date: 07.04.2026
Full name
Full name of the legal entity
ОБЩЕСТВО С ОГРАНИЧЕННОЙ ОТВЕТСТВЕННОСТЬЮ "ПРОД-МАРКЕТ"
The full name of the main type of economic activity of the company
10.72 Производство сухарей, печенья и прочих сухарных хлебобулочных изделий, производство мучных кондитерских изделий, тортов, пирожных, пирогов и бисквитов, предназначенных для длительного хранения
Financial results
The main financial results of the company
Update date: 07.04.2026
Revenue
2657.2%
369184 thousand ₽
Costs for ordinary activities
2100.8%
261121 thousand ₽
Gross profit (loss)
6986.1%
108063 thousand ₽
Profit (loss) from sales
3990.9%
29250 thousand ₽
Profit (loss) before taxation
219.7%
2139 thousand ₽
Net profit (loss)
184.1%
1452 thousand ₽
Income taxes (income)
334.8%
-687 thousand ₽
Accounting Balance: Act
All property and resources of the organization that bring economic benefits
Update date: 07.04.2026
Non -current assets
0%
117208 thousand ₽
Complex assets
4171.4%
130320 thousand ₽
Balance
4171.4%
130320 thousand ₽
Accounting Balance: Passive
Sources of the formation of the company's funds - own capital and attracted obligations
Update date: 07.04.2026
Capital and reserves
338.5%
1881 thousand ₽
Long -term obligations
210532.7%
115848 thousand ₽
Current liabilities
5205.3%
136188 thousand ₽
Balance
8287%
255887 thousand ₽
Capital change report
"Information on changes in the capital of the company"
Update date: 07.04.2026
Pure assets
-623.2%
429 thousand ₽
Capital at the beginning of the period
-
The capital of the previous year
-
Capital at the end of the period
-
Net profit (loss)
-
Dividends
-
The movement of funds
Information about the movement of funds in the company
Update date: 07.04.2026
Cash flows from current operations
100666.7%
-60460 thousand ₽
Cash flows from investment activities
0%
-110492 thousand ₽
Cash flows from financial activities
315429.1%
173541 thousand ₽
Pure cash flow
-51880%
2589 thousand ₽
The balance of funds at the beginning of the period