đžđȘ Prodiem AB
Organization Number: 556637-4186
Company Information
Address
SaltmÀtargatan 7, 113 59 Stockholm
Employees
7
Phone Number
Allabolag: 08-534 801 30
Ratsit: 08-53480130
Ratsit: +4670-6727120
Ratsit: +4670-7186107
Ratsit: 010-1715000
Ratsit: 072-5611220
Financial Information
Detailed financial data for recent years
Salaries & Dividends
Shows salary costs and dividends
| Account | 2025 | 2024 | 2023 | 2022 | 2021 | 
|---|---|---|---|---|---|
| Föreslagen utdelning | 0 KSEK | 0 KSEK | 7,450 KSEK | 6,200 KSEK | 8,000 KSEK | 
Föreslagen utdelning
 2025  0 KSEK  
 2024  0 KSEK  
 2023  7,450 KSEK  
 2022  6,200 KSEK  
 2021  8,000 KSEK  
 Accounting Period
Shows start and end dates of accounting periods
| Account | 2025 | 2024 | 2023 | 2022 | 2021 | 
|---|---|---|---|---|---|
| Startdatum | 2024-05-01 | 2023-05-01 | 2022-05-01 | 2021-05-01 | 2020-05-01 | 
| Slutdatum | 2025-04-30 | 2024-04-30 | 2023-04-30 | 2022-04-30 | 2021-04-30 | 
Startdatum
 2025  2024-05-01  
 2024  2023-05-01  
 2023  2022-05-01  
 2022  2021-05-01  
 2021  2020-05-01  
 Slutdatum
 2025  2025-04-30  
 2024  2024-04-30  
 2023  2023-04-30  
 2022  2022-04-30  
 2021  2021-04-30  
 Income Statement
Shows company revenues, costs and results
| Account | 2025 | 2024 | 2023 | 2022 | 2021 | 
|---|---|---|---|---|---|
| NettoomsÀttning | 121,869 KSEK | 108,581 KSEK | 113,333 KSEK | 95,076 KSEK | 84,307 KSEK | 
| Ăvrig omsĂ€ttning | 13 KSEK | 4 KSEK | 4 KSEK | 3 KSEK | 12 KSEK | 
| OmsÀttning | 121,882 KSEK | 108,585 KSEK | 113,337 KSEK | 95,079 KSEK | 84,319 KSEK | 
| Rörelsekostnader | -110,599 KSEK | -101,394 KSEK | -104,306 KSEK | -85,120 KSEK | -78,641 KSEK | 
| Rörelseresultat efter avskrivningar | 11,284 KSEK | 7,190 KSEK | 9,031 KSEK | 9,959 KSEK | 5,679 KSEK | 
| Finansiella intÀkter | 0 KSEK | 122 KSEK | 33 KSEK | 663 KSEK | 31 KSEK | 
| Finansiella kostnader | -25 KSEK | -47 KSEK | -63 KSEK | -333 KSEK | -2 KSEK | 
| Resultat efter finansnetto | 11,322 KSEK | 7,265 KSEK | 9,000 KSEK | 10,290 KSEK | 5,706 KSEK | 
| Resultat före skatt | 14,394 KSEK | 9,201 KSEK | 9,523 KSEK | 7,708 KSEK | 4,886 KSEK | 
| Skatt pÄ Ärets resultat | -3,055 KSEK | -2,055 KSEK | -2,073 KSEK | -2,056 KSEK | -1,393 KSEK | 
| Ă rets resultat | 11,339 KSEK | 7,146 KSEK | 7,450 KSEK | 5,652 KSEK | 3,493 KSEK | 
NettoomsÀttning
 2025  121,869 KSEK  
 2024  108,581 KSEK  
 2023  113,333 KSEK  
 2022  95,076 KSEK  
 2021  84,307 KSEK  
