Full name
RADICALLY BETTER INTERNET POLAND SPÓŁKA Z OGRANICZONĄ ODPOWIEDZIALNOŚCIĄ
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62.01.Z - Activities related to programming, IT consulting, and related activities
46.51.Z - Wholesale trade
58.29.Z - Publishing of other software
62.02.Z - Activities related to programming, IT consulting, and related activities
62.09.Z - Activities related to programming, IT consulting, and related activities
70.22.Z - Head office activities and management consultancy
73.11.Z - Advertising agency activities
73.12.Z - Advertising through mass media
73.20.Z - Market research and public opinion polling
78.10.Z - Employment placement and recruitment services
2022 | 2023 | ||
---|---|---|---|
M PLN | M PLN | % | |
Gross profit (loss) | 0,5 | 3,4 | 600 |
EBITDA | 0,6 | 4,1 | 589,3 |
Short time liabilities | 2,8 | 9,9 | 253,1 |
Equity capital | 0,4 | 2,1 | 387,7 |
Operating profit (EBIT) | 0,6 | 4 | 572,2 |
Assets | 3,3 | 13 | 291,9 |
Net profit (loss) | 0,4 | 1,6 | 268,1 |
Cash | 1,7 | 2,8 | 67,2 |
Liabilities and provisions for liabilities | 2,9 | 11 | 277,8 |
Net income from sale | 8,2 | 58,5 | 614,2 |
Working assets | 3,3 | 11,6 | 249,6 |
Depreciation | 0 | 0,1 | -∞ |
% | % | p.p. | |
Profitability of capital | 98,8 | 74,6 | -24,2 |
Equity capital to total assets | 12,9 | 16 | 3,1 |
Gross profit margin | 5,9 | 5,7 | -0,2 |
EBITDA Margin | 7,3 | 7,1 | -0,2 |
Days | Days | Days | |
Short term commitment turnover cycle | 126 | 62 | -64 |
Current financial liquidity indicator | 1.147661805152893 | 1.0619853734970093 | 0 |
Net dept to EBITDA | -2.833712339401245 | -0.6874596476554871 | 2,1 |
Opinie dotyczące usług, produktów oraz działalności firmy nie są weryfikowane