Bombay Club and Resort OÜ
Registry code: 14045680
ActiveEstoniaFinancial Reports
| 2021 | 2022 | 2023 | 2024 | ||
|---|---|---|---|---|---|
| Revenue | 4 450 404 | 165 072 | 69 061 | 1 896 070 | |
| Profit Before Tax | 636 208 | −691 009 | −1 406 970 | −4 639 402 | |
| Net Profit | 799 877 | −1 231 625 | −1 250 374 | −3 876 117 | |
| Profit margin | 18.0% | -746.1% | -1810.5% | -204.4% | |
| Equity | 17 688 540 | 10 200 298 | 14 619 262 | 23 135 850 | |
| Liabilities | 195 202 | 153 558 | 176 728 | 5 222 280 | |
| Total Assets | 17 883 742 | 10 353 856 | 14 795 990 | 28 358 130 |
Financial Reports
2024(—)
Balance Sheet
Total Assets28 358 130 €
Long-term Assets23 893 825 €
Short-term Assets4 464 305 €
Equity23 135 850 €
Liabilities5 222 280 €
Profit & Loss Statement
Revenue1 896 070 €
Profit Before Tax−4 639 402 €
Net Profit−3 876 117 €
2023(—)
Balance Sheet
Total Assets14 795 990 €
Long-term Assets13 812 084 €
Short-term Assets983 906 €
Equity14 619 262 €
Liabilities176 728 €
Profit & Loss Statement
Revenue69 061 €
Profit Before Tax−1 406 970 €
Net Profit−1 250 374 €
2022(—)
Balance Sheet
Total Assets10 353 856 €
Long-term Assets9 379 837 €
Short-term Assets974 019 €
Equity10 200 298 €
Liabilities153 558 €
Profit & Loss Statement
Revenue165 072 €
Profit Before Tax−691 009 €
Net Profit−1 231 625 €
2021(—)
Balance Sheet
Total Assets17 883 742 €
Long-term Assets16 537 490 €
Short-term Assets1 346 252 €
Equity17 688 540 €
Liabilities195 202 €
Profit & Loss Statement
Revenue4 450 404 €
Profit Before Tax636 208 €
Net Profit799 877 €
2020(—)
Balance Sheet
Total Assets13 309 896 €
Long-term Assets6 470 163 €
Short-term Assets6 839 733 €
Equity12 690 793 €
Liabilities619 103 €
Profit & Loss Statement
Revenue5 221 470 €
Profit Before Tax−24 006 €
Net Profit293 934 €
2019(—)
Balance Sheet
Total Assets7 047 352 €
Long-term Assets5 701 816 €
Short-term Assets1 345 536 €
Equity5 192 342 €
Liabilities1 855 010 €
Profit & Loss Statement
Revenue590 926 €
Profit Before Tax−1 777 429 €
Net Profit−1 776 720 €
Source: Äriregister