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Galvenie rādītāji

202320222021202020192018
Revenue (thousand euros)41 13512 87014,96138,77119,53532,068
Gross profit (thousand euros)7 0681 7743,0594,0842,0884,248
Gross profit margin (%)17,213.820.410.510.713.2
Operating profit (thousand euros)5 0342351,8803,4111,2983,862
Operating profit margin (%)12,21,812.68.86.612.0
EBITDA (thousand euros)5 2273832,0373,5721,4313,952
EBITDA margin (%)12,73,013.69.27.312.3
Net profit (thousand euros)3 4801 3311,7333,8451,3282,989
net profit attributable to the owners of the parent (thousand euros)1 1851 396-222,5919561,419
net profit of non-controlling interest (thousand euros)2 295-651,7551,2543721,570
Net profit margin (%)8,510,311.69.96.89.3
General expense ratio (%)512,08.41.94.82.0
Total assets (thousand euros)91 00178 36855,34530,43336,98728,010
Equity ratio (%)24,425,934.431.318.210.4
Debt ratio (%)62,662,151.654.564.935.0
Current ratio1,72,54.23.52.21.4
Return of equity (adjusted*) (%)16,46,818.047.227.6122.0
Return on equity attributable to the owners of the parent (adjusted*) (%)5,87,20.032.019.659.6
Return on assets (%)4,12,04.011.44.111.2
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Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021
Revenue (thousand euros)2 2715 08715 45814 6155 9757 2481,6682,6821,2728,0153,072
Gross profit (thousand euros)3724420333 8569351 252320961061,904571
Gross profit margin (%)1,64,813,226,415,617,319.23.68.323.818.6
Operating profit (thousand euros)-564-2721 5853 212514749-19-186-3141,466236
Operating profit margin (%)-24,8-5,410,3228,610,4-1.1-6.9-24.718.37.7
EBITDA (thousand euros)-512-2201 6323 25856079816-151-2791,505272
EBITDA margin (%)-22,5-4,310,622,39,411,01.0-5.6-21.918.88.9
Net profit (thousand euros)-965-1 3111 1903 449139 1 460129-280221,551148
net profit attributable to the owners of the parent (thousand euros)-879-1 1004691 5632401 537132-2785153-91
net profit of non-controlling interest (thousand euros)-86-2117211 886-101-77-3-2171,398239
Net profit margin (%)-42,5-25,87,723,62,320,17.7-10.41.719.44.8
General expense ratio (%)27,710,52,94,476,920.311.933.85.811.3
Total assets (thousand euros)96 86890 98885 79783 28480 10478 45074,30064,29753,96955,34551,166
Equity ratio (%)21,924,32726,625,625,925.629.433.834.422.5
Debt ratio (%)66,262,657,255,661,662,261.757.954.351.664.6
Current ratio2,11,76,23,42,52,57.86.85.85.34.6
Return of equity (adjusted*) (%)11,416,329,525,27,38,912.117.016.518.022.2
Return on equity attributable to the owners of the parent (adjusted*) (%)0,35,718,717,38,49,5-0.5-2.4-1.00.014.6
Return on assets (%)2,54,17,872,12,03.03.13.54.05.5
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