KOIGRE OÜ
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Tegevuslugu
Ettevōtte juhtkond, meeskond ja kontaktid
KOIGRE OÜ hetkeolukord
Already 15,030 people have seen this company's branding and they are being followed by 5 Storybook user.In average the company has been rated 4.3 points ja kommenteeritud 1 kord.
's activity report 2022
Koigre OÜ started operations in July 2011. The company's main activities are the construction and renovation of water supply and sewerage pipelines. In 2021, Koigre OÜ continued its traditional business activities. The company's work area includes Pärnu and Pärnumaa, as well as Läänemaa,
Saaremaa. In the future, the plan is to continue the main activity in the field of water supply and sewerage pipeline construction.
Main financial ratios 2022 2021
Sales revenue 827 662 671 400
Operating profit 78 325 107 122
Net profit 78 437 107 409
Current assets 398 879 339 846
Total assets 502 689 437 931
Short-term liabilities 77 272 84 071
Total equity 408 128 329 691
Operating profitability 9.46 15.96
Net profitability 9.48 16.00
Short-term liabilities coverage ratio 5.16 4.04
ROA 16.65 30.90
ROE 21.26 38.92
Formulas used in calculating ratios:
Operating profitability (%) = operating profit / sales revenue * 100
Net profitability (%) = net profit / sales revenue * 100
Short-term liabilities coverage ratio (times) = current assets / short-term liabilities
ROA (%) = net profit / average total assets * 100
ROE (%) = net profit / average total equity * 100
KOIGRE OÜ contacts
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