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Slovakia
Company data displayed is for sample purposes only and may not reflect the most current information available on Emerging Markets Information Service (EMIS).

Jadrova a vyradovacia spolocnost, a.s.

Main Activities: Electric Power Generation, Transmission and Distribution

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Company Information

Full name
Jadrova a vyradovacia spolocnost, a.s.

Previous name(s)
Jadrova vyradovacia spolocnost, a.s. (2007)
GovCo, a.s. (2006)

Headquarters
Tomasikova 22; Bratislava ; Bratislavsky; 82102
Status: Non-Listed
Legal Form: Public Limited Company
Operational Status: Operational
SK-ICO: 35946024
Financial Auditors: Deloitte Touche Tohmatsu (2011)
Incorporation Date: July 16, 2005
Total Employees: 1,031

Tel: +421 2 48 262 111

Company Description

Jadrova a vyradovacia spolocnost (JAVYS) is a nuclear decommissioning company. Company currently operates nuclear power plant V1 in Jaslovske Bohunice with one reactor. JAVYS also provides processing of nuclear waste. JAVYS is wholly owned by the economy ministry and was set up in 2005 to assume control over the V1 unit before the privatisation of Slovenske Elektrarne (SE), operator of the Bohunice plant, to Italian ENEL.

Company Analysis

According to the Individual - Audited financial statement for the Year of 2011, total net operating revenues decreased with -28.06%, from EUR 104,205,975 to EUR 74,967,967 . Operating result decreased from EUR 17,535,608 to EUR 8,243,936 which means -52.99% change. The results of the period decreased -45.52% reaching EUR 7,903,083 at the end of the period against EUR 14,505,913 last year. Return on equity (Net income/Total equity) went from 5.27% to 3.19%, the Return On Asset (Net income / Total Asset) went from 0.91% to 0.50% and the Net Profit Margin (Net Income/Net Sales) went from 13.92% to 10.54% when compared to the same period of last year. The Debt to Equity Ratio (Total Liabilities/Equity) was 534.32% compared to 479.76% of last year. Finally, the Current Ratio (Current Assets/Current Liabilities) went from 9.76 to 13.23 when compared to the previous year.

Key Executives

Ing. Peter Ciznar Chairman of the Board
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Balance Sheet

Total Assets

1,573,275,890

1,596,874,521

Current Assets

X,XXX,XXX,XXX

X,XXX,XXX,XXX

Total Liabilities

X,XXX,XXX,XXX

X,XXX,XXX,XXX

Shareholders Equity

XXX,XXX,XXX

XXX,XXX,XXX

Current Liabilities

XXX,XXX,XXX

XXX,XXX,XXX

* All the accounts are in EUR.
Income Statement

Total Operating Revenue

XX,XXX,XXX

XXX,XXX,XXX

Operational Profit (Loss)

X,XXX,XXX

XX,XXX,XXX

Net Profit (Loss)

X,XXX,XXX

XX,XXX,XXX

* All the accounts are in EUR.
Ratios
Profitability Ratios

Return on Assets (ROA)

X.X%

X.XX%

Annualised Return on Assets (ROA)

X.X%

X.XX%

Return on Equity (ROE)

X.XX%

X.XX%

Annualised Return on Equity (ROE)

X.XX%

X.XX%

Return on Sales (ROS)

XX.XX%

XX.XX%

Return on Capital

X.X%

X.XX%

Gross Profit Margin

XX.XX%

XX.XX%

Operating Profit Margin

XX.XX%

XX.XX%

Efficiency Ratios

Accounts Receivable Turnover

X.XXx

X.XXx

Inventory Turnover

XX.XXx

XX.XXx

Current asset turnover

X.XXx

X.XXx

Fixed-asset turnover

X.XXx

X.XXx

Asset Turnover

X.XXx

X.XXx

Valuation figures and ratios

Earning Before Interests and Taxes (EBIT)

X,XXX,XXX

XX,XXX,XXX

EBITDA

XX,XXX,XXX

XX,XXX,XXX

Bookvalue (BV)

XXX,XXX,XXX

XXX,XXX,XXX

Net Cash

XXX,XXX,XXX

XXX,XXX,XXX

Liquidity Ratios

Current Ratio

X,XXX.XX%

X,XXX.XX%

Quick ratio

X,XXX.XX%

X,XXX.XX%

Doom's day ratio

XXX.XX%

XXX.X%

Leverage Ratios

Leverage ratio

XXX.XX%

XXX.XX%

Interest Coverage Ratio

X%

X,XXX,XXX.XX%

Debt to equity

XX.XX%

X.XX%

Debt to total assets

X.XX%

X.XX%

Long Term Debt to Capital

XX.XX%

X.XX%

Trend Ratios

Revenue Trend

XX.XX%

XX.XX%

Net Income Trend

XX.XX%

XX.XX%

Operating Income Trend

XX.XX%

XX.XX%