Obchod Bunzl - BNZL CFD
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Rozpätie | 0.11 | ||||||||
Nočný poplatok dlhej pozície
Long position overnight fee
Prejsť na platformu | -0.021808% | ||||||||
Nočný poplatok krátkej pozície
Short position overnight fee
Prejsť na platformu | -0.00011% | ||||||||
Nočný poplatok | 21:00 (UTC) | ||||||||
Minimálne množstvo na obchodovanie | 1 | ||||||||
Mena | GBP | ||||||||
Marža | 20% | ||||||||
Burza cenných papierov | United Kingdom of Great Britain and Northern Ireland | ||||||||
Provízia pri predaji | 0% |
*Information provided by Capital.com
Bunzl plc ESG Risk Ratings
‘C’ score indicates satisfactory relative ESG performance and moderate degree of transparency in reporting material ESG data publicly.
Predchádzajúce Zavrieť* | 30.11 |
Otvoriť* | 30.37 |
1-ročná zmena* | 5.56% |
Denný rozsah* | 30.32 - 30.53 |
Rozsah 52 týždňov | 25.42-32.49 |
Priemerný objem (10 dní) | 865.65K |
Priemerný objem (3 mesiace) | 12.68M |
Trhová kapitalizácia | 10.26B |
Pomer P/E | 21.58 |
Zdieľa mimoriadne | 337.68M |
Výnosy | 12.04B |
EPS | 1.41 |
Dividenda (udalosť %) | 2.06454 |
Beta | 0.64 |
Ďalší dátum zárobku | Aug 29, 2023 |
Všetky údaje poskytuje spoločnosť Refinitiv, okrem údajov označených hviezdičkou, čo sú *údaje poskytnuté Capital.com
- Last Week
- Last Month
- Last Year
- Last two Years
- Max
- Daily
- Weekly
- Monthly
Date | Zatvorenie | Change | Change (%) | Otvorenie | High | Low |
---|---|---|---|---|---|---|
Mar 21, 2023 | 30.41 | 0.14 | 0.46% | 30.27 | 30.55 | 30.19 |
Mar 20, 2023 | 30.11 | 0.52 | 1.76% | 29.59 | 30.42 | 29.59 |
Mar 17, 2023 | 29.77 | -0.11 | -0.37% | 29.88 | 30.21 | 29.68 |
Mar 16, 2023 | 29.90 | 0.60 | 2.05% | 29.30 | 30.06 | 29.28 |
Mar 15, 2023 | 29.19 | -0.27 | -0.92% | 29.46 | 29.65 | 29.15 |
Mar 14, 2023 | 29.46 | 0.54 | 1.87% | 28.92 | 29.69 | 28.92 |
Mar 13, 2023 | 29.19 | -0.19 | -0.65% | 29.38 | 29.59 | 28.74 |
Mar 10, 2023 | 29.14 | -0.41 | -1.39% | 29.55 | 29.55 | 28.93 |
Mar 9, 2023 | 29.35 | 0.23 | 0.79% | 29.12 | 29.38 | 28.93 |
Mar 8, 2023 | 29.25 | 0.22 | 0.76% | 29.03 | 29.35 | 28.88 |
Mar 7, 2023 | 29.24 | 0.19 | 0.65% | 29.05 | 29.49 | 29.02 |
Mar 6, 2023 | 29.25 | -0.05 | -0.17% | 29.30 | 29.53 | 29.25 |
Mar 3, 2023 | 29.47 | -0.46 | -1.54% | 29.93 | 30.22 | 29.47 |
Mar 2, 2023 | 30.06 | 0.50 | 1.69% | 29.56 | 30.08 | 29.56 |
Mar 1, 2023 | 29.82 | 0.20 | 0.68% | 29.62 | 30.17 | 29.59 |
Feb 28, 2023 | 29.62 | -1.18 | -3.83% | 30.80 | 30.80 | 29.41 |
Feb 27, 2023 | 30.80 | 0.09 | 0.29% | 30.71 | 31.32 | 30.53 |
Feb 24, 2023 | 29.97 | -0.03 | -0.10% | 30.00 | 30.14 | 29.86 |
Feb 23, 2023 | 29.96 | 0.03 | 0.10% | 29.93 | 30.10 | 29.86 |
Feb 22, 2023 | 29.92 | -0.40 | -1.32% | 30.32 | 30.32 | 29.75 |
Bunzl Events
