Osaühing Rademar
Registry code: 10235879
ActiveEstoniaFinancial Reports
| 2020 | 2021 | 2022 | 2023 | ||
|---|---|---|---|---|---|
| Revenue | 24 005 454 | 33 886 901 | 31 235 409 | 30 525 659 | |
| Profit Before Tax | 584 859 | 1 532 144 | −248 792 | −3 120 980 | |
| Net Profit | 531 035 | 1 480 722 | −289 787 | −3 198 026 | |
| Profit margin | 2.2% | 4.4% | -0.9% | -10.5% | |
| Equity | 3 870 065 | 5 270 787 | 4 981 000 | 1 782 974 | |
| Liabilities | 4 651 815 | 6 715 584 | 10 133 930 | 10 681 950 | |
| Total Assets | 8 521 880 | 11 986 371 | 15 114 930 | 12 464 924 |
Financial Reports
2023(—)
Balance Sheet
Total Assets12 464 924 €
Long-term Assets2 552 768 €
Short-term Assets9 912 156 €
Equity1 782 974 €
Liabilities10 681 950 €
Profit & Loss Statement
Revenue30 525 659 €
Profit Before Tax−3 120 980 €
Net Profit−3 198 026 €
2022(—)
Balance Sheet
Total Assets15 114 930 €
Long-term Assets2 795 799 €
Short-term Assets12 319 131 €
Equity4 981 000 €
Liabilities10 133 930 €
Profit & Loss Statement
Revenue31 235 409 €
Profit Before Tax−248 792 €
Net Profit−289 787 €
2021(—)
Balance Sheet
Total Assets11 986 371 €
Long-term Assets2 065 923 €
Short-term Assets9 920 448 €
Equity5 270 787 €
Liabilities6 715 584 €
Profit & Loss Statement
Revenue33 886 901 €
Profit Before Tax1 532 144 €
Net Profit1 480 722 €
2020(—)
Balance Sheet
Total Assets8 521 880 €
Long-term Assets2 025 910 €
Short-term Assets6 495 970 €
Equity3 870 065 €
Liabilities4 651 815 €
Profit & Loss Statement
Revenue24 005 454 €
Profit Before Tax584 859 €
Net Profit531 035 €
2019(—)
Balance Sheet
Total Assets9 688 320 €
Long-term Assets1 814 550 €
Short-term Assets7 873 770 €
Equity3 339 030 €
Liabilities6 349 290 €
Profit & Loss Statement
Revenue24 407 073 €
Profit Before Tax1 207 235 €
Net Profit1 113 650 €
Source: Äriregister