đžđȘ Readymade AB
Organization Number: 556871-7960
Company Information
Address
Maskingatan 12, 511 62 Skene
Employees
3
Phone Number
Allabolag: 073-429 38 09
Ratsit: 073-4293809
Ratsit: 031-550700
Ratsit: +4673-5434072
Ratsit: +4670-6214926
Ratsit: 073-5163069
Ratsit: +4673-6454566
Ratsit: +4676-3362892
Ratsit: 0320-31475
Ratsit: +4670-2780255
Ratsit: +46320-12404
Financial Information
Detailed financial data for recent years
Salaries & Dividends
Shows salary costs and dividends
Account | 2023 | 2022 | 2021 | 2020 |
---|---|---|---|---|
Löner övriga | 1,159 KSEK | 1,569 KSEK | 1,520 KSEK | 2,312 KSEK |
Föreslagen utdelning | 0 KSEK | 1,000 KSEK | 0 KSEK | 500 KSEK |
Löner styrelse och VD | 615 KSEK | 540 KSEK | 444 KSEK | - |
Löner övriga
2023 1,159 KSEK
2022 1,569 KSEK
2021 1,520 KSEK
2020 2,312 KSEK
Föreslagen utdelning
2023 0 KSEK
2022 1,000 KSEK
2021 0 KSEK
2020 500 KSEK
Löner styrelse och VD
2023 615 KSEK
2022 540 KSEK
2021 444 KSEK
2020 -
Accounting Period
Shows start and end dates of accounting periods
Account | 2023 | 2022 | 2021 | 2020 |
---|---|---|---|---|
Startdatum | 2023-01-01 | 2022-01-01 | 2021-01-01 | 2020-01-01 |
Slutdatum | 2023-12-31 | 2022-12-31 | 2021-12-31 | 2020-12-31 |
Startdatum
2023 2023-01-01
2022 2022-01-01
2021 2021-01-01
2020 2020-01-01
Slutdatum
2023 2023-12-31
2022 2022-12-31
2021 2021-12-31
2020 2020-12-31
Income Statement
Shows company revenues, costs and results
Account | 2023 | 2022 | 2021 | 2020 |
---|---|---|---|---|
NettoomsÀttning | 14,789 KSEK | 17,274 KSEK | 15,281 KSEK | 15,375 KSEK |
Ăvrig omsĂ€ttning | 9 KSEK | 307 KSEK | 18 KSEK | 135 KSEK |
OmsÀttning | 14,798 KSEK | 17,581 KSEK | 15,299 KSEK | 15,510 KSEK |
Rörelsekostnader | -14,322 KSEK | -16,206 KSEK | -14,822 KSEK | -15,407 KSEK |
Rörelseresultat efter avskrivningar | 476 KSEK | 1,376 KSEK | 475 KSEK | 102 KSEK |
Finansiella intÀkter | 10 KSEK | 6 KSEK | 6 KSEK | 7 KSEK |
Finansiella kostnader | -137 KSEK | -45 KSEK | -49 KSEK | -29 KSEK |
Resultat efter finansnetto | 349 KSEK | 1,337 KSEK | 431 KSEK | 81 KSEK |
Resultat före skatt | 349 KSEK | 1,337 KSEK | 431 KSEK | 81 KSEK |
Skatt pÄ Ärets resultat | -96 KSEK | -290 KSEK | -101 KSEK | -28 KSEK |
Ă rets resultat | 253 KSEK | 1,047 KSEK | 330 KSEK | 53 KSEK |
NettoomsÀttning
2023 14,789 KSEK
2022 17,274 KSEK
2021 15,281 KSEK
2020 15,375 KSEK
Ăvrig omsĂ€ttning
2023 9 KSEK
2022 307 KSEK
2021 18 KSEK
2020 135 KSEK
OmsÀttning
2023 14,798 KSEK
2022 17,581 KSEK
2021 15,299 KSEK
2020 15,510 KSEK
Rörelsekostnader
2023 -14,322 KSEK
2022 -16,206 KSEK
2021 -14,822 KSEK
2020 -15,407 KSEK
Rörelseresultat efter avskrivningar
2023 476 KSEK
2022 1,376 KSEK
2021 475 KSEK
2020 102 KSEK
Finansiella intÀkter
2023 10 KSEK
2022 6 KSEK
2021 6 KSEK
2020 7 KSEK
Finansiella kostnader
2023 -137 KSEK
2022 -45 KSEK
2021 -49 KSEK
2020 -29 KSEK
Resultat efter finansnetto
2023 349 KSEK
2022 1,337 KSEK
2021 431 KSEK
2020 81 KSEK
Resultat före skatt
2023 349 KSEK
