
- Name: BAMBOOM SRL
- Website: bamboom.it
- Market: Private Markets
- Main Currency: € - Euro
- Share Price: -
- Market Cap: -
- Location: Ivrea, Italy
Wholesale of clothing and footwear
Income Statement
A.
TOTAL PRODUCTION VALUE 10,149,688€
A.1.
Revenues from sales and services 9,271,057€
A.2.
Product inventory variations 834,363€
A.2.
+ A.3. Total variations 834,363€
A.5.
Total other revenues 44,268€
Other revenues 44,268€
B.
PRODUCTION COSTS 8,190,286€
B.6.
Purchase of materials 2,968,756€
B.7.
Services 4,447,440€
B.8.
Leased assets 127,400€
B.9.a.
wages/salaries 439,632€
B.9.b.
Social security costs 95,256€
B.9.c.
Severance payments 31,204€
B.9.e.
Other costs 47,501€
B.9.
c+d+e severance payments + pensions + other costs 78,705€
B.9.
TOT staff costs 613,593€
B.10.a.
Depreciation of intangibles 39,548€
B.10.b.
Depreciation of tangibles 10,923€
B.10.a.+b.+c.
Depreciation and impairment of fixed assets 50,471€
B.10.
TOT depreciation and impairment 50,471€
B.11.
Variation in materials -42,549€
B.14.
Other operating charges 25,175€
*
Difference between value and cost of production (a - b) 1,959,402€
C.
TOTAL REVENUES AND FINANCIAL CHARGES 5,913€
C.16.d.
Other revenues 12,710€
C.16.d.
Other 12,710€
C.16.
Total other revenues 12,710€
C.17.
To other 1,801€
C.17.bis.
Profit and loss from foreign-exchange -4,996€
C.17.
Total financial charges 1,801€
*
Result before taxes 1,965,315€
20.
Total current, deferred and prepaid income tax 555,803€
20.a.
Current taxes 555,803€
21.
PROFIT/LOSS FOR THE YEAR 1,409,512€
Balance Sheet
B.
TOTAL FIXED ASSETS 306,397€
B.I.
TOTAL INTANGIBLE FIXED ASSETS 249,171€
B.II.
TOTAL TANGIBLE FIXED ASSETS 54,226€
B.III.
TOTAL FINANCIAL FIXED ASSETS 3,000€
C.
CURRENT ASSETS 5,091,247€
C.I.
TOTAL INVENTORY 2,223,290€
C.I.1.
Raw materials 599,733€
C.I.4.
Finished products 1,623,557€
C.II.
TOTAL CREDITS 1,966,931€
C.II.>>
SHORT TERM CREDITS 1,966,931€
C.II.1.
Credits to customers 1,693,464€
C.II.1.
Total credits to customers 1,693,464€
C.II.4.bis.
Tax assets 3,843€
C.II.4.bis.
Total tax assets 3,843€
C.II.5.
Credits to others 269,624€
C.II.5.
Total credits to others 269,624€
C.IV.
Cash equivalents 901,026€
C.IV.1.
Bank deposits 899,906€
C.IV.3.
Cash in hand 1,120€
D.
Accruals and deferrals 10,405€
Total assets 5,408,049€
A.
TOTAL NET WORTH 3,820,711€
A.I.
Share capital 100,000€
A.IV.
Legal reserve 20,000€
A.VI.
Other reserves 2,291,199€
Extraordinary reserve 2,291,198€
A.IX.
Profit/Loss for the year 1,409,512€
C.
Severance payments 65,925€
D.
TOTAL DEBTS 1,425,047€
D.>>
SHORT TERMS DEBTS 1,425,048€
D.4.
Total debts owed to banks 723€
D.4.
Debts owed to banks 723€
D.5.
Total debts due to other providers of finance 5,944€
D.5.
Debts owed to other lenders 5,944€
D.7.
Total trade debts 1,175,658€
D.7.
Debts owed to suppliers 1,175,658€
D.12.
Tax liabilities 166,606€
D.12.
Total tax liabilities 166,606€
D.13.
Debts owed to social security agencies 26,527€
D.13.
Total debts due to social security and welfare institutions 26,527€
D.14.
Total other debts 49,590€
D.14.
Other debts 49,590€
E.
ACCRUALS AND DEFERRALS 16,325€
TOTAL LIABILITIES 5,408,049€
Balance Sheet History
Income Statement
A.
TOTAL PRODUCTION VALUE 6,941,227€
A.1.
Revenues from sales and services 6,809,045€
A.2.
Product inventory variations 124,788€
A.2.
+ A.3. Total variations 124,788€
A.5.
Total other revenues 7,394€
Other revenues 7,394€
B.
