REQUEST A DEMO
Total
USD $0.00
Search more companies

Magicy Tekstu Sp. z o.o. (Poland)

Main Activities: Electronic Shopping and Mail-Order Houses
Secondary Activities: Other Direct Selling Establishments | Information | All Other Professional, Scientific, and Technical Services | Educational Services | Other Personal Care Services
Full name: Magicy Tekstu Sp. z o.o. Profile Updated: May 12, 2024
Buy our report for this company USD 19.99 Most recent financial data: 2024 Available in: English & Polish Download a sample report

Magicy Tekstu Sp. z o.o. is based in Poland, with the head office in Radom. It operates in the Electronic Shopping and Mail-Order Houses sector. It was incorporated on July 11, 2022. The company’s latest financial report indicates a net sales revenue increase of 1.45% in 2024. Its’ total assets recorded a growth of 140.55%. The enterprise’s net profit margin increased by 33.9% in 2024.

Headquarters
Ul. 1905 Roku 21/101
Radom; Mazowieckie; Postal Code: 26-600

Contact Details: Purchase the Magicy Tekstu Sp. z o.o. report to view the information.

Basic Information
Registered Capital:
Purchase the Magicy Tekstu Sp. z o.o. report to view the information.
Financial Auditors:
Purchase the Magicy Tekstu Sp. z o.o. report to view the information.
Incorporation Date:
July 11, 2022
Key Executives
Purchase this report to view the information.
President
Ownership Details
Purchase this report to view the information.
80%
Purchase this report to view the information.
20%
Company Performance
Financial values in the chart are available after Magicy Tekstu Sp. z o.o. report is purchased.
Looking for more than just a company report?

EMIS company profiles are part of a larger information service which combines company, industry and country data and analysis for over 145 emerging markets.

Request a demo of the EMIS service
Key Financial Highlights
Annual growth percentages for latest two years in local currency PLN. Absolute financial data is included in the purchased report.
Net sales revenue
1.45%
Total Operating Revenue
1.45%
Operating Profit
596.42%
EBITDA
596.42%
Net Profit/Loss for the Period
596.42%
Total Assets
140.55%
Total Equity
139.86%
Operating Profit Margin
37.25%
Net Profit Margin
33.9%
Return on Equity (ROE)
38.23%
Quick Ratio
-0.59%
Cash Ratio
-0.59%

To view more information, Request a demonstration of the EMIS service

Buy this company report
Need ongoing access to company, industry or country information?