Limited Liability Company (LLC)
Developx Poland
Developx Poland Spółka z Ograniczoną Odpowiedzialnością
Limited Liability Company (LLC)
Developx Poland Spółka z Ograniczoną Odpowiedzialnością
Developx Poland filed a full-year financial statement for 2022 in the Polish National Court Register (KRS 0000731667). The report covers the period from January 1, 2022 to December 31, 2022, and was lodged with the registry on July 17, 2023.
Headline figures for the year: net revenue of 26.5 M PLN, net profit of 3.2 M PLN, total assets of 10.0 M PLN, and equity of 5.0 M PLN.
The document follows the JednostkaMala schema (Polish Accounting Act, Annex), which sets out which line items and notes the company is required to disclose at this size band.
The statement was filed 198 days (about 7 months) after the end of the reporting period - this is the timeliness signal the registry exposes for Developx Poland.
The board of Developx Poland declared that the financial statement was prepared on a going-concern basis and that no threat to continued operations exists.
The page below presents the full statement: introduction, income statement, balance sheet, additional notes and management's report when filed with the registry. All values are reported in PLN.
What were Developx Poland's headline results in 2022? Developx Poland reported net revenue of 26.5 M PLN and a net profit of 3.2 M PLN for the 2022 financial year.
When did Developx Poland file the 2022 statement? The 2022 financial statement of Developx Poland was lodged with the Polish National Court Register on July 17, 2023 (KRS 0000731667).
8 statements available from the repository
2025
Jednostka mala | 365 days
2024
Jednostka mala | 366 days
2023
Jednostka mala | 365 days
2022
Jednostka mala | 365 days
2021
Jednostka mala | 365 days
2020
Jednostka inna | 366 days
2019
Jednostka inna | 365 days
2018
Jednostka inna | 302 days
Period: January 1, 2022 - December 31, 2022 | Currency: PLN | Filed: July 17, 2023
ROA
31.85%
ROE
64.19%
Net margin
12.04%
Operating margin
15.25%
Gross margin
15.16%
Current ratio
2.52
Cash ratio
0.82
Debt ratio
0.50
Debt / equity
1.02
Asset turnover
2.65
Working capital
5.7 M PLN