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Company Information |
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Full name Putevi Srbije J.P. Beograd Headquarters 282, Kralja Aleksandra Blvd.; Belgrade; Belgrade; 11000 |
Status: Non-Listed Legal Form: Other non-liability limited Operational Status: Operational YU-MB: 20132248 Incorporation Date: February 20, 2006 Total Employees: 1,275 Tel: (+381 11) 3040700 |
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Company Description |
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Public road construction and maintenance company Putevi Srbije (Serbian Roads) is in charge of the country’s 40,845 km of first- and second-class road network. The company is also responsible for tunnels and bridges across the country. Serbian Roads maintains a total 5,525 km of first-class state roads, 11,540 km of second-class roads and 23,780 km of local roads. The company also operates 2,638 bridges with a total area of about 800,000 sq m. In November 2007, the European Bank for Reconstruction |
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Key Executives |
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Companies with Similar Main Activities |

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2011 Y (non-cons) |
2010 Y (non-cons) |
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| Non-Audited | Non-Audited | |
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| CRD Company Financial Statements | CRD Company Financial Statements | |
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| Unit | Thousands | Thousands |
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Total Assets |
430,485,470 |
186,131,202 |
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Current Assets |
X,XXX,XXX |
X,XXX,XXX |
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Total Liabilities |
XX,XXX,XXX |
XXX,XXX,XXX |
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Shareholders Equity |
XXX,XXX,XXX |
XX,XXX,XXX |
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Current Liabilities |
XX,XXX,XXX |
XX,XXX,XXX |
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| * All the accounts are in RSD. | ||
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Total Operating Revenue |
XX,XXX,XXX |
XX,XXX,XXX |
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Operational Profit (Loss) |
X,XXX,XXX |
X,XXX,XXX |
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Net Profit (Loss) |
XX,XXX |
-X,XXX,XXX |
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| * All the accounts are in RSD. | ||
| Profitability Ratios | ||
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Return on Assets (ROA) |
X.XX% |
-X.XX% |
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Annualised Return on Assets (ROA) |
X.XX% |
-X.XX% |
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Return on Equity (ROE) |
X.XX% |
-X.XX% |
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Annualised Return on Equity (ROE) |
X.XX% |
-X.XX% |
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Return on Sales (ROS) |
XXX.XX% |
-XX,XXX.XX% |
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Return on Capital |
X.XX% |
-X.XX% |
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Gross Profit Margin |
-X,XXX.XX% |
-X,XXX.XX% |
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Operating Profit Margin |
-XXX,XXX.X% |
-XXX,XXX.X% |
| Efficiency Ratios | ||
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Accounts Receivable Turnover |
X.XXx |
X.XXx |
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Inventory Turnover |
X.XXx |
X.XXx |
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Current asset turnover |
X.XXx |
X.XXx |
| Valuation figures and ratios | ||
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Earning Before Interests and Taxes (EBIT) |
X,XXX,XXX |
X,XXX,XXX |
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EBITDA |
XX,XXX,XXX |
XX,XXX,XXX |
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Bookvalue (BV) |
XXX,XXX,XXX |
XX,XXX,XXX |
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Net Cash |
-XX,XXX,XXX |
-XX,XXX,XXX |
| Liquidity Ratios | ||
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Current Ratio |
X.XX% |
X.XX% |
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Quick ratio |
X.XX% |
X.XX% |
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Doom's day ratio |
X.XX% |
X.XX% |
| Leverage Ratios | ||
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Leverage ratio |
XXX.XX% |
XXX.XX% |
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Debt to equity |
XX.XX% |
XXX.XX% |
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Debt to total assets |
XX.XX% |
XX.XX% |
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Long Term Debt to Capital |
XX.XX% |
XX.XX% |
| Trend Ratios | ||
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Revenue Trend |
XXX.XX% |
XXX.XX% |
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Net Income Trend |
-X.XX% |
XXX.XX% |
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Operating Income Trend |
XX.XX% |
XXX.XX% |
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