Čas (UTC) (UTC) | Krajina | Udalosť |
---|---|---|
No events scheduled |
- Výročný
- Štvrťročne
2021 | 2020 | 2019 | 2018 | 2017 | |
---|---|---|---|---|---|
Celkové príjmy | 10285.1 | 10111.1 | 9326.7 | 9079.4 | 8580.9 |
Výnosy | 10285.1 | 10111.1 | 9326.7 | 9079.4 | 8580.9 |
Náklady na výnosy, celkom | 7762.5 | 7526.3 | 7033.2 | 6851.8 | 6490.6 |
Hrubý zisk | 2522.6 | 2584.8 | 2293.5 | 2227.6 | 2090.3 |
Celkové prevádzkové náklady | 9661.8 | 9492.6 | 8798.3 | 8599.6 | 8124.9 |
Predaj/Všeobecné/Správca. Náklady, Celkom | 930.1 | 951 | 880.7 | 1008.3 | 938.4 |
Depreciation / Amortization | 277.7 | 272.1 | 267.3 | 143.7 | 127.9 |
Nezvyčajné výdavky (príjem) | 22.1 | 60.3 | 12.9 | 21.7 | 37.2 |
Other Operating Expenses, Total | 669.4 | 682.9 | 604.2 | 574.1 | 530.8 |
Prevádzkový príjem | 623.3 | 618.5 | 528.4 | 479.8 | 456 |
Úrokový príjem (výdavky), čistý neprevádzkový | -57.4 | -64.4 | -75.3 | -54.4 | -48.7 |
Iné, Net | 2.8 | 1.6 | 0.2 | -0.6 | 2 |
Čistý príjem pred zdanením | 568.7 | 555.7 | 453.3 | 424.8 | 409.3 |
Čistý príjem po zdanení | 442.8 | 430 | 349.2 | 326.5 | 310.5 |
Čistý príjem pred extra. Položky | 442.8 | 430 | 349.2 | 326.5 | 310.5 |
Čistý príjem | 442.8 | 430 | 349.2 | 326.5 | 310.5 |
Príjem k dispozícii bežnému Extra. Položky | 442.8 | 430 | 349.2 | 326.5 | 310.5 |
Príjem k dispozícii bežnému vr. Extra. Položky | 442.8 | 430 | 349.2 | 326.5 | 310.5 |
Zriedený čistý príjem | 442.8 | 430 | 349.2 | 326.5 | 310.5 |
Zriedený vážený priemer akcií | 336 | 335.1 | 334.3 | 333.9 | 332.1 |
Zriedený EPS s výnimkou mimoriadnych položiek | 1.31786 | 1.2832 | 1.04457 | 0.97784 | 0.93496 |
Dividends per Share - Common Stock Primary Issue | 0.57 | 0.541 | 0.513 | 0.502 | 0.46 |
Zriedený normalizovaný EPS | 1.36907 | 1.42244 | 1.0743 | 1.02779 | 1.01993 |
Dec 2021 | Jun 2021 | Dec 2020 | Jun 2020 | Dec 2019 | |
---|---|---|---|---|---|
Celkové príjmy | 5418.5 | 4866.6 | 5264.8 | 4846.3 | 4798.3 |
Výnosy | 5418.5 | 4866.6 | 5264.8 | 4846.3 | 4798.3 |
Celkové prevádzkové náklady | 5099.3 | 4562.5 | 4925.7 | 4566.9 | 4508.9 |
Depreciation / Amortization | 54.8 | 51.7 | 51.6 | 48.8 | 52.9 |
Nezvyčajné výdavky (príjem) | 12 | 11 | 30.1 | 12.6 | 8.3 |
Other Operating Expenses, Total | 5032.5 | 4499.8 | 4844 | 4505.5 | 4447.7 |
Prevádzkový príjem | 319.2 | 304.1 | 339.1 | 279.4 | 289.4 |
Úrokový príjem (výdavky), čistý neprevádzkový | -28.6 | -28.8 | -30.2 | -34.2 | -36.2 |
Iné, Net | 2.4 | 0.4 | 1.4 | 0.2 | -0.4 |
Čistý príjem pred zdanením | 293 | 275.7 | 310.3 | 245.4 | 252.8 |
Čistý príjem po zdanení | 231.8 | 211 | 244.5 | 185.5 | 194.1 |
Čistý príjem pred extra. Položky | 231.8 | 211 | 244.5 | 185.5 | 194.1 |
Čistý príjem | 231.8 | 211 | 244.5 | 185.5 | 194.1 |
Príjem k dispozícii bežnému Extra. Položky | 231.8 | 211 | 244.5 | 185.5 | 194.1 |
