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

PZP Beograd

Main Activities: Specialty Trade Contractors - Highway, Street, and Bridge Construction

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Company Information

Full name
Road Construction Company Belgrade A.D. Belgrade

Headquarters
Vidska 24; Belgrade; Belgrade; 11000
Status: OTC traded
Legal Form: Joint Stock Company
Operational Status: Operational
ISIN CODE : RSPZPBE00473
YU-MB: 07014104
Incorporation Date: October 12, 1961
Total Employees: 838

Tel: (+381 11) 2449466

Company Description

Road construction company Belgrade (PZP Beograd) was set up in 1962 and is active in construction, reconstruction and maintenance of roads, streets, pavements, bridges, over- and underpasses, viaducts, embankment dams and others in the Serbian capital and its surroundings.
The company, listed on the Belgrade Stock Exchange, maintains a total 683 km of main and 1,228 km of regional roads. It operated a total 84 construction and maintenance machines and ran five asphalt production plants as of February
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Key Executives

Nebojsa Pavlovic General Director
Nenad Mijailovic Chairman of the Management Board
Bozidar Damjanovic Member of the Management Board
Dejan Pantic Member of the Management Board
Dragan Vujnovic Member of the Management Board
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Balance Sheet

Total Assets

11,886,660

14,408,136

Current Assets

7,487,088

10,042,302

Total Liabilities

13,138,176

13,114,327

Shareholders Equity

-1,251,516

1,293,809

Current Liabilities

12,125,803

11,358,817

* All the accounts are in RSD.
Income Statement

Total Operating Revenue

677,541

4,583,149

Operational Profit (Loss)

-835,460

-719,447

Net Profit (Loss)

-2,028,495

-936,802

* All the accounts are in RSD.
Ratios
Profitability Ratios

Return on Assets (ROA)

-17.07%

-6.5%

Annualised Return on Assets (ROA)

-17.07%

-6.5%

Return on Equity (ROE)

162.08%

-72.41%

Annualised Return on Equity (ROE)

162.08%

-72.41%

Return on Sales (ROS)

-307.47%

-20.55%

Return on Capital

-232.53%

-32.01%

Gross Profit Margin

56.92%

56.33%

Operating Profit Margin

-127.53%

-18.95%

Efficiency Ratios

Accounts Receivable Turnover

0.12x

0.60x

Inventory Turnover

1.31x

3.65x

Current asset turnover

0.09x

0.46x

Fixed-asset turnover

0.15x

1.04x

Asset Turnover

0.05x

0.32x

Valuation figures and ratios

Earning Before Interests and Taxes (EBIT)

-835,460

-719,447

EBITDA

-608,034

-498,879

Bookvalue (BV)

140,022

1,416,338

Net Cash

-12,125,293

-11,358,624

Liquidity Ratios

Current Ratio

61.38%

87.87%

Quick ratio

59.59%

83.07%

Leverage Ratios

Leverage ratio

0%

1,113.62%

Debt to equity

0%

1,004.15%

Debt to total assets

98.93%

90.17%

Long Term Debt to Capital

100%

55.79%

Trend Ratios

Revenue Trend

14.47%

92.49%

Net Income Trend

216.53%

-384.66%

Operating Income Trend

116.13%

-284.49%