Netflow, UAB revenue, profit
Credit Risk:
| Year | 2021 | 2022 | 2023 | 2024 | 2025 |
|---|---|---|---|---|---|
| Sales revenue | 8 496 743 € | 15 550 277 € | 23 041 061 € | 30 580 644 € | 39 240 048 € |
| Profit (loss) before taxes | -15 757 813 € | -43 622 255 € | -24 866 724 € | -34 735 603 € | -22 053 890 € |
| Profit before taxes margin | -185,46 % | -280,52 % | -107,92 % | -113,59 % | -56,20 % |
| Net profit (loss) | -15 757 813 € | -41 968 241 € | -26 520 738 € | -34 724 129 € | -18 963 054 € |
| Net profit margin | -185,46 % | -269,89 % | -115,10 % | -113,55 % | -48,33 % |
| Equity capital | -12 441 445 € | -52 204 558 € | -77 355 570 € | -110 411 881 € | -128 944 384 € |
| Amounts payable and other liabilities | 1 275 021 € | 14 711 168 € | 83 055 631 € | 117 639 230 € | 141 553 200 € |
| Non-current assets | 235 445 € | 3 418 283 € | 3 784 570 € | 5 701 156 € | 10 367 082 € |
| Current assets | 1 689 154 € | 1 068 214 € | 1 876 881 € | 1 432 082 € | 2 212 609 € |
Get the latest financial report for the year 2025 with the data company submitted to the National Register Center. 2025 m. Reports »
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