BERGERREISID OÜ hetkeolukord
Juba 2,314 inimeseni on jõudnud selle ettevõtte bränding ja tema tegevusi jälgib 1 Storybooki kasutaja. Keskmiselt on ettevõtet hinnatud 4.4 punktiga ja kommenteeritud 1 kord.
's activity report 2022
The main activity of OÜ Bergerreisid is Travel agency activities EMTAK 79121 and Travel agency activities EMTAK 79111.
The main directions of the company's travel organization are Asia, Africa and South and Central America.
The company mainly organizes round trips and combinations of round trips and holiday trips.
The company offers package tours, individual trips and air tickets and other travel services.
As a travel agency, the company is a full-service travel agency and a member of IATA.
The financial year of the company is from 01.05.2022 to 30.04.2023.
During the reporting period, OÜ Bergerreisid's sales revenue was 1,740,507 euros.
As the COVID-19 panic subsides, interest in travel has recovered and this is directly reflected in the growth of sales revenue to pre-pandemic levels.
The company has one shareholder, Urve Kalmist, with a share capital of 2556 euros.
The board consists of two members - Urve Kalmist and Tarmo Kalmist.
One board member, Urve Kalmist, works as the managing director.
OÜ Bergerreisid is still an operating company.
Bergerreisid OÜ financial ratios:
Main financial ratios 30/04/2023 30/04/2022
Sales revenue 1,740,507 1,045,805
Operating profit 239,894 123,221
Net profit 240,228 123,221
Total assets 2,437,791 1,615,740
Short-term liabilities 1,378,841 833,197
Total long and short-term liabilities 1,378,841 833,197
Equity 1,217,759 977,531
Current assets 2,419,493 1,615,740
Revenue growth(%)=(sales revenue 2022-sales revenue 2021)/sales revenue 2021*100 85,4 1840
Operating profitability(%=(operating profit/sales revenue*100 13,8 11,8
Net profitability(%)=net profit/sales revenue*100 13,8 11,8
Return on Assets(ROA)(%)=net profit/average total assets for the year*100 9,9 7,6
Return on Equity(ROE)(%)=net profit/average equity for the year*100 19,7 12,6
General solvency level=current assets/short-term liabilities 1,8 1,9
Asset turnover=sales revenue/average total assets for the year 0,7 0,6
Current asset turnover=sales revenue/average current assets for the year 0,7 0,6
Debt ratio=long and short-term liabilities/total assets 0,6 0,5
Debt to equity ratio=liabilities/equity 1,1 0,9
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