Full name
READYMADE POLAND SPÓŁKA Z OGRANICZONĄ ODPOWIEDZIALNOŚCIĄ
uses securityreCAPTCHA
69.20.Z - Accounting, bookkeeping and tax consultancy
63 - Services related to computing infrastructure, data processing, website management (hosting), and other information services
68 - Real estate activities
70.1 - Head office activities
70.2 - Business and management consultancy activities
73 - Advertising, market research and public relations
74 - Other professional, scientific and technical activities
2019 | 2020 | 2021 | ||
---|---|---|---|---|
M PLN | M PLN | M PLN | % | |
Gross profit (loss) | 0,1 | 0,2 | 0,1 | -49,5 |
EBITDA | 0,1 | 0,2 | 0,1 | -43,8 |
Short time liabilities | 0,2 | 0,2 | 0,2 | -6,6 |
Equity capital | 0,6 | 0,7 | 0,8 | 9,2 |
Operating profit (EBIT) | 0,1 | 0,2 | 0,1 | -43,6 |
Assets | 0,8 | 0,9 | 1 | 6,1 |
Net profit (loss) | 0,1 | 0,2 | 0,1 | -55,1 |
Cash | 0,3 | 0,4 | 0,4 | 4,4 |
Liabilities and provisions for liabilities | 0,2 | 0,2 | 0,2 | -6,5 |
Net income from sale | 0,5 | 0,5 | 0,6 | 5 |
Working assets | 0,8 | 0,9 | 1 | 6,1 |
Depreciation | 0 | 0 | 0 | -50,7 |
% | % | % | p.p. | |
Profitability of capital | 20,8 | 20,6 | 8,5 | -12,1 |
Equity capital to total assets | 78,4 | 80,1 | 82,5 | 2,4 |
Gross profit margin | 27,7 | 30,9 | 14,9 | -16 |
EBITDA Margin | 15,6 | 31,7 | 17 | -14,7 |
Days | Days | Days | Days | |
Short term commitment turnover cycle | 117 | 122 | 108 | -14 |
Current financial liquidity indicator | 4.635044097900391 | 5.023504734039307 | 5.698180198669434 | 0,7 |
Net dept to EBITDA | -3.5111749172210693 | -2.374610185623169 | -4.410133361816406 | -2 |
Opinie dotyczące usług, produktów oraz działalności firmy nie są weryfikowane