 Ăvrig omsĂ€ttning
 2025  13 KSEK  
 2024  4 KSEK  
 2023  4 KSEK  
 2022  3 KSEK  
 2021  12 KSEK  
 OmsÀttning
 2025  121,882 KSEK  
 2024  108,585 KSEK  
 2023  113,337 KSEK  
 2022  95,079 KSEK  
 2021  84,319 KSEK  
 Rörelsekostnader
 2025  -110,599 KSEK  
 2024  -101,394 KSEK  
 2023  -104,306 KSEK  
 2022  -85,120 KSEK  
 2021  -78,641 KSEK  
 Rörelseresultat efter avskrivningar
 2025  11,284 KSEK  
 2024  7,190 KSEK  
 2023  9,031 KSEK  
 2022  9,959 KSEK  
 2021  5,679 KSEK  
 Finansiella intÀkter
 2025  0 KSEK  
 2024  122 KSEK  
 2023  33 KSEK  
 2022  663 KSEK  
 2021  31 KSEK  
 Finansiella kostnader
 2025  -25 KSEK  
 2024  -47 KSEK  
 2023  -63 KSEK  
 2022  -333 KSEK  
 2021  -2 KSEK  
 Resultat efter finansnetto
 2025  11,322 KSEK  
 2024  7,265 KSEK  
 2023  9,000 KSEK  
 2022  10,290 KSEK  
 2021  5,706 KSEK  
 Resultat före skatt
 2025  14,394 KSEK  
 2024  9,201 KSEK  
 2023  9,523 KSEK  
 2022  7,708 KSEK  
 2021  4,886 KSEK  
 Skatt pÄ Ärets resultat
 2025  -3,055 KSEK  
 2024  -2,055 KSEK  
 2023  -2,073 KSEK  
 2022  -2,056 KSEK  
 2021  -1,393 KSEK  
 Ă rets resultat
 2025  11,339 KSEK  
 2024  7,146 KSEK  
 2023  7,450 KSEK  
 2022  5,652 KSEK  
 2021  3,493 KSEK  
 Balance Sheet
Shows company assets, liabilities and equity
| Account | 2025 | 2024 | 2023 | 2022 | 2021 | 
|---|---|---|---|---|---|
| Immateriella anlÀggningstillgÄngar | 0 KSEK | 0 KSEK | 0 KSEK | 0 KSEK | 0 KSEK | 
| Materiella anlÀggningstillgÄngar | 0 KSEK | 0 KSEK | 0 KSEK | 0 KSEK | 0 KSEK | 
| Finansiella anlÀggningstillgÄngar | 1,876 KSEK | 1,870 KSEK | 1,870 KSEK | 1,871 KSEK | 3,236 KSEK | 
| AnlÀggningstillgÄngar | 1,876 KSEK | 1,870 KSEK | 1,870 KSEK | 1,871 KSEK | 3,236 KSEK | 
| Varulager | 0 KSEK | 0 KSEK | 0 KSEK | 0 KSEK | 0 KSEK | 
| Kundfordringar | 11,084 KSEK | 9,326 KSEK | 12,358 KSEK | 8,414 KSEK | 13,078 KSEK | 
| Kassa och bank | 8,591 KSEK | 10,634 KSEK | 10,882 KSEK | 6,496 KSEK | 5,135 KSEK | 
| OmsÀttningstillgÄngar | 37,330 KSEK | 33,133 KSEK | 39,936 KSEK | 34,672 KSEK | 34,254 KSEK | 
| Summa tillgÄngar | 39,206 KSEK | 35,003 KSEK | 41,807 KSEK | 36,543 KSEK | 37,491 KSEK | 
| Fritt eget kapital | 11,424 KSEK | 7,285 KSEK | 7,589 KSEK | 6,339 KSEK | 8,687 KSEK | 
| Obeskattade reserver | 0 KSEK | 6,466 KSEK | 8,466 KSEK | 9,221 KSEK | 6,639 KSEK | 
| Eget kapital | 11,538 KSEK | 7,399 KSEK | 7,703 KSEK | 6,453 KSEK | 8,801 KSEK | 