Príjem k dispozícii bežnému vr. Extra. Položky | 231.8 | 211 | 244.5 | 185.5 | 194.1 |
Zriedený čistý príjem | 231.8 | 211 | 244.5 | 185.5 | 194.1 |
Zriedený vážený priemer akcií | 337.2 | 334.8 | 335.9 | 334.3 | 333.8 |
Zriedený EPS s výnimkou mimoriadnych položiek | 0.68743 | 0.63023 | 0.7279 | 0.55489 | 0.58149 |
Dividends per Share - Common Stock Primary Issue | 0.408 | 0.162 | 0.383 | 0.158 | 0.358 |
Zriedený normalizovaný EPS | 0.71558 | 0.65537 | 0.7985 | 0.58338 | 0.60058 |
- Výročný
- Štvrťročne
2021 | 2020 | 2019 | 2018 | 2017 | |
---|---|---|---|---|---|
Celkové aktíva | 3704.8 | 3791.5 | 3051.9 | 3037.9 | 2699.3 |
Hotovosť a krátkodobé investície | 776.9 | 944.3 | 610.5 | 477.7 | 333.6 |
Cash | 776.9 | 944.3 | 610.5 | 477.7 | 333.6 |
Pohľadávky celkom, netto | 1352.2 | 1306.3 | 1190.5 | 1259.8 | 1188.9 |
Accounts Receivable - Trade, Net | 1173.3 | 1138 | 1020.2 | 1083.1 | 1029.6 |
Total Inventory | 1474 | 1432.2 | 1177.2 | 1213.6 | 1064.9 |
Prepaid Expenses | 86.8 | 96.1 | 70.3 | 74.2 | 73.9 |
Other Current Assets, Total | 14.9 | 12.6 | 3.4 | 12.6 | 38 |
Total Assets | 7114.1 | 6829.4 | 5920 | 5556.1 | 5189.6 |
Property/Plant/Equipment, Total - Net | 569.2 | 576.1 | 551.2 | 122.4 | 125.2 |
Property/Plant/Equipment, Total - Gross | 817.9 | 814 | 768.1 | 352.2 | 345.7 |
Accumulated Depreciation, Total | -248.7 | -237.9 | -216.9 | -229.8 | -220.5 |
Goodwill, Net | 1698.5 | 1494.6 | 1403.6 | 1420.4 | 1378 |
Intangibles, Net | 1068.3 | 947.3 | 887.3 | 962.1 | 973.7 |
Other Long Term Assets, Total | 73.3 | 19.9 | 26 | 13.3 | 13.4 |
Total Current Liabilities | 2774.9 | 2667.7 | 2273.2 | 2131 | 1959.2 |
Accounts Payable | 1216.6 | 1080.4 | 1067.9 | 1143.9 | 1032.1 |
Accrued Expenses | 482.3 | 520.1 | 283.7 | 308.6 | 250.7 |
Notes Payable/Short Term Debt | 551.6 | 514.6 | 469.7 | 333.5 | 221.3 |
Current Port. of LT Debt/Capital Leases | 241 | 209 | 205.5 | 74.9 | 145.1 |
Other Current Liabilities, Total | 283.4 | 343.6 | 246.4 | 270.1 | 310 |
Total Liabilities | 4910.2 | 4910.3 | 4175.7 | 3861.6 | 3741 |
Total Long Term Debt | 1793.3 | 1983.6 | 1672.4 | 1456.3 | 1499.2 |
Long Term Debt | 1433.7 | 1615.2 | 1314.2 | 1456.2 | 1499 |
Capital Lease Obligations | 359.6 | 368.4 | 358.2 | 0.1 | 0.2 |
Deferred Income Tax | 151 | 105.1 | 127.5 | 153.7 | 158 |
Other Liabilities, Total | 191 | 153.9 | 102.6 | 120.6 | 124.6 |
Total Equity | 2203.9 | 1919.1 | 1744.3 | 1694.5 | 1448.6 |
Common Stock | 108.4 | 108.3 | 108.3 | 108.1 | 108 |
Additional Paid-In Capital | 194.2 | 187.7 | 184 | 178.5 | 171.4 |
Retained Earnings (Accumulated Deficit) | 2170.1 | 1818.3 | 1566.2 | 1430.9 | 1188.4 |
Unrealized Gain (Loss) | |||||
Other Equity, Total | -268.8 | -195.2 | -114.2 | -23 | -19.2 |
