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PSJ Hydrotranzit, a.s.

Main Activities: Heavy and Civil Engineering Construction - Construction of Buildings

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Company Information

Full name
PSJ Hydrotranzit, a.s.

Previous name(s)
Hydrotranzit, a.s. (2005)
HYDROSTAV BRATISLAVA - VLCIE HRDLO a.s. (2003)

Headquarters
Vlcie hrdlo 90; Bratislava ; Bratislavsky; 82107
Status: Non-Listed
Legal Form: Public Limited Company
Operational Status: Operational
SK-ICO: 35833106
Financial Auditors: Audit team, spol. s r.o. (2012)
Incorporation Date: March 14, 2002
Total Employees: 227

Tel: +421 2 48288101

Company Description

PSJ HYDROTRANZIT Inc. is a construction company, which operates in building construction, line construction and large-capacity tanks construction. It was founded in 2002. Three years later, strategic partner PSJ Inc. has entered into the company. PSJ Hydrotranzit subsidiaries Inc. are: ISD-NOE Ltd. (Formwork NOE) and REALITY INVEST Ltd. (Engineering construction and development).

Company Analysis

According to the Individual - Audited financial statement for the Year of 2011, total net operating revenues increased with 4.16%, from EUR 40,302,705 to EUR 41,981,249 . Operating result increased from EUR 1,202,375 to EUR 1,999,634 which means 66.31% change. The results of the period increased 102.99% reaching EUR 1,375,085 at the end of the period against EUR 677,424 last year. Return on equity (Net income/Total equity) went from 9.79% to 18.08%, the Return On Asset (Net income / Total Asset) went from 2.37% to 4.96% and the Net Profit Margin (Net Income/Net Sales) went from 1.68% to 3.28% when compared to the same period of last year. The Debt to Equity Ratio (Total Liabilities/Equity) was 264.19% compared to 312.58% of last year. Finally, the Current Ratio (Current Assets/Current Liabilities) went from 1.23 to 1.05 when compared to the previous year.

Key Executives

Ing. Juraj Kotuc Chairman of the Board
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Balance Sheet

Total Assets

27,705,488

28,551,224

Current Assets

XX,XXX,XXX

XX,XXX,XXX

Total Liabilities

XX,XXX,XXX

XX,XXX,XXX

Shareholders Equity

X,XXX,XXX

X,XXX,XXX

Current Liabilities

XX,XXX,XXX

XX,XXX,XXX

* All the accounts are in EUR.
Income Statement

Total Operating Revenue

XX,XXX,XXX

XX,XXX,XXX

Operational Profit (Loss)

X,XXX,XXX

X,XXX,XXX

Net Profit (Loss)

X,XXX,XXX

XXX,XXX

* All the accounts are in EUR.
Ratios
Profitability Ratios

Return on Assets (ROA)

X.XX%

X.XX%

Annualised Return on Assets (ROA)

X.XX%

X.XX%

Return on Equity (ROE)

XX.XX%

X.XX%

Annualised Return on Equity (ROE)

XX.XX%

X.XX%

Return on Sales (ROS)

X.X%

X.XX%

Return on Capital

XX.XX%

X.XX%

Gross Profit Margin

XX.XX%

XX.XX%

Operating Profit Margin

X.XX%

X.XX%

Efficiency Ratios

Accounts Receivable Turnover

X.XXx

X.XXx

Inventory Turnover

XXX.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

X,XXX,XXX

EBITDA

X,XXX,XXX

X,XXX,XXX

Bookvalue (BV)

X,XXX,XXX

X,XXX,XXX

Net Cash

-XX,XXX,XXX

-XX,XXX,XXX

Liquidity Ratios

Current Ratio

XXX.XX%

XXX.XX%

Quick ratio

XXX.XX%

XXX.XX%

Doom's day ratio

X.XX%

X.XX%

Leverage Ratios

Leverage ratio

XXX.XX%

XXX.XX%

Interest Coverage Ratio

X,XXX.XX%

XXX.XX%

Debt to equity

XXX.XX%

XXX.XX%

Debt to total assets

XX.XX%

XX.XX%

Long Term Debt to Capital

XX.XX%

XX.XX%

Trend Ratios

Revenue Trend

XX.X%

XXX.XX%

Net Income Trend

XXX.XX%

XXX.XX%

Operating Income Trend

XXX.XX%

XXX.X%