2022 1,337 KSEK
2021 431 KSEK
2020 81 KSEK
Skatt pÄ Ärets resultat
2023 -96 KSEK
2022 -290 KSEK
2021 -101 KSEK
2020 -28 KSEK
Ă rets resultat
2023 253 KSEK
2022 1,047 KSEK
2021 330 KSEK
2020 53 KSEK
Balance Sheet
Shows company assets, liabilities and equity
Account | 2023 | 2022 | 2021 | 2020 |
---|---|---|---|---|
Immateriella anlÀggningstillgÄngar | 16 KSEK | 36 KSEK | 56 KSEK | 76 KSEK |
Materiella anlÀggningstillgÄngar | 305 KSEK | 426 KSEK | 1,281 KSEK | 1,742 KSEK |
Finansiella anlÀggningstillgÄngar | 1,068 KSEK | 2,068 KSEK | 1,653 KSEK | 2,388 KSEK |
AnlÀggningstillgÄngar | 1,389 KSEK | 2,530 KSEK | 2,990 KSEK | 4,205 KSEK |
Varulager | 500 KSEK | 900 KSEK | 2,426 KSEK | 3,200 KSEK |
Kundfordringar | 823 KSEK | 1,223 KSEK | 1,197 KSEK | 2,712 KSEK |
Kassa och bank | 4,732 KSEK | 6,735 KSEK | 3,621 KSEK | 999 KSEK |
OmsÀttningstillgÄngar | 8,936 KSEK | 11,148 KSEK | 9,094 KSEK | 8,541 KSEK |
Summa tillgÄngar | 10,325 KSEK | 13,678 KSEK | 12,085 KSEK | 12,746 KSEK |
Fritt eget kapital | 5,275 KSEK | 6,022 KSEK | 4,976 KSEK | 5,645 KSEK |
Obeskattade reserver | 0 KSEK | 0 KSEK | 0 KSEK | 0 KSEK |
Eget kapital | 5,325 KSEK | 6,072 KSEK | 5,026 KSEK | 5,695 KSEK |
AvsÀttningar | 0 KSEK | 0 KSEK | 0 KSEK | 0 KSEK |
LÄngfristiga skulder | 250 KSEK | 670 KSEK | 1,090 KSEK | 1,510 KSEK |
Leverantörsskulder | 208 KSEK | 11 KSEK | 139 KSEK | 1,430 KSEK |
Kortfristiga skulder | 4,750 KSEK | 6,936 KSEK | 5,969 KSEK | 5,540 KSEK |
Summa eget kapital och skulder | 10,325 KSEK | 13,678 KSEK | 12,085 KSEK | 12,746 KSEK |
Immateriella anlÀggningstillgÄngar
2023 16 KSEK
2022 36 KSEK
2021 56 KSEK
2020 76 KSEK
Materiella anlÀggningstillgÄngar
2023 305 KSEK
2022 426 KSEK
2021 1,281 KSEK
2020 1,742 KSEK
Finansiella anlÀggningstillgÄngar
2023 1,068 KSEK
2022 2,068 KSEK
2021 1,653 KSEK
2020 2,388 KSEK
AnlÀggningstillgÄngar
2023 1,389 KSEK
2022 2,530 KSEK
2021 2,990 KSEK
2020 4,205 KSEK
Varulager
2023 500 KSEK
2022 900 KSEK
2021 2,426 KSEK
2020 3,200 KSEK
Kundfordringar
2023 823 KSEK
2022 1,223 KSEK
2021 1,197 KSEK
2020 2,712 KSEK
Kassa och bank
2023 4,732 KSEK
2022 6,735 KSEK
2021 3,621 KSEK
2020 999 KSEK
OmsÀttningstillgÄngar
2023 8,936 KSEK
2022 11,148 KSEK
2021 9,094 KSEK
2020 8,541 KSEK
Summa tillgÄngar
2023 10,325 KSEK
2022 13,678 KSEK
2021 12,085 KSEK
2020 12,746 KSEK
Fritt eget kapital
2023 5,275 KSEK
2022 6,022 KSEK
2021 4,976 KSEK
2020 5,645 KSEK
Obeskattade reserver
2023 0 KSEK
2022 0 KSEK
2021 0 KSEK
2020 0 KSEK
Eget kapital
2023 5,325 KSEK
2022 6,072 KSEK
2021 5,026 KSEK
2020 5,695 KSEK
AvsÀttningar
2023 0 KSEK
2022 0 KSEK
2021 0 KSEK
2020 0 KSEK
LÄngfristiga skulder
2023 250 KSEK
2022 670 KSEK
2021 1,090 KSEK
2020 1,510 KSEK
Leverantörsskulder
2023 208 KSEK
2022 11 KSEK
2021 139 KSEK
2020 1,430 KSEK
Kortfristiga skulder
2023 4,750 KSEK
2022 6,936 KSEK
2021 5,969 KSEK
2020 5,540 KSEK
Summa eget kapital och skulder
2023 10,325 KSEK
2022 13,678 KSEK
2021 12,085 KSEK
2020 12,746 KSEK