Podmiot wykreślony z rejestru
Wykreślony z rejestru dnia 26 września 2022
Dane prezentowane odzwierciedlają ostatni znany stan przed wykreśleniem.
SPÓŁKA KOMANDYTOWA
PC 3D
PC 3D Spółka z Ograniczoną Odpowiedzialnością Spółka Komandytowa
Removed from the registry on September 26, 2022
SPÓŁKA KOMANDYTOWA
PC 3D Spółka z Ograniczoną Odpowiedzialnością Spółka Komandytowa
Removed from the registry on September 26, 2022
Wyniki finansowe firmy PC 3D: przychody, zysk netto, rentowność, ROE, marża, wskaźniki inwestorskie i wycena. Dane z oficjalnych sprawozdań KRS (0000730321).
PC 3D has filed financial statements for 4 reporting years in the Polish National Court Register (KRS 0000730321), covering 2018–2022. The dashboard below shows the income statement, balance sheet, profitability ratios, valuation indicators and a multi-year comparison against the company's industry benchmark.
Headline figures for the most recent reported year (2022): net revenue 1,200 PLN, net profit -97,173 PLN, total assets 663,443 PLN and equity 532,476 PLN. Use the chart toolbar to switch between absolute amounts and indexed series, or to jump straight into the per-year sprawozdanie finansowe.
Derived metrics include ROE, ROA, net and operating margin, the current ratio and the cash ratio, debt-to-equity and asset turnover. Each ratio is plotted alongside the median for PC 3D's PKD activity class, so reading whether the company is above or below the industry takes one glance instead of a side-by-side calculation.
Revenue
1.2 K PLN
2022
Net profit
-97.2 K PLN
2022
Assets
663.4 K PLN
2022
Equity
532.5 K PLN
2022
EBITDA
-80.2 K PLN
2022
Valuation
0 PLN
closed
Analysis of financial data across available reporting years
ROA
-14.65%
Negative return on assets
Debt ratio
0.20
Low leverage
Asset turnover
0.00
Net margin
-8,101.13%
ROE
-18.25%
Current ratio
757.95
Gross margin
-8,101.13%
Operating margin
-7,825.32%
Debt / equity
0.25
Working capital
650.7 K PLN
5 years of data (2018–2022)
Revenue
2022
Net profit
3/5 profitable years
Assets
2022
Equity
2022
Net revenue
Net profit / loss
Profit waterfall 2022
Cost structure 2022
Ratios 2022
Full table of ratios over 4 years (2018–2022)
| Metric | 2018 | 2019 | 2021 | 2022 |
|---|---|---|---|---|
| Profitability | ||||
| Gross margin | 83.97% | 79.40% | -4,500.73% | -8,101.13% |
| Operating margin | 84.03% | 75.60% | -4,019.45% | -7,825.32% |
| EBIT margin | 84.03% | 75.60% | -4,019.45% | -7,825.32% |
| EBITDA margin | 85.91% | 77.91% | -3,034.22% | -6,686.71% |
| Net margin | 83.97% | 79.40% | -4,500.73% | -8,101.13% |
| ROA | 26.22% | 21.75% | -17.79% | -14.65% |
| ROE | 26.29% | 24.33% | -21.16% | -18.25% |
| Liquidity | ||||
| Current ratio | 397.08 | 9.14 | 42.57 | 757.95 |
| Quick ratio | 201.42 | 1.24 | 18.25 | 135.01 |
| Working capital | 679.7 K PLN | 865.6 K PLN | 880.9 K PLN | 650.7 K PLN |
| Working capital / revenue | 319.42% | 314.54% | 24,030.20% | 54,250.92% |
| Leverage | ||||
| Equity ratio | 99.75% | 89.41% | 84.05% | 80.26% |
| Debt / assets | 0.25% | 10.59% | 15.95% | 19.74% |
| Debt / equity | 0.00 | 0.12 | 0.19 | 0.25 |
| Interest coverage (EBIT) | 422.60 | 141.07 | -8.32 | -28.37 |
| Efficiency | ||||
| Asset turnover | 0.31 | 0.27 | 0.00 | 0.00 |
| Fixed assets / revenue | 0.00% | 11.83% | 695.62% | 987.39% |
| Receivables / revenue | 102.21% | 38.02% | 3,842.09% | 8,595.16% |
| DSO (days) | 373 | 139 | 14024 | 31372 |
| Inventory days | 3606 | 4596 | 1390 | 3224 |
Estimated value
0 PLN
Year: 2022
closed
Input data for 2022, which the model uses to compute the company's estimated value.
Scale of operations
Balance sheet
Debt
Indicators