SUNDAY MARKETPLACE OÜ

Registry code: 14580113

ActiveEstonia

Financial Reports

2019202020212022
Revenue12 171 73418 419 00822 456 13428 973 702
Profit Before Tax3 956 4855 598 7433 729 42612 576 478
Net Profit3 265 9702 437 0221 821 86512 209 123
Profit margin26.8%13.2%8.1%42.1%
Equity3 265 9705 702 9927 236 27919 445 402
Liabilities837 8702 765 3461 544 44814 800 109
Total Assets4 103 8408 468 3388 780 72734 245 511

Financial Reports

2022()

Balance Sheet

Total Assets34 245 511 €
Long-term Assets1 967 587 €
Short-term Assets32 277 924 €
Equity19 445 402 €
Liabilities14 800 109 €

Profit & Loss Statement

Revenue28 973 702 €
Profit Before Tax12 576 478 €
Net Profit12 209 123 €
2021()

Balance Sheet

Total Assets8 780 727 €
Long-term Assets1 703 631 €
Short-term Assets7 077 096 €
Equity7 236 279 €
Liabilities1 544 448 €

Profit & Loss Statement

Revenue22 456 134 €
Profit Before Tax3 729 426 €
Net Profit1 821 865 €
2020()

Balance Sheet

Total Assets8 468 338 €
Long-term Assets1 575 665 €
Short-term Assets6 892 673 €
Equity5 702 992 €
Liabilities2 765 346 €

Profit & Loss Statement

Revenue18 419 008 €
Profit Before Tax5 598 743 €
Net Profit2 437 022 €
2019()

Balance Sheet

Total Assets4 103 840 €
Long-term Assets853 777 €
Short-term Assets3 250 063 €
Equity3 265 970 €
Liabilities837 870 €

Profit & Loss Statement

Revenue12 171 734 €
Profit Before Tax3 956 485 €
Net Profit3 265 970 €

Source: Äriregister