Full name
STAR-WAY.PL SPÓŁKA Z OGRANICZONĄ ODPOWIEDZIALNOŚCIĄ
uses securityreCAPTCHA
78.20.Z - Temporary employment agency activities
25 - Manufacture of fabricated metal products, except machinery and equipment
39 - Remediation activities and other waste management services
41 - Construction of buildings
42 - Civil engineering
43 - Specialised construction activities
70 - Activities of head offices; management consultancy activities
78 - Employment activities
81 - Services to buildings and landscape activities
96 - Other personal service activities
2019 | 2020 | 2021 | ||
---|---|---|---|---|
M PLN | M PLN | M PLN | % | |
Gross profit (loss) | 0,3 | 0,2 | 1,9 | 700,4 |
EBITDA | 0,3 | 0,2 | 1,9 | 677,1 |
Short time liabilities | 0,4 | 0,9 | 1,7 | 83,8 |
Equity capital | 0,3 | 0,5 | 2,2 | 338,3 |
Operating profit (EBIT) | 0,3 | 0,2 | 1,9 | 708,6 |
Assets | 0,7 | 1,4 | 3,9 | 172,9 |
Net profit (loss) | 0,3 | 0,2 | 1,7 | 757,5 |
Cash | 0,4 | 0,1 | 0,7 | 627,8 |
Net income from sale | 1,9 | 2,7 | 5,6 | 105,1 |
Liabilities and provisions for liabilities | 0,4 | 0,9 | 1,7 | 83,8 |
Working assets | 0,7 | 0,8 | 2,2 | 182 |
Depreciation | 0 | 0 | 0 | -14,7 |
% | % | % | p.p. | |
Profitability of capital | 98,3 | 39,5 | 77,2 | 37,7 |
Equity capital to total assets | 43,5 | 35 | 56,2 | 21,2 |
Gross profit margin | 17,2 | 8,5 | 33,3 | 24,8 |
EBITDA Margin | 17,2 | 8,9 | 33,9 | 25 |
Days | Days | Days | Days | |
Short term commitment turnover cycle | 73 | 123 | 110 | -13 |
Current financial liquidity indicator | 1.7714440822601318 | 0.8625344634056091 | 1.3232061862945557 | 0,4 |
Net dept to EBITDA | -1.2785682678222656 | -0.06305046379566193 | -0.3576003909111023 | -0,3 |
Opinie dotyczące usług, produktów oraz działalności firmy nie są weryfikowane