PRODUCTION COSTS 5,432,815€
B.6.
Purchase of materials 1,697,293€
B.7.
Services 3,276,959€
B.8.
Leased assets 93,870€
B.9.a.
wages/salaries 323,805€
B.9.b.
Social security costs 57,275€
B.9.c.
Severance payments 23,745€
B.9.e.
Other costs 20,436€
B.9.
c+d+e severance payments + pensions + other costs 44,181€
B.9.
TOT staff costs 425,261€
B.10.a.
Depreciation of intangibles 18,242€
B.10.b.
Depreciation of tangibles 7,825€
B.10.a.+b.+c.
Depreciation and impairment of fixed assets 26,067€
B.10.d.
Impairment of credits and disp. 5,000€
B.10.
TOT depreciation and impairment 31,067€
B.11.
Variation in materials -114,243€
B.14.
Other operating charges 22,608€
*
Difference between value and cost of production (a - b) 1,508,412€
C.
TOTAL REVENUES AND FINANCIAL CHARGES 3,205€
C.16.d.
Other revenues 702€
C.16.d.
Other 702€
C.16.
Total other revenues 702€
C.17.
To other 2,019€
C.17.bis.
Profit and loss from foreign-exchange 4,522€
C.17.
Total financial charges 2,019€
*
Result before taxes 1,511,617€
20.
Total current, deferred and prepaid income tax 429,583€
20.a.
Current taxes 429,583€
21.
PROFIT/LOSS FOR THE YEAR 1,082,034€
Balance Sheet
B.
TOTAL FIXED ASSETS 91,484€
B.I.
TOTAL INTANGIBLE FIXED ASSETS 55,518€
B.II.
TOTAL TANGIBLE FIXED ASSETS 35,966€
C.
CURRENT ASSETS 3,458,442€
C.I.
TOTAL INVENTORY 1,346,378€
C.I.1.
Raw materials 557,184€
C.I.4.
Finished products 789,194€
C.II.
TOTAL CREDITS 1,223,368€
C.II.>>
SHORT TERM CREDITS 1,223,368€
C.II.1.
Credits to customers 1,080,092€
C.II.1.
Total credits to customers 1,080,092€
C.II.5.
Credits to others 143,276€
C.II.5.
Total credits to others 143,276€
C.IV.
Cash equivalents 888,696€
C.IV.1.
Bank deposits 887,773€
C.IV.3.
Cash in hand 923€
D.
Accruals and deferrals 1,347€
Total assets 3,551,273€
A.
TOTAL NET WORTH 2,411,198€
A.I.
Share capital 100,000€
A.IV.
Legal reserve 20,000€
A.VI.
Other reserves 1,209,164€
Extraordinary reserve 1,209,164€
A.IX.
Profit/Loss for the year 1,082,034€
C.
Severance payments 40,098€
D.
TOTAL DEBTS 1,027,759€
D.>>
SHORT TERMS DEBTS 1,027,760€
D.5.
Total debts due to other providers of finance 6,019€
D.5.
Debts owed to other lenders 6,019€
D.7.
Total trade debts 809,706€
D.7.
Debts owed to suppliers 809,706€
D.12.
Tax liabilities 146,531€
D.12.
Total tax liabilities 146,531€
D.13.
Debts owed to social security agencies 18,069€
D.13.
Total debts due to social security and welfare institutions 18,069€
D.14.
Total other debts 47,435€
D.14.
Other debts 47,435€
E.
ACCRUALS AND DEFERRALS 14,220€
TOTAL LIABILITIES 3,551,273€
⚠️ Data Normalization Applied ⚠️
Some values in this chart have been scaled down to improve readability when datasets have significantly different scales. Normalized data is indicated by dashed lines and diagonal striped bars.
Some values in this chart have been scaled down to improve readability when datasets have significantly different scales. Normalized data is indicated by dashed lines and diagonal striped bars.
*Data displayed on this chart is taken from the company's balance sheets and is as accurate as it can get. Balance sheets are normally filed once per year, so this Chart can take some time to get up to date.
Bamboom Srl - Ownership & Management
Main shareholders displayed on a pie chart.
Last updated: August 14, 2025
Main Shareholders
Managers
- Pietro Busnardo - Chairman of board of directors
- Pascalle De Jongh - Managing director
- Riccardo Nunzio Di Crescenzo - Director
- Fabrizio Domenico Grasso - Director
- Francesco Pinto - Director
- Ferri Leonardo De Lazara - Chairman of board of auditors
- Andrea Donna - Permanent auditor
- Francesca Sturba - Permanent auditor
- Matteo Ferraretto - Temporary auditor
- Diego Carnevale Maffe' - Temporary auditor