| AvsÀttningar | 2,455 KSEK | 2,504 KSEK | 2,237 KSEK | 2,237 KSEK | 3,932 KSEK | 
| LÄngfristiga skulder | 0 KSEK | 0 KSEK | 0 KSEK | 0 KSEK | 0 KSEK | 
| Leverantörsskulder | 10,897 KSEK | 9,849 KSEK | 17,128 KSEK | 13,055 KSEK | 11,750 KSEK | 
| Kortfristiga skulder | 21,894 KSEK | 18,635 KSEK | 23,400 KSEK | 18,632 KSEK | 18,118 KSEK | 
| Summa eget kapital och skulder | 39,206 KSEK | 35,003 KSEK | 41,807 KSEK | 36,543 KSEK | 37,491 KSEK | 
Immateriella anlÀggningstillgÄngar
 2025  0 KSEK  
 2024  0 KSEK  
 2023  0 KSEK  
 2022  0 KSEK  
 2021  0 KSEK  
 Materiella anlÀggningstillgÄngar
 2025  0 KSEK  
 2024  0 KSEK  
 2023  0 KSEK  
 2022  0 KSEK  
 2021  0 KSEK  
 Finansiella anlÀggningstillgÄngar
 2025  1,876 KSEK  
 2024  1,870 KSEK  
 2023  1,870 KSEK  
 2022  1,871 KSEK  
 2021  3,236 KSEK  
 AnlÀggningstillgÄngar
 2025  1,876 KSEK  
 2024  1,870 KSEK  
 2023  1,870 KSEK  
 2022  1,871 KSEK  
 2021  3,236 KSEK  
 Varulager
 2025  0 KSEK  
 2024  0 KSEK  
 2023  0 KSEK  
 2022  0 KSEK  
 2021  0 KSEK  
 Kundfordringar
 2025  11,084 KSEK  
 2024  9,326 KSEK  
 2023  12,358 KSEK  
 2022  8,414 KSEK  
 2021  13,078 KSEK  
 Kassa och bank
 2025  8,591 KSEK  
 2024  10,634 KSEK  
 2023  10,882 KSEK  
 2022  6,496 KSEK  
 2021  5,135 KSEK  
 OmsÀttningstillgÄngar
 2025  37,330 KSEK  
 2024  33,133 KSEK  
 2023  39,936 KSEK  
 2022  34,672 KSEK  
 2021  34,254 KSEK  
 Summa tillgÄngar
 2025  39,206 KSEK  
 2024  35,003 KSEK  
 2023  41,807 KSEK  
 2022  36,543 KSEK  
 2021  37,491 KSEK  
 Fritt eget kapital
 2025  11,424 KSEK  
 2024  7,285 KSEK  
 2023  7,589 KSEK  
 2022  6,339 KSEK  
 2021  8,687 KSEK  
 Obeskattade reserver
 2025  0 KSEK  
 2024  6,466 KSEK  
 2023  8,466 KSEK  
 2022  9,221 KSEK  
 2021  6,639 KSEK  
 Eget kapital
 2025  11,538 KSEK  
 2024  7,399 KSEK  
 2023  7,703 KSEK  
 2022  6,453 KSEK  
 2021  8,801 KSEK  
 AvsÀttningar
 2025  2,455 KSEK  
 2024  2,504 KSEK  
 2023  2,237 KSEK  
 2022  2,237 KSEK  
 2021  3,932 KSEK  
 LÄngfristiga skulder
 2025  0 KSEK  
 2024  0 KSEK  
 2023  0 KSEK  
 2022  0 KSEK  
 2021  0 KSEK  
 Leverantörsskulder
 2025  10,897 KSEK  
 2024  9,849 KSEK  
 2023  17,128 KSEK  
 2022  13,055 KSEK  
 2021  11,750 KSEK  
 Kortfristiga skulder
 2025  21,894 KSEK  
 2024  18,635 KSEK  
 2023  23,400 KSEK  
 2022  18,632 KSEK  
 2021  18,118 KSEK  
 Summa eget kapital och skulder
 2025  39,206 KSEK  
 2024  35,003 KSEK  
 2023  41,807 KSEK  
 2022  36,543 KSEK  
 2021  37,491 KSEK  
 