MB "Karšti vėjai" Finance - revenue, profit
Financial ratios
EBITDA margin (%)
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with Freemium unlimitedEBIT margin (%)
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with Freemium unlimited| Indicator |
|---|
| Turnover (€) |
| Sales per employee (€) |
| Profit before tax (€) |
| Net Profit (€) |
| Profit per employee (€) |
| Total profitability (%) |
| Net profitability (%) |
| Equity (€) |
| Amounts Payable And Liabilities (€) |
| Non-current Assets (€) |
| CurrentAssets (€) |
| Working capital requirement |
| Debt-to-equity ratio |
| EBITDA margin (%) |
| EBITDA (€) |
| EBIT margin (%) |
| EBIT (€) |
| 2023 |
|---|
| 202,435 |
| 110,620 |
| -1,974 |
| -1,974 |
| -1,079 |
| 27.81 |
| -0.98 |
| 8,992 |
| 7,224 |
| 9,888 |
| 6,328 |
| 2024 |
|---|
| 315,821 |
| 122,888 |
| 16,424 |
| 14,856 |
| 5,781 |
| 32.99 |
| 4.70 |
| 23,848 |
| 10,054 |
| 14,658 |
| 19,244 |
| 2025 |
|---|
| 391,093 |
| 130,364 |
| 24,990 |
| 20,992 |
| 6,997 |
| 27.75 |
| 5.37 |
| 44,841 |
| 15,484 |
| 12,048 |
| 48,277 |
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with Freemium unlimited| 2025 |
|---|
| 391,093 |
| 130,364 |
| 24,990 |
| 20,992 |
| 6,997 |
| 27.75 |
| 5.37 |
| 44,841 |
| 15,484 |
| 12,048 |
| 48,277 |
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with Freemium unlimitedTurnover (€)
2025
Turnover (€)
391,093 €24 % *
Sales per employee (€)
130,364 €6 % *
Profit before tax (€)
24,990 €52 % *
Net Profit (€)
20,992 €41 % *
Profit per employee (€)
6,997 €21 % *
Total profitability (%)
27.75 %-15.88 % *
Net profitability (%)
5.37 %14.26 % *
Equity (€)
44,841 €88 % *
Amounts Payable And Liabilities (€)
15,484 €54 % *
Non-current Assets (€)
12,048 €-18 % *
CurrentAssets (€)
48,277 €151 % *
