Stock kasuwa, musayar ciniki a yau
Rahoton samfurori na kamfanonin 71229 a ainihin lokacin.
Stock kasuwa, musayar ciniki a yau

Rahoton samfurori

Stock ya faɗi a kan layi

Stock ya faɗi tarihi

Kasashen kasuwancin jari

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Riba daga kamfanin kamfanoni

Rahotan kuɗi

Ƙididdiga na kamfanoni. A ina zan zuba kudi?

Kasuwancin Proact IT Group AB (publ)

Rahoto kan sakamakon kudi na kamfanin Proact IT Group AB (publ), Proact IT Group AB (publ) shekara-shekara na samun kudin shiga ga shekara ta 2024. Yaushe Proact IT Group AB (publ) buga rahotanni na kudi?
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Proact IT Group AB (publ) jimlar kudaden shiga, ribar shiga gida da kuma sauye-sauye na canje-canje a Swedish krona a yau

Adadin kudin shiga na Proact IT Group AB (publ) a yau ya zama 26 200 000 kr. Thearfin kuɗin shiga na Proact IT Group AB (publ) ya canza ta 3 600 000 kr a cikin 'yan shekarun nan. Waɗannan su ne manyan alamu na Proact IT Group AB (publ). Jadawalin rahoton hada-hadar kudi daga 31/03/2019 zuwa 30/06/2021 yana kan layi. Proact IT Group AB (publ) rahoton rahoton kuɗi akan allon zane a ainihin lokacin yana nuna kuzarin, canji a cikin ƙayyadaddun kadarorin kamfanin. Darajar "jimlar kudaden shiga ta Proact IT Group AB (publ)" akan wannan hoton an yiwa alama mai launin shuɗi.

Rahoton Rahoton Jimlar kudade
An kiyasta yawan kudaden shiga ta hanyar ninka yawan kayan da aka sayar da farashin kaya.
kuma Canji (%)
Daidaita rahoton da aka kai a shekara ta wannan shekara tare da rahoto na shekara ta bara.
Ribar kuɗi
Ribar kuɗi shine asusun kuɗi na ƙwarewar ya rage yawan kuɗin da aka sayar, farashi da haraji don lokacin yin rahoton.
kuma Canji (%)
Daidaita rahoton da aka kai a shekara ta wannan shekara tare da rahoto na shekara ta bara.
30/06/2021 877 500 000 kr +8.82 % ↑ 26 200 000 kr +104.69 % ↑
31/03/2021 892 900 000 kr -1.858 % ↓ 22 600 000 kr +5.61 % ↑
31/12/2020 981 688 000 kr -0.93 % ↓ 39 180 000 kr +80.55 % ↑
30/09/2020 820 400 000 kr +17.08 % ↑ 35 100 000 kr +45.64 % ↑
31/12/2019 990 900 000 kr - 21 700 000 kr -
30/09/2019 700 700 000 kr - 24 100 000 kr -
30/06/2019 806 400 000 kr - 12 800 000 kr -
31/03/2019 909 800 000 kr - 21 400 000 kr -
Nuna:
To

Rahoton kudi Proact IT Group AB (publ), tsarawa

Zamanin sabbin bayanan kudi na Proact IT Group AB (publ): 31/03/2019, 31/03/2021, 30/06/2021. Kwanan wata da bayanan bayanan kuɗi an kafa su ne ta hanyar dokokin ƙasar da kamfanin yake gudanar da ayyukanta. Rahoton sabon kudi na Proact IT Group AB (publ) yana nan akan layi akan irin wannan ranar - 30/06/2021. Babban riba Proact IT Group AB (publ) shine ribar da kamfani ke karɓa bayan da ya rage kudin da ake samarwa da sayar da kayansa da / ko kudin da zai samar da ayyukansa. Babban riba Proact IT Group AB (publ) ne 198 700 000 kr

Dates na kudi rahotanni Proact IT Group AB (publ)

Ribar kuɗi Proact IT Group AB (publ) shine asusun kuɗi na ƙwarewar ya rage yawan kuɗin da aka sayar, farashi da haraji don lokacin yin rahoton. Ribar kuɗi Proact IT Group AB (publ) ne 26 200 000 kr

