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ResumenLegal y estadoLínea temporalRedPropiedad y gestiónAccionistasBeneficiario finalGeografíaFinanzasSalud financieraDocumentos
ResumenLegal y estadoLínea temporalRedPropiedad y gestiónAccionistasBeneficiario finalGeografíaFinanzasSalud financieraDocumentos

GATE 77 LTD

Private Limited Company (Ltd.)•Disuelta
Ratio de liquidez corriente (2016)Ratio de liquidez corriente
0,88×
Rentabilidad sobre activos (neta) (2016)Rentabilidad sobre activos (neta)
77,8 %
Ratio de fondos propios (2023)Ratio de fondos propios

Resumen

País🇬🇧Reino Unido
EstadoDisuelta
Número de registro09534894
Fundada10/4/2015
Objeto socialTake-away food shops and mobile food stands
DirecciónCornerblock, 2 Cornwall Street, Birmingham, B3 2DX
Declaración de confirmaciónPróximo vencimiento: —; Última elaboración: —

Legal y estado

Forma legalPrivate Limited Company (Ltd.)
EstadoDisuelta
Fecha de registro10/4/2015
Autoridad registral—

Fuente: — · Última actualización: 2/12/2025

Línea temporal (26 eventos)

1/8/2025

Dirección actualizada

Cornerblock, 2 Cornwall Street, Birmingham, B3 2DX

1/11/2024

Dirección actualizada

Pkf Smith Cooper 1110 Elliott Court Coventry Business Park, Herald Avenue, Coventry, Cv5 6UB

10/4/2015

Nombramiento Stefanos Ermogenous (persona)

Nombrado como Secretary

Red

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Profundidad de la red

Propiedad y gestión

Persons with significant control

Stefanos Ermogenous

25–50% shares

Nombrado el: 10/4/2017

37.5%

Officers & directors

Stefanos Ermogenous

Director

Nombrado el: 10/4/2015

—
Stefanos Ermogenous

Secretary

Nombrado el: 10/4/2015

—
Dimitris Dimitrious

Secretary

Nombrado el: 1/1/2024 · Dimitió el: 29/7/2024

—
Dimitris Dimitrious

Director

Nombrado el: 1/1/2024 · Dimitió el: 29/7/2024

—

Línea temporal de propiedad (1 cambios)

10/4/2017

Nombramiento Stefanos Ermogenous (persona)

Persona con control significativo

Accionistas

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Beneficiario final

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Geografía

Sede

Cornerblock

2 Cornwall Street

Birmingham

B3 2DX

Finanzas

Cifras clave de cuentas anuales.

Convertir a

2016

Beneficio / (pérdida): £350

Cifras clave

Beneficio / (pérdida)

2016£350
2017—
2018—
2019—
2020—
2021—
2022—
2023—

Activo total

2016£450
2017£0
2018£1566
2019£-1605
2020£4379
2021£4535
2022£11.254
2023£24.480

Net Assets Liabilities

2016—
2017—
2018—
2019—
2020—
2021—
2022—
2023£24.480

Equity

2016—
2017£0
2018£1566
2019£-1605
2020£4379
2021£4535
2022£11.254
2023£24.480

Current Assets

2016£15.614
2017£0
2018£14.670
2019£9330
2020£21.997
2021£9530
2022£71.309
2023£77.147

Net Current Assets Liabilities

2016£-2058
2017£0
2018£-4950
2019£-8055
2020£-1426
2021£-8659
2022£-621
2023£52.542

Total Assets Less Current Liabilities

2016£450
2017£0
2018£1566
2019£-1605
2020£4379
2021£4535
2022£11.254
2023£68.647

Cash Bank On Hand

2016—
2017£0
2018£13.646
2019£7014
2020£20.857
2021£8854
2022£70.525
2023£75.497

Debtors

2016£100
2017£0
2018£100
2019£321
2020£100
2021£100
2022£100
2023£100

Other Debtors

2016—
2017—
2018—
2019—
2020—
2021—
2022—
2023£100

Creditors

2016—
2017£0
2018£19.620
2019£17.385
2020£23.423
2021£18.189
2022£71.930
2023£24.605

