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Company Information |
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Full name BOHEMIA CRYSTAL GROUP, a.s. Headquarters Ctiradova 508/1; Praha 4 - Nusle; City of Prague; 14016 |
Status: Delisted Legal Form: Public Limited Company Operational Status: Operational CZ-ICO: 44520000 Financial Auditors: MAC s. r. o., ing. Antonín Valenta - číslooprávnění: 169, 1336 (KAČR) - dne 13. 7. 1999 - (2000) Incorporation Date: January 20, 1992 Tel: +420-261385350 |
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Company Description |
| The Bohemia Crystal Group company used to deal with investing into glass manufacturing industry. Nowadays the company is the owner of GOLF RESORT Karlovy Vary a.s. The company is no more listed at RM-System |
Company Analysis |
For the latest financial data available click here.The company BOHEMIA CRYSTAL GROUP, a.s. posted in 2009 in accordance with the Local Accounting Standards a non-consolidated profit of CZK 2.69 mn. At the end of the year, total assets were reported at CZK 471.27 mn, return on assets (ROA) reached 0.57%, return on equity (ROE) 0.62%. |
Key Executives |
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Companies with Similar Main Activities |

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2009 Y (non-cons) |
2008 Y (cons) |
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| Non-Audited | Audited | |
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| ISI Company Financials | ISI Company Financials | |
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| Unit | Thousands | Thousands |
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Total Assets |
471,268 |
527,874 |
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Current Assets |
361,967 |
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Shareholders Equity |
432,154 |
458,306 |
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Current Liabilities |
47,102 |
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| * All the accounts are in CZK. | ||
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Total Revenues |
2,506 |
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Operational Profit (Loss) |
1,036 |
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Net Profit (Loss) |
2,687 |
-11,793 |
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| * All the accounts are in CZK. | ||
| Profitability Ratios | ||
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Return on Assets (ROA) |
0.57% |
-2.23% |
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Annualised Return on Assets (ROA) |
0.57% |
-2.23% |
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Return on Equity (ROE) |
0.62% |
-2.57% |
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Annualised Return on Equity (ROE) |
0.62% |
-2.57% |
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Return on Sales (ROS) |
0% |
-470.59% |
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Return on Capital |
0.62% |
-2.45% |
| Efficiency Ratios | ||
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Current asset turnover |
-x |
0.01x |
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Fixed-asset turnover |
-x |
0.02x |
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Asset Turnover |
0x |
0.00x |
| Valuation figures and ratios | ||
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Earning Before Interests and Taxes (EBIT) |
- |
1,036 |
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EBITDA |
- |
7,300 |
| Liquidity Ratios | ||
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Current Ratio |
0% |
768.47% |
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Quick ratio |
0% |
768.47% |
| Leverage Ratios | ||
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Leverage ratio |
109.05% |
115.18% |
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Debt to equity |
0% |
15.18% |
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Debt to total assets |
0% |
13.18% |
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Long Term Debt to Capital |
0% |
4.9% |
| Trend Ratios | ||
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Revenue Trend |
0% |
112.83% |
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Net Income Trend |
-23.32% |
-99.01% |
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Operating Income Trend |
0% |
14.58% |
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