Copymax OÜ
Registry code: 10966040
ActiveEstoniaFinancial Reports
| 2021 | 2022 | 2023 | 2024 | ||
|---|---|---|---|---|---|
| Revenue | 28 035 346 | 59 734 826 | 78 410 260 | 80 431 031 | |
| Profit Before Tax | 568 829 | 619 565 | 6 228 314 | 2 220 552 | |
| Net Profit | 584 567 | 202 064 | 6 083 144 | 2 262 601 | |
| Profit margin | 2.1% | 0.3% | 7.8% | 2.8% | |
| Equity | 4 741 264 | 4 724 327 | 10 310 471 | 11 854 848 | |
| Liabilities | 2 450 448 | 6 824 484 | 420 004 | 4 341 712 | |
| Total Assets | 7 191 712 | 11 548 811 | 10 730 475 | 16 196 560 |
Financial Reports
2024(—)
Balance Sheet
Total Assets16 196 560 €
Long-term Assets3 047 157 €
Short-term Assets13 149 403 €
Equity11 854 848 €
Liabilities4 341 712 €
Profit & Loss Statement
Revenue80 431 031 €
Profit Before Tax2 220 552 €
Net Profit2 262 601 €
2023(—)
Balance Sheet
Total Assets10 730 475 €
Long-term Assets852 356 €
Short-term Assets9 878 119 €
Equity10 310 471 €
Liabilities420 004 €
Profit & Loss Statement
Revenue78 410 260 €
Profit Before Tax6 228 314 €
Net Profit6 083 144 €
2022(—)
Balance Sheet
Total Assets11 548 811 €
Long-term Assets224 383 €
Short-term Assets11 324 428 €
Equity4 724 327 €
Liabilities6 824 484 €
Profit & Loss Statement
Revenue59 734 826 €
Profit Before Tax619 565 €
Net Profit202 064 €
2021(—)
Balance Sheet
Total Assets7 191 712 €
Long-term Assets226 375 €
Short-term Assets6 965 337 €
Equity4 741 264 €
Liabilities2 450 448 €
Profit & Loss Statement
Revenue28 035 346 €
Profit Before Tax568 829 €
Net Profit584 567 €
2020(—)
Balance Sheet
Total Assets5 028 863 €
Long-term Assets168 731 €
Short-term Assets4 860 132 €
Equity4 221 696 €
Liabilities807 167 €
Profit & Loss Statement
Revenue24 191 279 €
Profit Before Tax474 859 €
Net Profit370 820 €
2019(—)
Balance Sheet
Total Assets4 513 100 €
Long-term Assets171 756 €
Short-term Assets4 341 344 €
Equity3 924 765 €
Liabilities588 335 €
Profit & Loss Statement
Revenue24 672 860 €
Profit Before Tax439 272 €
Net Profit477 247 €
Source: Äriregister