DE
Financial ratios | 2023 | 2022 | 2021 | 2020 |
---|---|---|---|---|
Summary | ||||
Profit |
€
63K
-24.71%
|
€
84K
-52.77%
|
€
178K
-14.1%
|
€
207K
|
Equity |
€
408K
-38.89%
|
€
668K
14.61%
|
€
583K
28.05%
|
€
455K
|
Gross margin |
€
96K
-12.77%
|
€
110K
-45.73%
|
€
202K
-31.26%
|
€
294K
|
Dividends | ||||
Credit limit |
€
41K
-49.07%
|
€
80K
4.19%
|
€
77K
28.05%
|
€
60K
|
Profitability | ||||
EBITDA |
€
93K
-13.49%
|
€
108K
-46%
|
€
200K
-31.66%
|
€
293K
|
EBIT |
€
63K
-24.71%
|
€
84K
-52.77%
|
€
178K
-34.68%
|
€
272K
|
Net profit |
€
-171K
-301.11%
|
€
85K
-33.31%
|
€
128K
-38.38%
|
€
207K
|
Capex |
€
0K
-100.41%
|
€
78K
5833.16%
|
€
1K
-94.82%
|
€
25K
|
Liquidity | ||||
Cash |
€
244K
-18.23%
|
€
299K
18.48%
|
€
252K
21.87%
|
€
207K
|
Cashflow |
€
59K
-45.97%
|
€
109K
-27.14%
|
€
150K
-34.16%
|
€
227K
|
Current ratio |
1.14
-83.41%
|
6.87
-2.28%
|
7.03
350.64%
|
1.56
|
Quick ratio |
1.14
-83.41%
|
6.87
-2.28%
|
7.03
350.64%
|
1.56
|
Working capital |
€
33K
-87.3%
|
€
263K
13.32%
|
€
232K
177.97%
|
€
83K
|
Working capital ratio |
1.14
-83.41%
|
6.87
-2.28%
|
7.03
350.64%
|
1.56
|
Solvability | ||||
Assets |
€
640K
-10.15%
|
€
713K
14.71%
|
€
621K
2.65%
|
€
605K
|
Debt |
€
232K
419.07%
|
€
45K
16.26%
|
€
38K
-74.38%
|
€
150K
|
Solvability |
63.75%
-31.99%
|
93.73%
-0.09%
|
93.81%
24.75%
|
75.2%
|
Long term debt ratio | ||||
Interest Coverage Ratio | ||||
Rentability | ||||
Gross profitability |
14.44%
-11.57%
|
16.33%
-36.43%
|
25.69%
-48.58%
|
49.96%
|
Net profitability |
7.05%
-44.71%
|
12.75%
-41.81%
|
21.91%
-51.88%
|
45.53%
|
Return On Assets (ROA) |
4.50
-62.37%
|
11.95
-41.86%
|
20.55
-39.97%
|
34.23
|
Return On Equity (ROE) |
7.05
-44.68%
|
12.75
-41.81%
|
21.91
-51.88%
|
45.53
|
Efficiency | ||||
Customer credit | ||||
Supplier credit | ||||
Inventory Turnover Ratio | ||||
Days Sales Outstanding (DSO) | ||||
Days Sales of Inventory (DSI) | ||||
Social balance | ||||
Employees |
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