Company data from Slovak public registers
Company financial profile・Company ID 53268059・Panenská 13, 811 03 Bratislava - mestská časť Staré Mesto・Founded 2020
Turnover 2025
212 K €
−23 %Profit 2025
124 K €
−23 %Assets
483 K €
+31 %Equity
293 K €
+73 %Debt ratio
39.3 %
−15 ppGross margin
97.1 %
+3.7 ppAndromia score
—
Calculated from accounting statements using standard financial formulas.
Net margin
58.4 %
−0.1 ppProfit / revenue
ROA
25.6 %
−18 ppReturn on assets
ROE
42.3 %
−53 ppReturn on equity
Current ratio
2.58
+35 %Current assets / current liabilities
Earnings before tax
157 K €
−23 %Profit + income tax
Effective tax
21.1 %
−0.1 ppIncome tax / earnings before tax
Net working capital
296 K €
+69 %Current assets − current liabilities
Revenue CAGR
485.0 %
Average annual revenue growth
Sales + other operating + financial income
| Item | 2022 | 2023 | 2024 | 2025 |
|---|---|---|---|---|
| Sales of products, services and goods | 25 K € | 259 K € | 269 K € | 211 K € |
| Value added | 25 K € | 250 K € | 252 K € | 205 K € |
| Operating revenue | 25 K € | 259 K € | 275 K € | 212 K € |
| Profit after tax | 14 K € | 183 K € | 161 K € | 124 K € |
| Income tax | 2,472 € | 49 K € | 43 K € | 33 K € |
| Item | 2022 | 2023 | 2024 | 2025 |
|---|---|---|---|---|
| Total assets | 26 K € | 249 K € | 368 K € | 483 K € |
| Non-current assets | 0 € | 0 € | 0 € | 0 € |
| Property, plant and equipment | 0 € | 0 € | 0 € | 0 € |
| Non-current intangible assets | 0 € | 0 € | 0 € | 0 € |
| Non-current financial assets | 0 € | 0 € | 0 € | 0 € |
| Current assets | 26 K € | 249 K € | 368 K € | 483 K € |
| Inventory | 0 € | 0 € | 0 € | 0 € |
| Non-current receivables | 0 € | 0 € | 0 € | 0 € |
| Current receivables | 25 K € | 57 K € | 45 K € | 57 K € |
| Financial accounts | 352 € | 192 K € | 323 K € | 427 K € |
| Item | 2022 | 2023 | 2024 | 2025 |
|---|---|---|---|---|
| Total equity and liabilities | 26 K € | 249 K € | 368 K € | 483 K € |
| Equity | 19 K € | 191 K € | 169 K € | 293 K € |
| Share capital | 5,000 € | 5,000 € | 5,000 € | 5,000 € |
| Profit/loss of previous years | 30 € | 2,697 € | 2,697 € | 164 K € |
| Profit/loss for the accounting period after tax | 14 K € | 183 K € | 161 K € | 124 K € |
| Liabilities | 6,829 € | 58 K € | 199 K € | 190 K € |
| Non-current liabilities | 36 € | 46 € | 164 € | 245 € |
| Current liabilities | 6,793 € | 55 K € | 193 K € | 187 K € |
| Long-term bank loans | 0 € | 0 € | 0 € | 0 € |
| Short-term bank loans | 0 € | 0 € | 0 € | 0 € |
| Provisions | 0 € | 3,150 € | 5,490 € | 2,534 € |
Tax liability trend
19 registered activities
Address Kupeckého 79, 90201 Pezinok, Slovenská republika
Address Gabčíkova 1, 84105 Bratislava - mestská časť Karlova Ves, Slovenská republika
Address Kupeckého 79, 90201 Pezinok, Slovenská republika
Address Kupeckého 79, 90201 Pezinok, Slovenská republika
Address Gabčíkova 1, 84105 Bratislava - mestská časť Karlova Ves, Slovenská republika
Registered in Business Register
CHEMDONE Consulting s.r.o.
Panenská 13, 811 03 Bratislava - mestská časť Staré Mesto
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