Caesart Creative OÜRegistered
Key figures
11 610 €+216,2%
Revenue 2025
+48,5%
Average annual growth 2022–2025
Ratios
20256,7%
Profit margin
9,4%
EBITDA margin
82,9%
Equity ratio
3,7×
Current ratio
17,3%
Return on equity
Balance sheet structure
Current assetsNon-current assetsLiabilitiesEquity
Dividends
calculated2025
No dividends were distributed.
History
20250 €
2024 ~978 €
2023 ~1995 €
Previous year's retained earnings + previous year's profit − current retained earnings.
Summary of financial statements2022–2025
| 2022 | 2023 | 2024 | 2025 | |
|---|---|---|---|---|
| Balance sheet — assets | ||||
| Total current assets | 2509 | 2352 | 2385 | 3415 |
| Total non-current assets | 2143 | 1696 | 1472 | 1983 |
| Total assets | 4652 | 4048 | 3857 | 5398 |
| Balance sheet — liabilities and equity | ||||
| Current liabilities | 157 | 157 | 157 | 923 |
| Non-current liabilities | — | — | — | — |
| Total liabilities | 157 | 157 | 157 | 923 |
| Share capital | 2500 | 2500 | 2500 | 2500 |
| Retained earnings of previous periods | 235 | −604 | −191 | 1200 |
| Profit for the year | 1995 | 1391 | 1200 | 775 |
| Reserves and other equity | −235 | 604 | 191 | — |
| Total equity | 4495 | 3891 | 3700 | 4475 |
| Income statement | ||||
| Sales revenue | 3544 | 2792 | 3672 | 11 610 |
| Operating profit | 1995 | 1391 | 1200 | 775 |
| EBITDA | 2089 | 1839 | 1424 | 1096 |
| Profit before income tax | 1995 | 1391 | 1200 | 775 |
| Profit for the reporting year | 1995 | 1391 | 1200 | 775 |
| Labour costs | 0 | 0 | 0 | 0 |
| Depreciation of non-current assets | 94 | 448 | 224 | 321 |
| Other indicators | ||||
| Employees | 0 | 0 | 0 | 0 |
| Calculated dividend | — | 1995 | 978 | 0 |
A dash (—) means the report has not been filed or the line is not reported; 0 is a zero stated in the report.
Connections graph
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Annual reportsPDF, XBRL
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Source: e-Business Register (RIK). Files open/download directly from the official register.
Related companies
Same activity — Motion picture and video production