- Name: 2BPE SRL SB
- Website: 2bpe.cloud
- Market: Private Markets
- Main Currency: € - Euro
- Share Price: -
- Market Cap: -
- Location: Saronno, Italy
Web portals
Income Statement
A.
TOTAL PRODUCTION VALUE 7,351€
A.1.
Revenues from sales and services 7,350€
A.5.
Total other revenues 1€
Other revenues 1€
B.
PRODUCTION COSTS 36,622€
B.7.
Services 22,754€
B.8.
Leased assets 864€
B.9.a.
wages/salaries 5,003€
B.9.b.
Social security costs 81€
B.9.
TOT staff costs 5,084€
B.10.a.
Depreciation of intangibles 2,135€
B.10.b.
Depreciation of tangibles 1,287€
B.10.a.+b.+c.
Depreciation and impairment of fixed assets 3,422€
B.10.
TOT depreciation and impairment 3,422€
B.14.
Other operating charges 4,498€
*
Difference between value and cost of production (a - b) -29,271€
*
Result before taxes -29,271€
20.
Total current, deferred and prepaid income tax -7,257€
20.c.
Deferred and prepaid tax -7,257€
21.
PROFIT/LOSS FOR THE YEAR -22,014€
Balance Sheet
B.
TOTAL FIXED ASSETS 56,578€
B.I.
TOTAL INTANGIBLE FIXED ASSETS 51,642€
B.II.
TOTAL TANGIBLE FIXED ASSETS 4,936€
C.
CURRENT ASSETS 20,600€
C.II.
TOTAL CREDITS 20,253€
C.II.>>
SHORT TERM CREDITS 12,996€
C.II.5.ter.
Total credits for prepaid taxes 7,257€
C.IV.
Cash equivalents 347€
D.
Accruals and deferrals 6,500€
Total assets 83,678€
A.
TOTAL NET WORTH 61,733€
A.I.
Share capital 13,021€
A.II.
Share premium reserve 70,567€
A.IV.
Legal reserve 160€
A.VI.
Other reserves -1€
A.IX.
Profit/Loss for the year -22,014€
D.
TOTAL DEBTS 21,945€
D.>>
SHORT TERMS DEBTS 18,245€
D.>>
DEBTS DUE BEYOND THE NEXT FINANCIAL YEAR 3,700€
TOTAL LIABILITIES 83,678€
Balance Sheet History
Income Statement
A.
TOTAL PRODUCTION VALUE 33,281€
A.1.
Revenues from sales and services 29,440€
A.4.
Increases in fixed assets 3,840€
A.5.
Total other revenues 1€
Other revenues 1€
B.
PRODUCTION COSTS 42,730€
B.7.
Services 37,384€
B.8.
Leased assets 681€
B.10.a.
Depreciation of intangibles 2,135€
B.10.b.
Depreciation of tangibles 1,287€
B.10.a.+b.+c.
Depreciation and impairment of fixed assets 3,422€
B.10.
TOT depreciation and impairment 3,422€
B.14.
Other operating charges 1,243€
*
Difference between value and cost of production (a - b) -9,449€
C.
TOTAL REVENUES AND FINANCIAL CHARGES -2€
C.17.
To other 2€
C.17.
Total financial charges 2€
*
Result before taxes -9,451€
21.
PROFIT/LOSS FOR THE YEAR -9,451€
Balance Sheet
B.
TOTAL FIXED ASSETS 49,976€
B.I.
TOTAL INTANGIBLE FIXED ASSETS 43,753€
B.II.
TOTAL TANGIBLE FIXED ASSETS 6,223€
C.
CURRENT ASSETS 30,450€
C.II.
TOTAL CREDITS 10,131€
C.II.>>
SHORT TERM CREDITS 10,131€
C.IV.
Cash equivalents 20,319€
D.
Accruals and deferrals 6,513€
Total assets 86,939€
A.
TOTAL NET WORTH 83,749€
A.I.
Share capital 13,021€
A.II.
Share premium reserve 76,979€
A.IV.
Legal reserve 160€
A.VI.
Other reserves 3,040€
A.IX.
Profit/Loss for the year -9,451€
D.
TOTAL DEBTS 3,190€
D.>>
SHORT TERMS DEBTS 3,190€
TOTAL LIABILITIES 86,939€
⚠️ Data Normalization Applied ⚠️
Some values in this chart have been scaled down to improve readability when datasets have significantly different scales. Normalized data is indicated by dashed lines and diagonal striped bars.
Some values in this chart have been scaled down to improve readability when datasets have significantly different scales. Normalized data is indicated by dashed lines and diagonal striped bars.
*Data displayed on this chart is taken from the company's balance sheets and is as accurate as it can get. Balance sheets are normally filed once per year, so this Chart can take some time to get up to date.