30/06/2021 31/03/2021 31/12/2020 30/09/2020 31/12/2019 30/09/2019 30/06/2019 31/03/2019
Babban riba
Babban riba shine ribar da kamfani ke karɓa bayan da ya rage kudin da ake samarwa da sayar da kayansa da / ko kudin da zai samar da ayyukansa.
198 700 000 kr 195 600 000 kr 222 970 000 kr 177 600 000 kr 231 900 000 kr 173 500 000 kr 185 600 000 kr 195 400 000 kr
Farashin farashi
Kudin shi ne yawan kuɗin da aka samar da rarraba kayayyaki da ayyuka na kamfanin.
678 800 000 kr 697 300 000 kr 758 718 000 kr 642 800 000 kr 759 000 000 kr 527 200 000 kr 620 800 000 kr 714 400 000 kr
Jimlar kudade
An kiyasta yawan kudaden shiga ta hanyar ninka yawan kayan da aka sayar da farashin kaya.
877 500 000 kr 892 900 000 kr 981 688 000 kr 820 400 000 kr 990 900 000 kr 700 700 000 kr 806 400 000 kr 909 800 000 kr
Hanyoyin shiga
Hanyoyin sarrafa kuɗi sun karu daga asusun kasuwancin kamfanin. Alal misali, mai sayar da kaya yana haifar da samun kudin shiga ta hanyar sayar da kayayyaki, kuma likita ya karbi kuɗi daga sabis na kiwon lafiya wanda ya bayar.
- - - - 990 900 000 kr 700 700 000 kr 806 400 000 kr 909 800 000 kr
Haɗin aiki
Sakamakon aiki yana da ma'auni na lissafin kudi wanda ke daidaita yawan ribar da aka samu daga ayyukan kasuwanci, bayan da ya rage kudaden aiki, kamar albashi, haɓakawa da kuma kaya na kaya da aka sayar.
38 900 000 kr 34 000 000 kr 56 650 000 kr 46 000 000 kr 40 100 000 kr 30 200 000 kr 30 000 000 kr 36 400 000 kr
Ribar kuɗi
Ribar kuɗi shine asusun kuɗi na ƙwarewar ya rage yawan kuɗin da aka sayar, farashi da haraji don lokacin yin rahoton.
26 200 000 kr 22 600 000 kr 39 180 000 kr 35 100 000 kr 21 700 000 kr 24 100 000 kr 12 800 000 kr 21 400 000 kr
R & D kudi
Binciken bincike da ci gaba - kudaden bincike don inganta samfurori da hanyoyin da ake samuwa ko kuma samar da sababbin samfurori da hanyoyin.
- - - - - - - -
Ayyukan sarrafawa
Kayan aiki shine kudaden da kasuwancin ke haifarwa saboda sakamakon ayyukan kasuwanci na yau da kullum.
838 600 000 kr 858 900 000 kr 925 038 000 kr 774 400 000 kr 950 800 000 kr 670 500 000 kr 776 400 000 kr 873 400 000 kr
Abubuwan da ke yanzu
Abubuwan da ake amfani da su a yanzu shine takarda na ma'auni wanda ya wakilta dukiyar dukiyar da za'a iya juyo cikin kuɗi a cikin shekara guda.
1 517 800 000 kr 1 612 000 000 kr 1 525 596 000 kr 1 443 900 000 kr 1 515 600 000 kr 1 084 800 000 kr 1 162 900 000 kr 1 368 400 000 kr
Total dukiya
Jimlar dukiyar kuɗi ce ta kuɗin kuɗin kuɗin kuɗin kuɗin kungiyar, bashin bashi, da dukiya na kayan aiki.
3 042 700 000 kr 3 067 600 000 kr 2 923 936 000 kr 2 788 400 000 kr 2 876 700 000 kr 2 251 100 000 kr 2 321 100 000 kr 2 507 000 000 kr
Kudi na yanzu
Kasuwanci na yanzu shine kudaden kuɗin da kamfanin ya gudanar a ranar rahoton.
499 800 000 kr 392 700 000 kr 468 309 000 kr 396 000 000 kr 373 200 000 kr 216 600 000 kr 218 900 000 kr 246 000 000 kr
Yanzu bashi
Dalili na yanzu shine ɓangare na bashin da za a biya a wannan shekara (watannin 12) kuma an nuna shi a matsayin wani alhaki na yanzu da kuma ɓangare na babban kamfanonin aiki.
- - - - 1 490 000 000 kr 1 089 900 000 kr 1 181 000 000 kr 1 312 500 000 kr
Jimlar kuɗi
Jimlar kuɗin kuɗi ne adadin duk kuɗin da kamfanin yake da shi a cikin asusunsa, ciki har da ƙananan kuɗi da kudade da aka gudanar a banki.
- - - - - - - -
Jimlar bashi
Jimlar bashi shine haɗuwa da gajeren lokaci da dogon lokaci. Lokaci bashi ne waɗanda dole ne a biya a cikin shekara guda. Lokaci na dogon lokaci ya hada da dukan wajibai waɗanda dole ne a biya su bayan shekara guda.
- - - - 2 350 800 000 kr 1 741 100 000 kr 1 840 300 000 kr 2 004 700 000 kr
Yanayin bashi
Jimlar bashi ga duk dukiya shi ne haɗin kudi wanda ya nuna yawan yawan dukiyar da kamfanin ke wakilta a matsayin bashi.
- - - - 81.72 % 77.34 % 79.29 % 79.96 %
Hakki
Adalci shine adadin dukan dukiya na mai shi bayan da ya cire duk wata albashi daga dukiyar kuɗi.
628 700 000 kr 652 900 000 kr 601 949 000 kr 604 000 000 kr 524 200 000 kr 508 100 000 kr 479 000 000 kr 500 300 000 kr
Cash flow
Cash flow is bashin tsabar kuɗi da tsabar kuɗin da ake ciki a cikin kungiyar.
- - - - 208 700 000 kr 43 800 000 kr 78 700 000 kr -1 700 000 kr

Rahoton kudi na baya-bayan nan game da kudin shiga na Proact IT Group AB (publ) shine ranar 30/06/2021. A cewar sabon rahoto game da sakamakon kudi na Proact IT Group AB (publ), yawan kudaden da Proact IT Group AB (publ) ya samu ya kai 877 500 000 Swedish krona kuma ya canza zuwa +8.82% idan aka kwatanta da shekara ta gaba. Sakamakon riba na Proact IT Group AB (publ) a cikin kwata na karshe shine 26 200 000 kr, karuwar riba ta karu da +104.69% idan aka kwatanta da bara.

Kudin hannun jari Proact IT Group AB (publ)

Finance Proact IT Group AB (publ)