Total Liabilities & Shareholders’ Equity | 7114.1 | 6829.4 | 5920 | 5556.1 | 5189.6 |
Total Common Shares Outstanding | 337.399 | 336.999 | 336.793 | 336.425 | 335.932 |
Dec 2021 | Jun 2021 | Dec 2020 | Jun 2020 | Dec 2019 | |
---|---|---|---|---|---|
Celkové aktíva | 3704.8 | 3702.4 | 3791.5 | 3534 | 3051.9 |
Hotovosť a krátkodobé investície | 776.9 | 906.5 | 944.3 | 830.9 | 610.5 |
Cash | 776.9 | 906.5 | 944.3 | 830.9 | 610.5 |
Pohľadávky celkom, netto | 1439 | 1310.9 | 1402.4 | 1366.2 | 1260.8 |
Accounts Receivable - Trade, Net | 1431 | 1302 | 1395.8 | 1358.9 | 1254.1 |
Total Inventory | 1474 | 1474 | 1432.2 | 1330.8 | 1177.2 |
Other Current Assets, Total | 14.9 | 11 | 12.6 | 6.1 | 3.4 |
Total Assets | 7114.1 | 6771.6 | 6829.4 | 6496.4 | 5920 |
Property/Plant/Equipment, Total - Net | 569.2 | 576.3 | 576.1 | 563 | 551.2 |
Goodwill, Net | 1698.5 | 1519.3 | 1494.6 | 1465.8 | 1403.6 |
Intangibles, Net | 1068.3 | 933.8 | 947.3 | 893.1 | 887.3 |
Other Long Term Assets, Total | 73.3 | 39.8 | 19.9 | 40.5 | 26 |
Total Current Liabilities | 2774.9 | 2711.1 | 2667.7 | 2641.4 | 2273.2 |
Payable/Accrued | 1921.3 | 1918.8 | 1836.3 | 1716.6 | 1502.8 |
Notes Payable/Short Term Debt | 551.6 | 546.6 | 514.6 | 597.2 | 469.7 |
Current Port. of LT Debt/Capital Leases | 241 | 186 | 209 | 214.3 | 205.5 |
Other Current Liabilities, Total | 61 | 59.7 | 107.8 | 113.3 | 95.2 |
Total Liabilities | 4910.2 | 4845.8 | 4910.3 | 4598.1 | 4175.7 |
Total Long Term Debt | 1793.3 | 1849.6 | 1983.6 | 1707.3 | 1672.4 |
Long Term Debt | 1433.7 | 1480.5 | 1615.2 | 1347.6 | 1314.2 |
Capital Lease Obligations | 359.6 | 369.1 | 368.4 | 359.7 | 358.2 |
Deferred Income Tax | 151 | 112.1 | 105.1 | 119.7 | 127.5 |
Other Liabilities, Total | 191 | 173 | 153.9 | 129.7 | 102.6 |
Total Equity | 2203.9 | 1925.8 | 1919.1 | 1898.3 | 1744.3 |
Common Stock | 108.4 | 108.4 | 108.3 | 108.3 | 108.3 |
Additional Paid-In Capital | 194.2 | 191.6 | 187.7 | 185 | 184 |
Retained Earnings (Accumulated Deficit) | 2170.1 | 1853.2 | 1818.3 | 1694.7 | 1566.2 |
Other Equity, Total | -268.8 | -227.4 | -195.2 | -89.7 | -114.2 |
Total Liabilities & Shareholders’ Equity | 7114.1 | 6771.6 | 6829.4 | 6496.4 | 5920 |
Total Common Shares Outstanding | 337.399 | 337.259 | 336.999 | 336.857 | 336.793 |
- Výročný
- Štvrťročne
2021 | 2020 | 2019 | 2018 | 2017 | |
---|---|---|---|---|---|
Čistý príjem/Počiatočná čiara | 568.7 | 555.7 | 453.3 | 424.8 | 409.3 |
Hotovosť z prevádzkovej činnosti | 733.1 | 790.2 | 669.3 | 480 | 475.6 |
Hotovosť z prevádzkovej činnosti | 162.8 | 161.4 | 152.6 | 32.6 | 31.3 |
Amortization | 114.9 | 110.7 | 114.7 | 111.1 | 96.6 |
Bezhotovostné položky | 66 | 111.2 | 70 | 63.4 | 67.1 |
Cash Taxes Paid | 181.4 | 153.8 | 125.6 | 113.2 | 113.1 |
Úroky zaplatené v hotovosti | 63.8 | 79.1 | 84.3 | 51.1 | 46.8 |