Other Creditors

2016—
2017—
2018—
2019—
2020—
2021—
2022—
2023£16.756

Number Shares Allotted

2016100
2017—
2018—
2019—
2020—
2021—
2022—
2023—

Par Value Share

2016£1
2017—
2018—
2019—
2020—
2021—
2022—
2023—

Average Number Employees During Period

2016—
2017—
20184
20194
20204
20215
20228
20238

Accrued Liabilities

2016—
2017£0
2018£943
2019£536
2020£4295
2021£1256
2022£2345
2023—

Accumulated Depreciation Impairment Property Plant Equipment

2016—
2017£530
2018£1246
2019£1891
2020£3357
2021£4676
2022£6466
2023£11.524

Bank Borrowings Overdrafts

2016—
2017—
2018—
2019—
2020—
2021—
2022—
2023£44.167

Called Up Share Capital

2016£100
2017—
2018—
2019—
2020—
2021—
2022—
2023—

Cash Bank In Hand

2016£14.718
2017—
2018—
2019—
2020—
2021—
2022—
2023—

Cash On Hand

2016—
2017—
2018—
2019—
2020—
2021£1550
2022£117
2023—

Corporation Tax Payable

2016—
2017£0
2018£400
2019£0
2020£1824
2021£133
2022£3715
2023£378

Creditors Due Within One Year

2016£17.672
2017—
2018—
2019—
2020—
2021—
2022—
2023—

Increase From Depreciation Charge For Year Property Plant Equipment

2016—
2017£251
2018£716
2019£645
2020£1466
2021£1319
2022£1790
2023£5058

Other Taxation Social Security Payable

2016—
2017£0
2018£203
2019£161
2020£0
2021£729
2022£116
2023£7471

Prepayments

2016—
2017—
2018£0
2019£221
2020—
2021—
2022—
2023—

Profit Loss Account Reserve

2016£350
2017—
2018—
2019—
2020—
2021—
2022—
2023—

Property Plant Equipment

2016—
2017£2508
2018£6516
2019£6450
2020£5805
2021£13.194
2022£11.875
2023£16.105

Property Plant Equipment Gross Cost

2016—
2017£7046
2018£7696
2019£7696
2020£16.551
2021£16.551
2022£22.571
2023£32.525

