Ekonomické ukazovatele
Majetok / Rok
|
2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 |
Neobežný majetok: |
53.35 | 8,459.67 | 1,028.82 | 7,322.20 | 12,718.48 | 18,053.33 | 23,401.64 | 31,779.54 | 9,574.84 | 6,649.63 |
Dlhodobý nehmotný majetok |
0 | 0 | 0 | 4,248.25 | 8,496.50 | 12,744.75 | 16,993.00 | 21,241.25 | 0 | 0 |
Dlhodobý hmotný majetok |
53.36 | 93.65 | 66.20 | 100.03 | 1,110.83 | 3,278.23 | 1,219.80 | 1,486.93 | 1,021.71 | 1,044.65 |
Dlhodobý finančný majetok |
0 | 111.93 | 962.63 | 2,973.93 | 3,111.15 | 2,030.35 | 5,188.84 | 9,051.36 | 8,553.13 | 5,604.98 |
Obežný majetok: |
5,628.39 | 4,963.46 | 3,329.35 | 7,414.28 | 9,026.43 | 10,946.05 | 20,020.00 | 12,511.86 | 9,909.93 | 4,910.79 |
Zásoby |
0 | 0 | 0 | 225.00 | 0 | 326.53 | 0 | 0 | 0 | 0.14 |
Dlhodobé pohľadávky |
47.86 | 278.48 | 802.12 | 990.51 | 1,013.11 | 85.23 | 7. 76 | 0 | 0 | 0 |
Krátkodobé pohľadávky |
5,485.24 | 4,554.35 | 2,458.14 | 5,914.56 | 7,957.61 | 9,631.50 | 13,760.32 | 10,005.39 | 9,479.10 | 4,616.00 |
Finančné účty |
95.29 | 130.63 | 69.09 | 284.20 | 55.71 | 902.79 | 6.251,92 | 2,506.46 | 430,83 | 294.65 |
Časové rozlíšenie: |
4,202.63 | 4,423.05 | 4,101.49 | 3,232.58 | 4,636.13 | 6,778.84 | 8,221.69 | 5,609.51 | 3,877.19 | 2,560.42 |
Spolu majetok: |
9,884.37 | 9,592.10 | 8,459.67 | 17,969.02 | 26,381.04 | 35,778.22 | 51,643.33 | 49,900.91 | 23,361.96 | 14,120.84 |
Záväzky
|
2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 |
Vlastné imanie: |
1,580.52 | 1,263.70 | 842.02 | 2,505.49 | 1,354.77 | 6,269.37 | 7,968.83 | 716.11 | 4,714.89 | 5,055.33 |
Základné imanie |
33.20 | 33.20 | 33.20 | 33.20 | 33.20 | 33.20 | 33.20 | 33.20 | 830.00 | 830.00 |
Kapitálové fondy |
4,306.21 | 4,306.21 | 6,306.21 | 4,306.21 | 341.49 | 341.49 | 341.49 | 117.96 | 117.96 | 117.95 |
Fondy zo zisku |
962.80 | 962.80 | 962.80 | 962.80 | 962.80 | 962.80 | 962.80 | 962.80 | 166.00 | 83.00 |
Oceňovacie rozdiely z precenenia |
0 | 0 | 0 | -326.95 | -384.11 | -420,80 | 0 | 278.61 | -230.61 | 304.17 |
Výsledok hospodárenia minulých rokov |
7,774.36 | 5,352.68 | 5,352.68 | 5,352.68 | 5,352.68 | 5,218.04 | -704.83 | -5,006.53 | 2,918.70 | 3,487.71 |
Výsledok hospodárenia za účtovné obdobie po zdanení |
316.82 | 2,421.69 | -3,990.43 | -2,871.16 | -4.951,28 | 134.64 | 7,336.17 | 4,330.08 | 912.84 | 232.50 |
Záväzky: |
3,642.61 | 3,778.14 | 2,926.19 | 12,211.99 | 21,401.38 | 25,905.93 | 38,280.63 | 46,544.09 | 15,923.64 | 7,115.94 |
Rezervy |
32.29 | 61.94 | 60.81 | 62.85 | 78.21 | 57.50 | 114.65 | 12.15 | 17.32 | 14.90 |
Dlhodobé záväzky |
30.41 | 42.51 | 9.46 | 6,644.96 | 14,433.97 | 1,429.84 | 1,643.59 | 133.30 | 139.65 | 103.53 |
Krátkodobé záväzky |
2,853.94 | 2,944.11 | 1,997.40 | 4,861.48 | 5,810.14 | 23,963.66 | 36,297.92 | 43,943.21 | 13.021,67 | 5,546.54 |
Krátkodobé finančné výpomoci a bankové úvery |
729.58 | 729.58 | 858.52 | 642.70 | 1,079.06 | 454,93 | 224.47 | 2,455.44 | 2,744.98 | 1,450.97 |
Časové rozlíšenie: |
4,661.23 | 4,550.26 | 4,691.46 | 3,251.57 | 3,624.89 | 3,602.92 | 5,393.87 | 2,640.71 | 2,723.43 | 1,949.57 |
Spolu záväzky: |
9,884.37 | 9,592.10 | 8,459.67 | 17,969.02 | 26,381.04 | 35,778.22 | 51,643.33 | 49,900.91 | 23,361.96 | 14,120.84 |
|
2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 |
Výnosy: |
16,971.24 | 23,728.80 | 17,742.48 | 11,222.57 | 13,391.41 | 30,433.66 | 80,759.30 | 38,448.66 | 40,134.89 | 17,078.45 |
Náklady: |
16,654.43 | 21,307.12 | 21,732.91 | 14,599.23 | 19,263.88 | 30,213.02 | 73,091.33 | 33,770.49 | 39,222.05 | 16,649.13 |
údaje v tis. EUR