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Pärfekt Måleri & Transport på Österlen AB

Financial information

The information source is the annual report of the company with business id 556669-1530

* Closing information (×1000) SEK

Fiscal year 202308 202208 202108
Number of months: 12 12
Turnover: 850 Revenue Up 606 Revenue Up 487
Financial expenses: 83 Revenue Up 33 Revenue Up 22
Earnings before taxes: -124 Revenue Down 113 Revenue Up -60
Total assets: 2,109 Revenue Down 2,529 Revenue Up 1,262
Current assets: 252 Revenue Down 510 Revenue Up 222
Current liabilities: 359 Revenue Down 599 Revenue Up 227
Equity capital: 174 Revenue Down 283 Revenue Up 195
Share capital: 100 100 100
Number of employees: 1 1 1

Financial ratios

Solvency: 8.3% Revenue Down 11.2% Revenue Down 15.5%
Turnover per employee: 850 Revenue Up 606 Revenue Up 487
Profitability: -14.6% Revenue Down 18.6% Revenue Up -12.3%
Return on equity (ROE): -71.3% Revenue Down 39.9% Revenue Up -30.8%
Current ratio: 70.2% Revenue Down 85.1% Revenue Down 97.8%
Return on assets (ROA): -1.9% Revenue Down 5.8% Revenue Up -3.0%
Fiscal year 202308
Number of months: 12
Turnover: 850
Financial expenses: 83
Earnings before taxes: -124
Total assets: 2,109
Current assets: 252
Current liabilities: 359
Equity capital: 174
Share capital: 100
Number of employees: 1

Financial ratios

Solvency: 8.3%
Turnover per employee: 850
Profitability: -14.6%
Return on equity (ROE): -71.3%
Current ratio: 70.2%
Return on assets (ROA): -1.9%