Share Capital Allotted Called Up Paid

2016£100
2017—
2018—
2019—
2020—
2021—
2022—
2023—

Shareholder Funds

2016£450
2017—
2018—
2019—
2020—
2021—
2022—
2023—

Stocks Inventory

2016£796
2017—
2018—
2019—
2020—
2021—
2022—
2023—

Tangible Fixed Assets

2016£2508
2017—
2018—
2019—
2020—
2021—
2022—
2023—

Tangible Fixed Assets Additions

2016£2787
2017—
2018—
2019—
2020—
2021—
2022—
2023—

Tangible Fixed Assets Cost Or Valuation

2016£2787
2017—
2018—
2019—
2020—
2021—
2022—
2023—

Tangible Fixed Assets Depreciation

2016£279
2017—
2018—
2019—
2020—
2021—
2022—
2023—

Tangible Fixed Assets Depreciation Charged In Period

2016£279
2017—
2018—
2019—
2020—
2021—
2022—
2023—

Total Additions Including From Business Combinations Property Plant Equipment

2016—
2017£4259
2018£650
2019—
2020£8855
2021—
2022£6020
2023£9954

Total Inventories

2016—
2017£0
2018£924
2019£1995
2020£1040
2021£576
2022£684
2023—
Métrica20162017201820192020202120222023
Beneficio / (pérdida)£350———————
Activo total£450£0£1566£-1605£4379£4535£11.254£24.480
Net Assets Liabilities———————£24.480
Equity—£0£1566£-1605£4379£4535£11.254£24.480
Current Assets£15.614£0£14.670£9330£21.997£9530£71.309£77.147
Net Current Assets Liabilities£-2058£0£-4950£-8055£-1426£-8659£-621£52.542
Total Assets Less Current Liabilities£450£0£1566£-1605£4379£4535£11.254£68.647
Cash Bank On Hand—£0£13.646£7014£20.857£8854£70.525£75.497
Debtors£100£0£100£321£100£100£100£100
Other Debtors———————£100
Creditors—£0£19.620£17.385£23.423£18.189£71.930£24.605
Other Creditors———————£16.756
Number Shares Allotted100———————
Par Value Share£1———————
Average Number Employees During Period——444588
Accrued Liabilities—£0£943£536£4295£1256£2345—
Accumulated Depreciation Impairment Property Plant Equipment—£530£1246£1891£3357£4676£6466£11.524
Bank Borrowings Overdrafts———————£44.167
Called Up Share Capital£100———————
Cash Bank In Hand£14.718———————
Cash On Hand—————£1550£117—
Corporation Tax Payable—£0£400£0£1824£133£3715£378
Creditors Due Within One Year£17.672———————
Increase From Depreciation Charge For Year Property Plant Equipment—£251£716£645£1466£1319£1790£5058
Other Taxation Social Security Payable—£0£203£161£0£729£116£7471
Prepayments——£0£221————
Profit Loss Account Reserve£350———————
Property Plant Equipment—£2508£6516£6450£5805£13.194£11.875£16.105
Property Plant Equipment Gross Cost—£7046£7696£7696£16.551£16.551£22.571£32.525
Share Capital Allotted Called Up Paid£100———————
Shareholder Funds£450———————
Stocks Inventory£796———————
Tangible Fixed Assets£2508———————
Tangible Fixed Assets Additions£2787———————
Tangible Fixed Assets Cost Or Valuation£2787———————
Tangible Fixed Assets Depreciation£279———————
Tangible Fixed Assets Depreciation Charged In Period£279———————
Total Additions Including From Business Combinations Property Plant Equipment—£4259£650—£8855—£6020£9954
Total Inventories—£0£924£1995£1040£576£684—

Documentos

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Final Gazette dissolved following liquidation

18/2/2026

Ver

Return of final meeting in a creditors' voluntary winding up

18/11/2025

Ver

Change of registered office address

10/7/2025

Ver

Appointment of a voluntary liquidator

27/6/2025

Ver

Removal of liquidator by court order

27/6/2025

Ver

Change of registered office address

4/10/2024

Ver

Appointment of a voluntary liquidator

4/10/2024

Ver

Statement of affairs

4/10/2024

Ver

Resolutions LRESEX ‐ Extraordinary resolution to wind up on 2024-09-26

4/10/2024

Ver

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Activos totales interanuales (2022 vs. 2023)Activos totales interanuales
+117,5 %
CAGR activos totales (2016–2023)CAGR activos totales
+77 %

Salud financiera

Ratios derivados de las cuentas anuales. Se omiten los valores cuando faltan datos o no son significativos.

Crecimiento

Activos totales interanuales (2016 vs. 2017)
-100 %
Activo circulante neto interanual (2016 vs. 2017)
+100 %
Activos totales interanuales (2018 vs. 2019)
-202,5 %
Activo circulante neto interanual (2018 vs. 2019)
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Activos totales interanuales (2019 vs. 2020)
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Activo circulante neto interanual (2019 vs. 2020)
+82,3 %
Activos totales interanuales (2020 vs. 2021)
+3,6 %
Activo circulante neto interanual (2020 vs. 2021)
-507,2 %
Activos totales interanuales (2021 vs. 2022)
+148,2 %
Activo circulante neto interanual (2021 vs. 2022)
+92,8 %
Activos totales interanuales (2022 vs. 2023)
+117,5 %
Activo circulante neto interanual (2022 vs. 2023)
+8560,9 %
CAGR activos totales (2016–2023)
+77 %

Eficiencia y rentabilidad

Rentabilidad sobre activos (neta) (2016)
77,8 %

Capital circulante y liquidez

Ratio de liquidez corriente (2016)
0,88×
Activo circulante neto (2016)
-2058 GBP
Activo circulante neto (2018)
-4950 GBP
Activo circulante neto (2019)
-8055 GBP
Activo circulante neto (2020)
-1426 GBP
Activo circulante neto (2021)
-8659 GBP
Activo circulante neto (2022)
-621 GBP
Activo circulante neto (2023)
52.542 GBP

Estructura de capital

Ratio de fondos propios (2018)
100 %
Ratio de fondos propios (2020)
100 %
Ratio de fondos propios (2021)
100 %
Ratio de fondos propios (2022)
100 %
Ratio de fondos propios (2023)
100 %
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