Zmeny pracovného kapitálu | -179.3 | -148.8 | -121.3 | -151.9 | -128.7 |
Peniaze z investičných činností | -458 | -380 | -162.6 | -141.8 | -605.2 |
Kapitálové výdavky | -32.7 | -33.1 | -36.9 | -31.1 | -33.8 |
Ostatné investičné položky peňažných tokov, celkom | -425.3 | -346.9 | -125.7 | -110.7 | -571.4 |
Hotovosť z finančných činností | -458.7 | -122.2 | -492.2 | -306.9 | 116.8 |
Financovanie položiek peňažných tokov | -38.8 | -116.2 | -70.7 | -47.8 | -57 |
Total Cash Dividends Paid | -180.4 | -171.5 | -167.3 | -152.2 | -138.2 |
Vydanie (vyradenie) zásob, netto | 19.5 | -8.4 | -27.7 | 50 | -19.4 |
Vydanie (vyradenie) dlhu, netto | -259 | 173.9 | -226.5 | -156.9 | 331.4 |
Devízové efekty | -20.8 | 0.9 | -17.9 | 0.6 | -1.6 |
Čistá zmena v hotovosti | -204.4 | 288.9 | -3.4 | 31.9 | -14.4 |
Dec 2021 | Jun 2021 | Dec 2020 | Jun 2020 | Dec 2019 | |
---|---|---|---|---|---|
Net income/Starting Line | 568.7 | 275.7 | 555.7 | 245.4 | 453.3 |
Cash From Operating Activities | 733.1 | 332 | 790.2 | 378.9 | 669.3 |
Cash From Operating Activities | 162.8 | 80.3 | 171.7 | 85.3 | 160 |
Amortization | 114.9 | 55.9 | 100.4 | 48.8 | 107.3 |
Non-Cash Items | 66 | 37.8 | 111.2 | 41.2 | 70 |
Cash Taxes Paid | 181.4 | 109.1 | 153.8 | 68.6 | 125.6 |
Cash Interest Paid | 63.8 | 31.7 | 79.1 | 46.1 | 84.3 |
Changes in Working Capital | -179.3 | -117.7 | -148.8 | -41.8 | -121.3 |
Cash From Investing Activities | -458 | -99.4 | -380 | -71.8 | -162.6 |
Capital Expenditures | -32.7 | -15.6 | -33.1 | -14.5 | -36.9 |
Other Investing Cash Flow Items, Total | -425.3 | -83.8 | -346.9 | -57.3 | -125.7 |
Cash From Financing Activities | -458.7 | -293.2 | -122.2 | -227.7 | -492.2 |
Financing Cash Flow Items | -38.8 | -15.7 | -116.2 | -67.9 | -70.7 |
Total Cash Dividends Paid | -180.4 | -52.8 | -171.5 | -51.7 | -167.3 |
Issuance (Retirement) of Stock, Net | 19.5 | -25.5 | -8.4 | 2 | -27.7 |
Issuance (Retirement) of Debt, Net | -259 | -199.2 | 173.9 | -110.1 | -226.5 |
Foreign Exchange Effects | -20.8 | -9.2 | 0.9 | 13.5 | -17.9 |
Net Change in Cash | -204.4 | -69.8 | 288.9 | 92.9 | -3.4 |
Meno investora | Typ investora | Percento vynikajúce | Držané akcie | Zmena akcií | Dátum držby | Hodnotenie obratu |
---|---|---|---|---|---|---|
BlackRock Institutional Trust Company, N.A. | Investment Advisor | 5.0698 | 17120005 | 0 | 2022-02-28 | LOW |
Mawer Investment Management Ltd. | Investment Advisor | 5.023 | 16961895 | 0 | 2022-02-28 | LOW |
The Vanguard Group, Inc. | Investment Advisor/Hedge Fund | 3.1865 | 10760256 | 38026 | 2022-10-28 | LOW |
Norges Bank Investment Management (NBIM) | Sovereign Wealth Fund | 3.0011 | 10134182 | 341959 | 2022-12-05 | LOW |
APG Asset Management N.V. | Pension Fund | 2.991 | 10100091 | -59909 | 2022-09-09 | LOW |
