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Rychlé hodnocení stavu
firmy |
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Green Foods
a.s. |
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Rychlý přehled
finančního zdraví a kondice firmy |
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Zisk firmy a tržby |
2011 |
2012 |
2013 |
2014 |
2015 |
2016 |
2017 |
2018 |
2019 |
2020 |
2021 |
2022 |
2023 |
|
| |
Výsledek hospodaření za
účetní období (+/-) |
16 580 |
24 988 |
24 089 |
20 949 |
25 114 |
12 781 |
5 984 |
24 483 |
21 711 |
35 620 |
12 250 |
37 135 |
62 985 |
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Provozní výsledek hospodaření (+/-) |
|
19 572 |
22 838 |
24 740 |
26 940 |
40 473 |
41 296 |
15 514 |
38 404 |
39 185 |
52 877 |
23 662 |
54 455 |
79 374 |
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| |
EBIT (Earnings b. Interests and Taxes) |
|
23 179 |
32 416 |
28 028 |
28 820 |
43 147 |
26 019 |
17 499 |
42 276 |
37 206 |
54 360 |
30 854 |
57 844 |
87 965 |
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| |
EBITDA (Earnings b.
Interests, Taxes, Depreciation and Amortization) |
36 411 |
43 247 |
41 968 |
43 984 |
57 825 |
49 400 |
51 157 |
75 795 |
71 197 |
90 229 |
64 338 |
90 767 |
121 640 |
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Tržby za prodej zboží |
|
489 119 |
529 477 |
549 279 |
557 120 |
576 677 |
637 623 |
466 977 |
435 028 |
488 638 |
599 798 |
389 601 |
410 614 |
607 843 |
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Tržby z prodeje výrobků a služeb |
|
351 097 |
350 781 |
391 446 |
442 667 |
451 478 |
496 497 |
537 781 |
494 556 |
507 078 |
552 244 |
702 172 |
832 402 |
955 178 |
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| |
Obchodní marže |
|
171 471 |
189 866 |
187 253 |
178 752 |
180 747 |
187 057 |
151 782 |
118 546 |
119 966 |
155 647 |
68 709 |
47 226 |
107 801 |
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| |
Ukazatel obchodní marže |
|
35% |
36% |
34% |
32% |
31% |
29% |
33% |
27% |
25% |
26% |
18% |
12% |
18% |
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| |
Celkové náklady |
|
860 292 |
881 848 |
936 590 |
1 007 789 |
1 023 946 |
1 180 328 |
1 039 749 |
939 011 |
993 838 |
1 140 472 |
1 118 975 |
1 256 565 |
1 528 677 |
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| |
Celkové výnosy |
|
876 872 |
906 836 |
960 679 |
1 028 738 |
1 049 060 |
1 193 109 |
1 045 733 |
963 494 |
1 015 549 |
1 176 092 |
1 131 225 |
1 293 700 |
1 591 662 |
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| |
Rozvahové položky a cash flow |
2011 |
2012 |
2013 |
2014 |
2015 |
2016 |
2017 |
2018 |
2019 |
2020 |
2021 |
2022 |
2023 |
|
| |
Vlastní kapitál |
|
171 615 |
199 754 |
190 156 |
79 213 |
101 164 |
105 210 |
110 367 |
111 217 |
112 476 |
138 714 |
125 823 |
154 547 |
196 562 |
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Cizí zdroje |
|
217 509 |
208 156 |
212 499 |
332 735 |
447 831 |
509 160 |
486 591 |
458 636 |
467 636 |
496 856 |
514 687 |
497 514 |
570 379 |
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Krátkodobé pohledávky |
|
141 432 |
144 506 |
141 731 |
127 644 |
143 803 |
170 987 |
164 974 |
164 681 |
182 900 |
179 018 |
184 591 |
153 084 |
208 063 |
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| |
Krátkodobé závazky |
|
215 292 |
201 290 |
209 274 |
208 149 |
297 266 |
297 701 |
268 554 |
229 131 |
263 375 |
270 916 |
313 436 |
326 515 |
374 149 |
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| |
Čistý pracovní kapitál |
|
84 333 |
99 080 |
86 345 |
88 587 |
52 779 |
64 871 |
81 240 |
102 997 |
62 856 |
99 520 |
79 317 |
64 685 |
83 370 |
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Cash flow,
zvýšení/snížení peněžních prostředků |
34 974 |
12 317 |
-15 406 |
-2 570 |
25 536 |
-21 299 |
1 593 |
4 751 |
-14 622 |
-573 |
