content arcade (uk) ltd.

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content arcade (uk) ltd. Company Information

Share CONTENT ARCADE (UK) LTD.

Company Number

08295428

Directors

Tausif Akram

Shareholders

tausif akram

Group Structure

View All

Industry

Web portals

 

Registered Address

438 streatham high road, london, SW16 3PX

content arcade (uk) ltd. Estimated Valuation

£236.8k

Pomanda estimates the enterprise value of CONTENT ARCADE (UK) LTD. at £236.8k based on a Turnover of £281.3k and 0.84x industry multiple (adjusted for size and gross margin).

content arcade (uk) ltd. Estimated Valuation

£37.9k

Pomanda estimates the enterprise value of CONTENT ARCADE (UK) LTD. at £37.9k based on an EBITDA of £8.7k and a 4.38x industry multiple (adjusted for size and gross margin).

content arcade (uk) ltd. Estimated Valuation

£154.5k

Pomanda estimates the enterprise value of CONTENT ARCADE (UK) LTD. at £154.5k based on Net Assets of £67.3k and 2.3x industry multiple (adjusted for liquidity).

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Content Arcade (uk) Ltd. Overview

Content Arcade (uk) Ltd. is a live company located in london, SW16 3PX with a Companies House number of 08295428. It operates in the web portals sector, SIC Code 63120. Founded in November 2012, it's largest shareholder is tausif akram with a 100% stake. Content Arcade (uk) Ltd. is a established, micro sized company, Pomanda has estimated its turnover at £281.3k with low growth in recent years.

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Content Arcade (uk) Ltd. Health Check

Pomanda's financial health check has awarded Content Arcade (Uk) Ltd. a 3.5 rating. We use a traffic light system to show it exceeds the industry average on 3 measures and has 6 areas for improvement. Company Health Check FAQs

Health Check Image
Health Rating3.5out of 5
positive_score

3 Strong

positive_score

1 Regular

positive_score

6 Weak

size

Size

annual sales of £281.3k, make it smaller than the average company (£2.4m)

£281.3k - Content Arcade (uk) Ltd.

£2.4m - Industry AVG

growth

Growth

3 year (CAGR) sales growth of 0%, show it is growing at a slower rate (9.8%)

0% - Content Arcade (uk) Ltd.

9.8% - Industry AVG

production

Production

with a gross margin of 25.4%, this company has a higher cost of product (50.6%)

25.4% - Content Arcade (uk) Ltd.

50.6% - Industry AVG

profitability

Profitability

an operating margin of 3.1% make it more profitable than the average company (2.5%)

3.1% - Content Arcade (uk) Ltd.

2.5% - Industry AVG

employees

Employees

with 8 employees, this is below the industry average (18)

8 - Content Arcade (uk) Ltd.

18 - Industry AVG

paystructure

Pay Structure

on an average salary of £50.4k, the company has an equivalent pay structure (£50.4k)

£50.4k - Content Arcade (uk) Ltd.

£50.4k - Industry AVG

efficiency

Efficiency

resulting in sales per employee of £35.2k, this is less efficient (£111.3k)

£35.2k - Content Arcade (uk) Ltd.

£111.3k - Industry AVG

debtordays

Debtor Days

There is insufficient data available for this Key Performance Indicator!

- - Content Arcade (uk) Ltd.

- - Industry AVG

creditordays

Creditor Days

its suppliers are paid after 3 days, this is quicker than average (40 days)

3 days - Content Arcade (uk) Ltd.

40 days - Industry AVG

stockdays

Stock Days

There is insufficient data available for this Key Performance Indicator!

- - Content Arcade (uk) Ltd.

- - Industry AVG

cashbalance

Cash Balance

has cash to cover current liabilities for 1840 weeks, this is more cash available to meet short term requirements (18 weeks)

1840 weeks - Content Arcade (uk) Ltd.

18 weeks - Industry AVG

debtlevel

Debt Level

it has a ratio of liabilities to total assets of 2.8%, this is a lower level of debt than the average (68.1%)

2.8% - Content Arcade (uk) Ltd.

68.1% - Industry AVG

CONTENT ARCADE (UK) LTD. financials

EXPORTms excel logo

Content Arcade (Uk) Ltd.'s latest turnover from November 2023 is estimated at £281.3 thousand and the company has net assets of £67.3 thousand. According to their latest financial statements, Content Arcade (Uk) Ltd. has 8 employees and maintains cash reserves of £69.3 thousand as reported in the balance sheet.

Data source: Companies HousePomanda Estimates

Nov 2023Nov 2022Nov 2021Nov 2020Nov 2019Nov 2018Nov 2017Nov 2016Nov 2015Nov 2014Nov 2013
Turnover281,280229,317238,863277,827371,95511,22814,04210,6835,4772,7570
Other Income Or Grants00000000000
Cost Of Sales209,971160,962148,953179,281263,7688,63610,8318,6093,8251,9740
Gross Profit71,30868,35589,91098,546108,1862,5923,2122,0741,6527830
Admin Expenses62,64560,796131,13097,41017,195-10,501-10,6497,7304,506-3,3240
Operating Profit8,6637,559-41,2201,13690,99113,09313,861-5,656-2,8544,1070
Interest Payable00000000000
Interest Receivable3,5041,6898011346898572039160
Pre-Tax Profit12,1679,248-41,1401,24991,45913,19113,917-5,636-2,8154,1230
Tax-3,042-1,7570-237-17,377-2,506-2,64400-8660
Profit After Tax9,1257,491-41,1401,01274,08210,68511,273-5,636-2,8153,2570
Dividends Paid00000000000
Retained Profit9,1257,491-41,1401,01274,08210,68511,273-5,636-2,8153,2570
Employee Costs402,909360,216367,792377,702388,34848,25747,98044,25543,70242,7090
Number Of Employees88888111110
EBITDA*8,66312,275-36,5005,85695,71117,81313,971-5,546-2,7444,2170

