Codefluence, MB revenue, profit
Credit Risk:
| Year | 2022 | 2023 | 2024 |
|---|---|---|---|
| Sales revenue | 42 600 € | 62 780 € | 97 175 € |
| Profit (loss) before taxes | 11 112 € | 28 764 € | 44 439 € |
| Profit before taxes margin | 26,08 % | 45,82 % | 45,73 % |
| Net profit (loss) | 11 112 € | 27 326 € | 41 955 € |
| Net profit margin | 26,08 % | 43,53 % | 43,17 % |
| Equity capital | 11 112 € | 38 438 € | 45 393 € |
| Amounts payable and other liabilities | 0 € | 5 101 € | 6 347 € |
| Non-current assets | 0 € | 1 859 € | 1 033 € |
| Current assets | 11 112 € | 41 680 € | 50 707 € |
Only 45 Eur