Financial statements Gamma
Balance sheet data of GAMMA
|
Year
|
2018
|
2019
|
2020
|
2021
|
2022
|
2023
|
|---|---|---|---|---|---|---|
| Total assets | 29 729 931,39 | 37 328 266,00 | 29 690 601,15 | 37 344 923,96 | 48 142 472,31 | 47 682 870,94 |
| A. Fixed assets | 5 287 840,09 | 5 605 673,16 | 5 984 724,38 | 6 193 376,10 | 6 847 370,22 | 6 957 541,33 |
| B. Current assets | 24 442 091,30 | 31 722 592,84 | 23 705 876,77 | 31 151 547,86 | 41 295 102,09 | 40 725 329,61 |
| C. Share capital contributions (basic funds) | 0,00 | 0,00 | 0,00 | 0,00 | 0,00 | 0,00 |
| D. Own shares (stocks) | 0,00 | 0,00 | 0,00 | 0,00 | 0,00 | 0,00 |
| Total liabilities | 29 729 931,39 | 37 328 266,00 | 29 690 601,15 | 37 344 923,96 | 48 142 472,31 | 47 682 870,94 |
| A. Equity | 17 848 660,97 | 19 670 737,21 | 20 462 538,51 | 24 047 585,36 | 29 637 879,21 | 31 557 442,39 |
| B. Liabilities and provisions for liabilities | 11 881 270,42 | 17 657 528,79 | 9 228 062,64 | 13 297 338,60 | 18 504 593,10 | 16 125 428,55 |
| I. Long-term liabilities | 4 774 656,96 | 5 177 718,08 | 5 954 286,95 | 5 602 349,13 | 6 307 170,01 | 5 794 616,75 |
| II. Short-term liabilities | 6 835 700,72 | 12 254 824,40 | 1 875 923,68 | 7 109 018,28 | 11 670 860,19 | 9 789 614,47 |
Financial data is automatically retrieved from the EKRS webpage of the Ministry of Justice.
- Fixed Assets - Assets held for a longer period, typically longer than a year, such as real estate or machinery.
- Current Assets - Assets intended to be used or sold within a year, such as inventory, receivables, and cash.
- Equity - The net value of a company's assets, representing the difference between its assets and liabilities.
- Long-Term Liabilities - Financial obligations to be repaid over a period longer than a year, such as loans or bonds.
- Short-Term Liabilities - Financial obligations to be repaid within a year, such as payables to suppliers or short-term loans.
- Reserve Capital - A portion of equity set aside for specific purposes, such as covering losses or business development.