* Earnings Before Interest, Tax, Depreciation and Amortisation

Nov 2023Nov 2022Nov 2021Nov 2020Nov 2019Nov 2018Nov 2017Nov 2016Nov 2015Nov 2014Nov 2013
Tangible Assets004,7169,43614,15618,87601102203300
Intangible Assets00000000000
Investments & Other00000000000
Debtors (Due After 1 year)00000000000
Total Fixed Assets004,7169,43614,15618,87601102203300
Stock & work in progress00000000000
Trade Debtors00000000000
Group Debtors00000000000
Misc Debtors00000000000
Cash69,29364,17648,446111,179115,1149,77716,3356,3209,3006,2100
misc current assets00000000000
total current assets69,29364,17648,446111,179115,1149,77716,3356,3209,3006,2100
total assets69,29364,17653,162120,615129,27028,65316,3356,4309,5206,5400
Bank overdraft00000000000
Bank loan00000000000
Trade Creditors 1,9585,9662,44328,75638,42311,88810,25511,6239,0773,2820
Group/Directors Accounts00000000000
other short term finances00000000000
hp & lease commitments00000000000
other current liabilities00000000000
total current liabilities1,9585,9662,44328,75638,42311,88810,25511,6239,0773,2820
loans00000000000
hp & lease commitments00000000000
Accruals and Deferred Income00000000000
other liabilities00000000000
provisions00000000000
total long term liabilities00000000000
total liabilities1,9585,9662,44328,75638,42311,88810,25511,6239,0773,2820
net assets67,33558,21050,71991,85990,84716,7656,080-5,1934433,2580
total shareholders funds67,33558,21050,71991,85990,84716,7656,080-5,1934433,2580
Nov 2023Nov 2022Nov 2021Nov 2020Nov 2019Nov 2018Nov 2017Nov 2016Nov 2015Nov 2014Nov 2013
Operating Activities
Operating Profit8,6637,559-41,2201,13690,99113,09313,861-5,656-2,8544,1070
Depreciation04,7164,7204,7204,7204,7201101101101100
Amortisation00000000000
Tax-3,042-1,7570-237-17,377-2,506-2,64400-8660
Stock00000000000
Debtors00000000000
Creditors-4,0083,523-26,313-9,66726,5351,633-1,3682,5465,7953,2820
Accruals and Deferred Income00000000000
Deferred Taxes & Provisions00000000000
Cash flow from operations1,61314,041-62,813-4,048104,86916,9409,959-3,0003,0516,6330
Investing Activities
capital expenditure00000-23,596000-4400
Change in Investments00000000000
cash flow from investments00000-23,596000-4400
Financing Activities
Bank loans00000000000
Group/Directors Accounts00000000000
Other Short Term Loans 00000000000
Long term loans00000000000
Hire Purchase and Lease Commitments00000000000
other long term liabilities00000000000
share issue00000000010
interest3,5041,6898011346898572039160
cash flow from financing3,5041,6898011346898572039170
cash and cash equivalents
cash5,11715,730-62,733-3,935105,337-6,55810,015-2,9803,0906,2100
overdraft00000000000
change in cash5,11715,730-62,733-3,935105,337-6,55810,015-2,9803,0906,2100

content arcade (uk) ltd. Credit Report and Business Information

Very Low Risk70 - 100
Low Risk50 - 70
Moderate Risk30 - 50
High Risk20 - 30
Very High Risk0 - 20
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Content Arcade (uk) Ltd. Competitor Analysis

competitor_analysis_table_img

Perform a competitor analysis for content arcade (uk) ltd. by selecting its closest rivals, whether from the INFORMATION AND COMMUNICATION sector, other micro companies, companies in SW16 area or any other competitors across 12 key performance metrics.

content arcade (uk) ltd. Ownership

CONTENT ARCADE (UK) LTD. group structure

Content Arcade (Uk) Ltd. has no subsidiary companies.

Ultimate parent company

CONTENT ARCADE (UK) LTD.

08295428

CONTENT ARCADE (UK) LTD. Shareholders

tausif akram 100%

content arcade (uk) ltd. directors

Content Arcade (Uk) Ltd. currently has 1 director, Ms Tausif Akram serving since Nov 2012.

officercountryagestartendrole
Ms Tausif AkramPakistan48 years Nov 2012- Director

P&L

November 2023

turnover

281.3k

+23%

operating profit

8.7k

0%

gross margin

25.4%

-14.95%

turnover

Turnover, or revenue, is the amount of sales generated by a company within the financial year.

Balance Sheet

November 2023

net assets

67.3k

+0.16%

total assets

69.3k

+0.08%

cash

69.3k

+0.08%

net assets

Total assets minus all liabilities

content arcade (uk) ltd. company details

company number

08295428

Type

Private limited with Share Capital

industry

63120 - Web portals

incorporation date

November 2012

age

13

incorporated

UK

ultimate parent company

None

accounts

Unaudited Abridged

last accounts submitted

November 2023

previous names

N/A

accountant

-

auditor

-

address

438 streatham high road, london, SW16 3PX

Bank

-

Legal Advisor

-

content arcade (uk) ltd. Charges & Mortgages

A charge, or mortgage, refers to the rights a company gives to a lender in return for a loan, often in the form of security given over business assets.

We did not find charges/mortgages relating to content arcade (uk) ltd..

content arcade (uk) ltd. Capital Raised & Share Issues BETA

When a company issues new shares, e.g. to new investors following a funding round, it is required to notify Companies House within one month of making an allotment of shares.

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content arcade (uk) ltd. Companies House Filings - See Documents

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