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Ste Capital Sp. z o.o. (Poland)

Main Activities: Residential Building Construction | Nonresidential Building Construction | Industrial Building Construction | Commercial and Institutional Building Construction | Engineering Services
Secondary Activities: Water and Sewer Line and Related Structures Construction | Foundation, Structure, and Building Exterior Contractors | Roofing Contractors | Site Preparation Contractors | Veneer, Plywood, and Engineered Wood Product Manufacturing | Grain and Field Bean Merchant Wholesalers | Farm Supplies Merchant Wholesalers | Lessors of Real Estate | Real Estate Property Managers | Engineering Services
Full name: Ste Capital Sp. z o.o. Profile Updated: December 20, 2025
Buy our report for this company USD 29.95 Most recent financial data: 2025 Available in: English & Polish Download a sample report

Ste Capital Sp. z o.o. is a company based in Poland, with its head office in Olsztyn. It operates in the Residential Building Construction industry. The company was established on April 26, 2019. 2 (2020) employees currently work for Ste Capital Sp. z o.o.. From the latest financial highlights, Ste Capital Sp. z o.o. reported a net sales revenue increase of 24.22% in 2025. Its’ total assets recorded a growth of 66.67%.

Headquarters
Ul. Marka Kotanskiego 4
Olsztyn; Warminsko-Mazurskie; Postal Code: 10-166

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Website: http://www.stecapital.pl

Basic Information
Total Employees:
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Registered Capital:
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Financial Auditors:
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Incorporation Date:
April 26, 2019
Key Executives
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President
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Vice President
Ownership Details
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65.08%
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34.92%
Subsidiaries
Gomiko Port 69 Sp. z o.o.
100%
Osiedle Plazova Sp. z o.o.
99.99%
Gomiko 1 Sp. z o.o.
98%
Company Performance
Financial values in the chart are available after Ste Capital Sp. z o.o. report is purchased.
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Key Financial Highlights
Annual growth percentages for latest two years in local currency PLN. Absolute financial data is included in the purchased report.
Net sales revenue
24.22%
Total Operating Revenue
26.04%
Operating Profit
29.36%
EBITDA
29.31%
Net Profit/Loss for the Period
24.22%
Total Assets
66.67%
Total Equity
28.57%
Operating Profit Margin
0.33%
Net Profit Margin
0%
Return on Equity (ROE)
-1.31%
Debt / Equity
15.87%
Quick Ratio
0.03%
Cash Ratio
-0.04%

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