UAB "Karališkoji chemija" Finance - revenue, profit
EBITDA margin (%)
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Indicator |
---|
Turnover (€) |
Sales per employee (€) |
Profit before tax (€) |
Net Profit (€) |
Profit per employee (€) |
Working capital requirement |
Debt-to-equity ratio |
Total profitability (%) |
Net profitability (%) |
Equity (€) |
Amounts Payable And Liabilities (€) |
Non-current Assets (€) |
CurrentAssets (€) |
EBITDA margin (%) |
EBITDA (€) |
EBIT margin (%) |
EBIT (€) |
2021 |
---|
14,365 |
14,365 |
-6,231 |
-6,231 |
-6,231 |
1.15 |
3.61 |
12.29 |
-43.38 |
4,854 |
17,541 |
833 |
21,562 |
2022 |
---|
62,676 |
46,773 |
-8,926 |
-8,926 |
-6,661 |
0.01 |
-10.46 |
12.81 |
-14.24 |
-4,072 |
42,599 |
667 |
37,860 |
2023 |
---|
93,646 |
93,646 |
14,388 |
13,669 |
13,669 |
0.10 |
1.07 |
31.50 |
14.60 |
9,597 |
10,298 |
500 |
19,395 |
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---|
93,646 |
93,646 |
14,388 |
13,669 |
13,669 |
0.10 |
1.07 |
31.50 |
14.60 |
9,597 |
10,298 |
500 |
19,395 |
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Turnover (€)
93,646 €49 % *
Sales per employee (€)
93,646 €100 % *
Profit before tax (€)
14,388 €261 % *
Net Profit (€)
13,669 €253 % *
Profit per employee (€)
13,669 €305 % *
Working capital requirement
0.10 900.00 % *
Debt-to-equity ratio
1.07 110.23 % *
Total profitability (%)
31.50 %145.90 % *
Net profitability (%)
14.60 %202.53 % *
Equity (€)
9,597 €336 % *
Amounts Payable And Liabilities (€)
10,298 €-76 % *
Non-current Assets (€)
500 €-25 % *
CurrentAssets (€)
19,395 €-49 % *