Dahl-Linjaliikenne Oy0242826-2
financialStatement.heading
financialStatement.yearEnded 31/12/2022(financialStatement.priorYearComparison)
financialStatement.description
financialStatement.balanceSheet
31/12/202131/12/2022financialStatement.assets
Assets€1.91M€1.92M
Fixed Assets€1.31M€1.06M
Fixed Assets€1.31M€1.06M
Current Assets€592.67K€864.58K
Current Assets€592.67K€864.58K
financialStatement.equityAndLiabilities
Liabilities & Equity€1.91M€1.92M
Equity€884.26K€1.06M
Equity€884.26K€1.06M
Liabilities€863.67K€696.69K
Liabilities€863.67K€696.69K
Current Liabilities€534.56K€507.21K
Current Liabilities€534.56K€507.21K
financialStatement.incomeStatement
31/12/202131/12/2022Revenue€1.92M€2.54M
Liiketoiminnan muut tuotot€76.44K€11.67K
Ostot tilikauden aikana−€421.06K−€610.10K
Palvelujen ostot−€35.03K−€78.78K
Materials and Services−€456.09K−€688.88K
Palkat ja palkkiot−€612.09K−€770.53K
Eläkekulut−€110.64K−€140.76K
Muut henkilösivukulut−€16.05K−€23.80K
Personnel Costs−€738.78K−€935.09K
Suunnitelman mukaiset poistot−€256.32K−€256.35K
Depreciation and Impairment−€256.32K−€256.35K
Other Operating Expenses−€265.40K−€321.01K
Operating Profit (Loss)€279.89K€349.38K
Muut korko- ja rahoitustuotot muilta kuin saman konsernin yrityksiltä€8.45€0.67
Interest and Other Financial Expenses−€16.50K−€12.17K
Financial Income and Expenses−€16.49K−€12.17K
Profit (Loss) Before Appropriations and Tax€263.39K€337.21K
fi_MC:x542−€19.86K−€4.03K
Income Taxes−€49.12K−€66.67K
Net Income (Loss)€194.41K€266.51K