-1 411 |
20 960 |
2 025 |
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| |
Cash flow z provozní činnosti |
|
32 458 |
35 567 |
26 166 |
17 314 |
127 353 |
24 536 |
15 535 |
19 434 |
79 814 |
38 929 |
89 834 |
95 166 |
107 657 |
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Zaměstnanci a produktivita |
2011 |
2012 |
2013 |
2014 |
2015 |
2016 |
2017 |
2018 |
2019 |
2020 |
2021 |
2022 |
2023 |
|
| |
Počet zaměstnanců |
|
157 |
150 |
150 |
148 |
159 |
165 |
196 |
189 |
207 |
241 |
226 |
253 |
257 |
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| |
Mzdové náklady |
|
60 986 |
60 295 |
55 702 |
56 185 |
58 099 |
63 419 |
67 233 |
73 725 |
84 503 |
105 447 |
109 585 |
126 102 |
140 124 |
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| |
Objem tržeb na 1 zaměstnance |
|
5 352 |
5 868 |
6 272 |
6 755 |
6 466 |
6 873 |
5 126 |
4 918 |
4 810 |
4 780 |
4 831 |
4 913 |
6 082 |
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| |
Hrubý zisk na 1 zaměstnance |
|
2 305 |
2 600 |
2 626 |
2 777 |
2 667 |
2 682 |
2 204 |
2 008 |
1 908 |
1 803 |
1 833 |
1 859 |
2 255 |
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| |
Produktivita
práce vypočtená z přidané hodnoty |
1 130 |
1 253 |
1 296 |
1 382 |
1 371 |
1 451 |
1 163 |
1 042 |
1 003 |
1 077 |
967 |
1 069 |
1 344 |
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| |
Produktivita práce vypočtená z tržeb |
|
5 352 |
5 868 |
6 272 |
6 755 |
6 466 |
6 873 |
5 126 |
4 918 |
4 810 |
4 780 |
4 831 |
4 913 |
6 082 |
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| |
Klíčové finanční signály |
2011 |
2012 |
2013 |
2014 |
2015 |
2016 |
2017 |
2018 |
2019 |
2020 |
2021 |
2022 |
2023 |
|
| |
Rentabilita aktiv
(Return on assets) |
|
6% |
8% |
7% |
7% |
8% |
4% |
3% |
7% |
6% |
8% |
5% |
9% |
11% |
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| |
Rentabilita vlastního
kapitálu (Return on equity) |
14% |
16% |
15% |
36% |
43% |
25% |
16% |
38% |
33% |
39% |
25% |
37% |
45% |
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| |
Rentabilita tržeb (Return on sales) |
|
3% |
4% |
3% |
3% |
4% |
2% |
2% |
5% |
4% |
5% |
3% |
5% |
6% |
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Běžná likvidita
(Current ratio) |
|
1,39 |
1,49 |
1,41 |
1,43 |
1,18 |
1,22 |
1,30 |
1,45 |
1,24 |
1,37 |
1,25 |
1,20 |
1,22 |
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Okamžitá likvidita (Cash Ratio) |
|
0,16 |
0,23 |
0,15 |
0,14 |
0,18 |
0,15 |
0,17 |
0,18 |
0,10 |
0,09 |
0,07 |
0,14 |
0,12 |
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Celková zadluženost
(Debt Ratio) |
|
55% |
50% |
52% |
79% |
79% |
81% |
80% |
80% |
79% |
76% |
76% |
73% |
71% |
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| |
Úrokové krytí (Interest
Coverage Ratio) |
7,14 |
13,00 |
22,51 |
13,72 |
4,32 |
2,39 |
1,63 |
4,05 |
3,70 |
4,73 |
2,13 |
4,14 |
7,70 |
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Poměr dluhu k vlastnímu
kapitálu (Debt to Equity Ratio) |
1,27 |
1,04 |
1,12 |
4,20 |
4,43 |
4,84 |
4,41 |
4,12 |
4,16 |
3,58 |
4,09 |
3,22 |
2,90 |
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| |
Doba obratu zásob (Days
Inventory Outstanding) |
71 |
60 |
60 |
64 |
69 |
64 |
75 |
73 |
72 |
85 |
100 |
92 |
75 |
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| |
Doba inkasa pohledávek
(Days Sales Outstanding) |
74 |
72 |
68 |
60 |
64 |
64 |
68 |
72 |
67 |
57 |
62 |
45 |
49 |
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| |
Doba odkladu plateb
závazků (Days Payable Outstanding) |
165 |
153 |
141 |
204 |
269 |
267 |
309 |
303 |
283 |
252 |
276 |
233 |
210 |
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Manuál a vysvětlení listu |
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https://www.finanalysis.cz/manualy/FinAnalysis_2.22_06.pdf |
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