PURE COLLECTION CASHMERE LIMITED

Registry code: 12591963

ActiveUK

Financial Reports

2022202320242025
Profit Before Tax1 604 000
Net Profit1 196 000
Equity0000
Liabilities2 125 0001 264 0001 252 0001 319 000
Total Assets5 308 0005 604 0006 788 0007 502 000

Financial Reports

2025()

Balance Sheet

Total Assets7 502 000 €
Long-term Assets
Short-term Assets
Equity0 €
Liabilities1 319 000 €
2024()

Balance Sheet

Total Assets6 788 000 €
Long-term Assets
Short-term Assets
Equity0 €
Liabilities1 252 000 €

Profit & Loss Statement

Revenue
Profit Before Tax1 604 000 €
Net Profit1 196 000 €
2023()

Balance Sheet

Total Assets5 604 000 €
Long-term Assets
Short-term Assets
Equity0 €
Liabilities1 264 000 €
2022()

Balance Sheet

Total Assets5 308 000 €
Long-term Assets
Short-term Assets
Equity0 €
Liabilities2 125 000 €
2021()

Balance Sheet

Total Assets4 069 000 €
Long-term Assets
Short-term Assets
Equity0 €
Liabilities2 226 000 €

Source: Companies House