DD Investicija, UAB
JAR Code: 305572652
ActiveFinancial Reports
| 2021 | 2022 | 2023 | 2024 | ||
|---|---|---|---|---|---|
| Revenue | — | 160 790 404 | 152 705 982 | 187 572 847 | |
| Profit Before Tax | 8 694 757 | 22 510 828 | 8 718 225 | 17 050 482 | |
| Net Profit | 8 692 792 | 17 155 559 | 7 112 797 | 12 858 448 | |
| Profit margin | — | 10.7% | 4.7% | 6.9% | |
| Equity | 24 077 674 | 64 066 361 | 69 570 746 | 82 923 780 | |
| Liabilities | 2 115 | 66 651 536 | 88 864 145 | 110 983 313 | |
| Total Assets | 24 079 789 | 129 913 684 | 157 430 008 | 192 945 424 |
Financial Reports
2024
Balance Sheet
Total Assets192 945 424 €
Long-term Assets133 958 814 €
Short-term Assets58 986 610 €
Equity82 923 780 €
Liabilities110 983 313 €
Profit & Loss Statement
Revenue187 572 847 €
Profit Before Tax17 050 482 €
Net Profit12 858 448 €
2023
Balance Sheet
Total Assets157 430 008 €
Long-term Assets104 213 787 €
Short-term Assets53 216 221 €
Equity69 570 746 €
Liabilities88 864 145 €
Profit & Loss Statement
Revenue152 705 982 €
Profit Before Tax8 718 225 €
Net Profit7 112 797 €
2022
Balance Sheet
Total Assets129 913 684 €
Long-term Assets76 306 952 €
Short-term Assets53 606 732 €
Equity64 066 361 €
Liabilities66 651 536 €
Profit & Loss Statement
Revenue160 790 404 €
Profit Before Tax22 510 828 €
Net Profit17 155 559 €
2021
Balance Sheet
Total Assets24 079 789 €
Long-term Assets21 066 663 €
Short-term Assets3 013 126 €
Equity24 077 674 €
Liabilities2 115 €
Profit & Loss Statement
Revenue—
Profit Before Tax8 694 757 €
Net Profit8 692 792 €
Period(2020-06-12 – 2020-12-31)7 mėn.
Balance Sheet
Total Assets17 062 944 €
Long-term Assets17 061 250 €
Short-term Assets1 694 €
Equity16 534 882 €
Liabilities528 062 €
Profit & Loss Statement
Revenue—
Profit Before Tax—
Net Profit−7 618 €
Source: Registrų centras