Baillie Gifford & Co. | Investment Advisor | 2.7039 | 9130689 | -520000 | 2022-10-31 | LOW |
Capital Research Global Investors | Investment Advisor | 2.4778 | 8366991 | 3480684 | 2022-10-26 | LOW |
Schroder Investment Management Ltd. (SIM) | Investment Advisor/Hedge Fund | 1.8639 | 6293993 | -7017 | 2023-02-01 | LOW |
Evenlode Investment Management Limited | Investment Advisor | 1.6589 | 5601791 | 471697 | 2022-10-31 | LOW |
INVESCO Asset Management Limited | Investment Advisor/Hedge Fund | 1.6028 | 5412304 | -4543 | 2023-02-01 | LOW |
Burgundy Asset Management Ltd. | Investment Advisor | 1.5323 | 5174348 | -4166 | 2023-02-01 | LOW |
William Blair Investment Management, LLC | Investment Advisor/Hedge Fund | 1.3395 | 4523355 | 363152 | 2022-10-31 | LOW |
Marathon-London | Investment Advisor | 1.232 | 4160305 | -4160 | 2023-02-01 | LOW |
BlackRock Investment Management (UK) Ltd. | Investment Advisor/Hedge Fund | 1.1708 | 3953754 | -131550 | 2023-02-01 | LOW |
BlackRock Advisors (UK) Limited | Investment Advisor/Hedge Fund | 1.1365 | 3837687 | 801160 | 2023-02-01 | LOW |
T. Rowe Price Associates, Inc. | Investment Advisor | 1.0967 | 3703219 | 455257 | 2022-10-31 | LOW |
Royal London Asset Management (CIS) Limited | Investment Advisor | 0.9912 | 3347051 | -195466 | 2023-01-31 | MED |
State Street Global Advisors (UK) Ltd. | Investment Advisor/Hedge Fund | 0.9883 | 3337194 | -45816 | 2023-02-01 | LOW |
Liontrust Investment Partners LLP | Investment Advisor | 0.8983 | 3033570 | 400704 | 2022-10-31 | LOW |
Fidelity International | Investment Advisor | 0.7894 | 2665670 | 0 | 2023-02-01 | LOW |
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Bunzl Company profile
O spoločnosti Bunzl
Bunzl Public Limited Company je špecializovaná medzinárodná distribučná a servisná spoločnosť so sídlom v Spojenom kráľovstve. Segmenty spoločnosti zahŕňajú Severnú Ameriku, kontinentálnu Európu a Spojené kráľovstvo a Írsko. Spoločnosť dodáva celý rad spotrebných výrobkov, ako sú obaly na potraviny, jednorazový riad a vybavenie pre stravovacie zariadenia, čistiace a hygienické potreby, vybavenie pre hostí, prostriedky osobnej ochrany, obaly a spotrebný materiál pre zdravotníctvo na rôzne trhy zákazníkov vrátane potravinárskeho priemyslu, stravovacích služieb, čistiacich a hygienických zariadení, bezpečnosti, nepotravinárskeho maloobchodu, zdravotníctva a ďalších. Spoločnosť tiež dodáva tovar, ktorý nie je určený na predaj, vrátane potravinových obalov, fólií, etikiet, čistiacich a hygienických potrieb a prostriedkov osobnej ochrany do obchodov s potravinami, supermarketov a samoobsluh.
Industry: | Diversified Industrial Goods Wholesale |
110 Park Street
LONDON
00000
GB
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