PHARMAL OÜ
Finances and assets
The average monthly turnover is 109,598 EUR, the profit margin is 0%, the forecast turnover in 2024 will decrease by 5.4%. As of the property...
Estimated turnover 2024
1 315 176 €
Increased by 5.4 % compared to last year
Average monthly turnover
109 598 €
Available credit: 24 700 €
Settlement dates: 30
Total profit 2024
362 821 €
Retained profits:
221 146 € (61 %)
Net profit:
141 675 € (39 %)
Estimated
balance 2024
455 437 €
Estimated profit
margin 2024
0 %
100 %
11%
€1 asset to cover short-term liabilities
1.64 €