Uždaroji akcinė bendrovė "Kagrė" Finance - revenue, profit
Financial ratios
EBITDA 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 |
|---|
| 166,261 |
| 20,153 |
| 220 |
| 209 |
| 25 |
| 54.69 |
| 0.13 |
| 24,303 |
| 34,746 |
| 8,582 |
| 50,467 |
| 2024 |
|---|
| 174,879 |
| 23,923 |
| 118 |
| 63 |
| 9 |
| 35.41 |
| 0.04 |
| 24,366 |
| 73,883 |
| 6,858 |
| 90,754 |
| 2025 |
|---|
| 188,497 |
| 23,800 |
| 253 |
| 235 |
| 30 |
| 32.52 |
| 0.12 |
| 24,601 |
| 77,281 |
| 7,421 |
| 93,738 |
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with Freemium unlimited| 2025 |
|---|
| 188,497 |
| 23,800 |
| 253 |
| 235 |
| 30 |
| 32.52 |
| 0.12 |
| 24,601 |
| 77,281 |
| 7,421 |
| 93,738 |
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with Freemium unlimitedTurnover (€)
2025
Turnover (€)
188,497 €8 % *
Sales per employee (€)
23,800 €-1 % *
Profit before tax (€)
253 €114 % *
Net Profit (€)
235 €273 % *
Profit per employee (€)
30 €233 % *
Total profitability (%)
32.52 %-8.16 % *
Net profitability (%)
0.12 %200.00 % *
Equity (€)
24,601 €1 % *
Amounts Payable And Liabilities (€)
77,281 €5 % *
Non-current Assets (€)
7,421 €8 % *
CurrentAssets (€)
93,738 €3 % *
