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KPIs
Headline metrics
RevenueGREENUAH 52.5M-69.7% YoY
Gross marginGREEN27.5%
Net incomeGREEN-UAH 24.3M
Net marginGREEN-46.3%
Operating marginGREEN-31.6%
Red flags3 red1 orange
Liquidity4
RED
Negative operating cash flowoperating_cf_burn
The company is burning cash from operations — sustainability depends on financing.
RED
Net margin -46.3%net_margin_sharply_negative
Net income margin below -5% — profitability materially negative vs revenue.
ORANGE
Current ratio 0.71current_ratio_low
Current assets are below current liabilities — short-term liquidity pressure.
RED
Cash runway ~0.0 yearscash_runway_low
At current burn rate, cash covers less than 2 years — may require near-term financing.
Income Statement
Income Statement
MetricValueFlag
RevenueUAH 52.5MGREEN
Gross Margin27.5%GREEN
Operating Margin-31.6%GREEN
Net Margin-46.3%GREEN
Gross ProfitUAH 14.4MGREEN
Operating Income-UAH 16.6MGREEN
Net Income-UAH 24.3MGREEN
Income Tax Expense-UAH 1.4MGREEN
Pre-tax Income-UAH 25.8MGREEN
Interest ExpenseUAH 9.2MGREEN
Cost Of RevenueUAH 38.1MGREEN
Selling General & Admin ExpUAH 11.4MGREEN
Other Non Operating Income (Expenses)UAH 4.0MGREEN
Earnings from Continuing Operations-UAH 24.3MGREEN
Balance Sheet
Balance Sheet
MetricValueFlag
Total AssetsUAH 344.0MGREEN
Current AssetsUAH 119.8MGREEN
Current LiabilitiesUAH 168.4MGREEN
Total LiabilitiesUAH 204.1MGREEN
Total EquityUAH 139.8MGREEN
Retained Earnings-UAH 24.5MGREEN
Cash & EquivalentsUAH 272,000GREEN
Trade ReceivablesUAH 112.8MGREEN
Trade PayablesUAH 10.7MGREEN
InventoryUAH 4.8MGREEN
Gross Property, Plant & EquipmentUAH 224.1MGREEN
Other IntangiblesUAH 43,000GREEN
Other Current LiabilitiesUAH 1.8MGREEN
Capital LeasesUAH 786,000GREEN
Common StockUAH 52,000GREEN
Comprehensive Income and OtherUAH 164.3MGREEN
Cash Flow
Cash Flow
MetricValueFlag
Operating Cash Flow-UAH 32.4MGREEN
Capital ExpendituresUAH 7.2MGREEN
Investing Cash Flow-UAH 2.7MGREEN
Free Cash Flow-UAH 39.6MGREEN
Financing Cash FlowUAH 33.7MGREEN
Asset Writedown & Restructuring Costs-UAH 298,000GREEN
Change in Other Net Operating AssetsUAH 14.1MGREEN
Sale of Property, Plant, and EquipmentUAH 3.4MGREEN
Long Term Debt IssuedUAH 140.8MGREEN
Long Term Debt RepaidUAH 92.6MGREEN
Other Financing Activities-UAH 5.4MGREEN
Foreign Exchange Rate EffectUAH 713,000GREEN
Misc. Cash Flow Adjustments-UAH 32.9MGREEN
Net Change in Cash-UAH 679,000GREEN
Cash Interest PaidUAH 9.1MGREEN