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Companies/11476169

Alliance One International Holdings, Ltd.

Activities of other holding companies n.e.c. · Camberley

ActiveUnited KingdomIncorporated 2018Private Limited Company
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Financial position

Accounts to 2025-03-31 · USD · company scope

Net assets
USD 494,123,821
Cash
USD 7,171
Turnover
—
Profit / loss
USD 72,223,900
Current assets
USD 7,171
Creditors < 1 year
—
Equity
USD 494,123,821
Average employees
0

Balance-sheet trend

USD · company

Financial statements

Selected figures from the best-ranked available filing for each period. Missing values remain unknown.

9 periods
Reported figures2025-03-31USD · company2024-03-31USD · company2023-04-01USD · company2023-03-31GBP · unknown2022-04-01GBP · unknown2022-03-31GBP · unknown2021-04-01GBP · unknown2021-03-31GBP · unknown2020-04-01GBP · unknown
Balance sheet
Net assetsUSD 494,123,821USD 493,099,877USD 493,136,672£493,136,672—£493,201,836—£493,205,965—
EquityUSD 494,123,821USD 493,099,877USD 493,136,672£493,136,672£493,201,836£493,201,836£493,205,965£493,205,965£493,252,839
Assets
Fixed assetsUSD 494,122,554USD 494,122,554—£494,122,554—£494,122,554—£494,122,554—
Current assetsUSD 7,171USD 2,199—£3,891—£5,156—£5,648—
Cash at bankUSD 7,171USD 2,199—£3,776—£5,045—£5,648—
Liabilities
Net current assetsUSD 1,267−USD 1,022,677—−£985,882—−£920,718—−£916,589—
Profit & loss
Operating profitUSD 72,267,329−USD 1,692—−£32,105—£14,043—−£31,710—
Profit before taxUSD 72,223,900−USD 36,795—−£65,164—−£4,129—−£46,874—
Profit / lossUSD 72,223,900−USD 36,795—−£65,164—−£4,129—−£46,874—
People
Average employees00—0—0—0—
Source evidenceView filing View filing View filing View filing View filing View filing View filing View filing View filing

Secured borrowing

Registered charges, lenders and security interests.

Charges and related records

2 outstanding charges
Fixed · created 2023-03-30
—
Outstanding
All Assets · created 2023-02-06
—
Outstanding
Show 5 satisfied / released
Fixed · created 2020-08-24 · satisfied 2023-02-06
—
Satisfied
Fixed · created 2020-08-25 · satisfied 2023-02-06
—
Satisfied
Fixed · created 2020-08-25 · satisfied 2023-02-06
—
Satisfied
—
Satisfied