Property, Plant & Equipment
1,080,000 GBP2025-05-31
1,050,000 GBP2024-05-31
Fixed Assets - Investments
101 GBP2025-05-31
101 GBP2024-05-31
Fixed Assets
1,080,101 GBP2025-05-31
1,050,101 GBP2024-05-31
Debtors
138,145 GBP2025-05-31
133,145 GBP2024-05-31
Cash at bank and in hand
424,839 GBP2025-05-31
412,461 GBP2024-05-31
Current Assets
562,984 GBP2025-05-31
545,606 GBP2024-05-31
Net Current Assets/Liabilities
203,035 GBP2025-05-31
180,074 GBP2024-05-31
Total Assets Less Current Liabilities
1,283,136 GBP2025-05-31
1,230,175 GBP2024-05-31
Net Assets/Liabilities
1,173,954 GBP2025-05-31
1,084,399 GBP2024-05-31
Equity
Called up share capital
102 GBP2025-05-31
102 GBP2024-05-31
Revaluation reserve
513,911 GBP2025-05-31
483,911 GBP2024-06-01
483,911 GBP2024-05-31
483,911 GBP2023-06-01
Retained earnings (accumulated losses)
659,941 GBP2025-05-31
600,386 GBP2024-05-31
Equity
1,173,954 GBP2025-05-31
1,084,399 GBP2024-05-31
Average Number of Employees
22024-06-01 ~ 2025-05-31
22023-06-01 ~ 2024-05-31
Property, Plant & Equipment - Gross Cost
Land and buildings
1,080,000 GBP2025-05-31
1,050,000 GBP2024-06-01
Property, Plant & Equipment - Gross Cost
1,080,000 GBP2025-05-31
1,050,000 GBP2024-06-01
Property, Plant & Equipment - Total increase or decrease resulting from revaluations
Land and buildings
30,000 GBP2024-06-01 ~ 2025-05-31
Property, Plant & Equipment - Total increase or decrease resulting from revaluations
30,000 GBP2024-06-01 ~ 2025-05-31
Property, Plant & Equipment
Land and buildings
1,080,000 GBP2025-05-31
Investments in Subsidiaries
Cost valuation
101 GBP2025-05-31
101 GBP2024-06-01
Investments in Subsidiaries
101 GBP2025-05-31
101 GBP2024-05-31
Amounts invested in assets
101 GBP2025-05-31
101 GBP2024-05-31
Other Debtors
138,145 GBP2025-05-31
133,145 GBP2024-05-31
Bank Borrowings/Overdrafts
Amounts falling due within one year
35,795 GBP2025-05-31
34,565 GBP2024-05-31
Amounts owed to group undertakings and participating interests
Amounts falling due within one year
295,154 GBP2025-05-31
315,003 GBP2024-05-31
Taxation/Social Security Payable
28,969 GBP2025-05-31
15,964 GBP2024-05-31
Loans received from directors
Amounts falling due within one year
31 GBP2025-05-31
Bank Borrowings/Overdrafts
Amounts falling due after one year
109,182 GBP2025-05-31
145,776 GBP2024-05-31
Dividends Paid on Shares
71,205 GBP2024-06-01 ~ 2025-05-31
74,287 GBP2023-06-01 ~ 2024-05-31
All ordinary shares
71,205 GBP2024-06-01 ~ 2025-05-31
EDENVIEW DEVELOPMENTS LIMITED
InfoRegistered number 04509650127-129 London Road, Cowplain, Waterlooville, Hampshire PO8 8XJ
PRIVATE LIMITED COMPANY incorporated on 2002-08-13 (23 years 9 months). The status of the company number is Active.
The last date of confirmation statement was made at 2025-08-13
CIF 0EDENVIEW DEVELOPMENTS LIMITED
SRegistered number 04509650
127-129, London Road, Cowplain, Waterlooville, England, PO8 8XJ
Private Company Limited By Shares in Uk Register Of Companies, United Kingdom
CIF 1 EDENVIEW DEVELOPMENTS LTD
SRegistered number 04509650
127-129, London Road, Cowplain, Waterlooville, Hampshire, England, PO8 8XJ
Limited Company in Register Of Companies, United Kingdom
CIF 2 CIF 3 EDENVIEW DEVELOPMENTS LTD
SRegistered number 04509650
127-129, London Road, Cowplain,waterlooville, Hants, United Kingdom, PO8 8XJ
Limited Company in Register Of Companies, United Kingdom
CIF 4 EDENVIEW DEVELOPMENTS LTD
SRegistered number 04509650
127-9, London Road, Cowplain, Waterlooville, Hampshire, United Kingdom, PO8 8XJ
Limited Company in Register Of Companies, United Kingdom
CIF 5 EDENVIEW DEVELOPMENTS
SRegistered number 04509650
127-129, London Road, Cowplain, Waterlooville, Hampshire, United Kingdom, PO8 8XJ
Limited Company in Register Of Companies, United Kingdom
CIF 6