
- Name: MUSIXMATCH SPA
- Website: musixmatch.com
- Market: Private Markets
- Main Currency: -
- Share Price: -
- Market Cap: -
- Location: Milano, Italy
Data processing, hosting and related activities
Income Statement
A.
TOTAL PRODUCTION VALUE 80,825,475€
A.1.
Revenues from sales and services 75,256,589€
A.4.
Increases in fixed assets 3,527,895€
A.5.
Total other revenues 2,040,991€
Other revenues 2,040,991€
B.
PRODUCTION COSTS 44,052,148€
B.6.
Purchase of materials 31,116€
B.7.
Services 9,119,349€
B.8.
Leased assets 20,746,449€
B.9.a.
wages/salaries 7,759,211€
B.9.b.
Social security costs 1,325,441€
B.9.c.
Severance payments 347,070€
B.9.e.
Other costs 208,674€
B.9.
c+d+e severance payments + pensions + other costs 555,744€
B.9.
TOT staff costs 9,640,396€
B.10.a.
Depreciation of intangibles 3,762,750€
B.10.b.
Depreciation of tangibles 112,378€
B.10.a.+b.+c.
Depreciation and impairment of fixed assets 3,875,128€
B.10.d.
Impairment of credits and disp. 150,000€
B.10.
TOT depreciation and impairment 4,025,128€
B.13.
Other provisions 352,765€
B.14.
Other operating charges 136,945€
*
Difference between value and cost of production (a - b) 36,773,327€
C.
TOTAL REVENUES AND FINANCIAL CHARGES 3,025,634€
C.16.d.
Other revenues 857,785€
C.16.d.
Other 857,785€
C.16.
Total other revenues 857,785€
C.17.
To other 11,018€
C.17.bis.
Profit and loss from foreign-exchange 2,178,867€
C.17.
Total financial charges 11,018€
*
Result before taxes 39,798,961€
20.
Total current, deferred and prepaid income tax 11,104,635€
20.a.
Current taxes 10,596,133€
20.b.
Tax related to previous years 4,819€
20.c.
Deferred and prepaid tax 503,683€
21.
PROFIT/LOSS FOR THE YEAR 28,694,326€
Balance Sheet
B.
TOTAL FIXED ASSETS 4,219,452€
B.I.
TOTAL INTANGIBLE FIXED ASSETS 3,793,536€
B.I.1.
Startup/Expansions 152,360€
B.I.3.
Patents 3,291,235€
B.I.7.
Others 349,941€
B.II.
TOTAL TANGIBLE FIXED ASSETS 398,293€
B.II.2.
Plants and machinery 16,987€
B.II.3.
Industrial equipment 6,467€
B.II.4.
Other goods 374,839€
B.III.>>
SHORT TERM FINANCIAL CREDITS 27,623€
B.III.
TOTAL FINANCIAL FIXED ASSETS 27,623€
B.III.2.d-bis.
Credits to others 27,623€
B.III.2.d-bis.
Total credits to others 27,623€
B.III.2.
TOTAL CREDITS FINANCIAL FIXED ASSETS 27,623€
C.
CURRENT ASSETS 72,069,755€
C.II.
TOTAL CREDITS 29,944,868€
C.II.>>
SHORT TERM CREDITS 25,405,534€
C.II.>>
CREDITS DUE BEYOND THE NEXT FINANCIAL YEAR 4,333€
C.II.1.
Credits to customers 22,608,077€
C.II.1.
Total credits to customers 22,608,077€
C.II.3.
Credits to affiliated companies 17,837€
C.II.3.
Total credits to affiliated companies 17,837€
C.II.4.
Credits to parent companies 275,137€
C.II.4.
Total credits to parent companies 275,137€
C.II.4.bis.
Tax assets 779,610€
C.II.4.bis.
Tax assets due beyond the next financial year 4,333€
C.II.4.bis.
Total tax assets 783,943€
C.II.5.
Credits to others 1,724,873€
C.II.5.
Total credits to others 1,724,873€
C.II.5.ter.
Total credits for prepaid taxes 4,535,001€
C.III.
TOTAL FINANCIAL ASSETS 4€
C.III.6.
Other securities 4€
C.IV.
Cash equivalents 42,124,883€
C.IV.1.
Bank deposits 42,124,198€
C.IV.3.
Cash in hand 685€
D.
Accruals and deferrals 486,526€
Total assets 76,775,733€
A.
TOTAL NET WORTH 30,797,454€
A.I.
Share capital 379,516€
A.II.
Share premium reserve 602,489€
A.IV.
Legal reserve 75,903€
A.VI.
Other reserves 1,075,220€
A.IX.
Profit/Loss for the year 28,694,326€
A.X.
Negative reserve for own portfolio shares -30,000€
C.
Severance payments 886,056€
D.
TOTAL DEBTS 17,490,070€
D.>>
SHORT TERMS DEBTS 17,490,070€
D.7.
Total trade debts 14,317,602€
D.7.
Debts owed to suppliers 14,317,602€
D.11.
Debts owed to parent companies 1,496,282€
D.11.
Total debts due to parent companies 1,496,282€
D.12.
Tax liabilities 197,140€
D.12.
Total tax liabilities 197,140€
D.13.
Debts owed to social security agencies 432,008€
D.13.
Total debts due to social security and welfare institutions 432,008€
D.14.
Total other debts 1,047,038€
D.14.
Other debts 1,047,038€
E.
ACCRUALS AND DEFERRALS 11,429,834€
TOTAL LIABILITIES 76,775,733€
Balance Sheet History
Income Statement
A.
TOTAL PRODUCTION VALUE 81,647,922€
A.1.
Revenues from sales and services 78,181,701€
A.4.
Increases in fixed assets 3,278,062€
A.5.
Total other revenues 188,159€
-- > other revenues of which contributions for operating expenses 2,513€
Other revenues 185,646€
B.
PRODUCTION COSTS 50,546,377€
B.6.
Purchase of materials 69,796€
B.7.
Services 8,592,390€
B.8.
Leased assets 26,124,991€
B.9.a.
wages/salaries 5,302,154€
B.9.b.
Social security costs 1,304,314€
B.9.c.
Severance payments 327,030€
B.9.e.
Other costs 235,554€
B.9.
c+d+e severance payments + pensions + other costs 562,584€
B.9.
TOT staff costs 7,169,052€
B.10.a.
Depreciation of intangibles 2,878,885€
B.10.b.
Depreciation of tangibles 97,458€
B.10.a.+b.+c.
Depreciation and impairment of fixed assets 2,976,343€
B.10.d.
Impairment of credits and disp. 4,920€
B.10.
TOT depreciation and impairment 2,981,263€
B.12.
Risk provisions 5,403,886€
B.14.
Other operating charges 204,999€
*
Difference between value and cost of production (a - b) 31,101,545€
C.
TOTAL REVENUES AND FINANCIAL CHARGES 250,658€
C.16.d.
Other revenues 827,213€
C.16.d.
Other 827,213€
C.16.
Total other revenues 827,213€
C.17.
To other 33€
C.17.bis.
Profit and loss from foreign-exchange -576,522€
C.17.
Total financial charges 33€
*
Result before taxes 31,352,203€
20.
Total current, deferred and prepaid income tax 8,707,246€
20.a.
Current taxes 10,119,618€
20.b.
Tax related to previous years 2,251€
20.c.
Deferred and prepaid tax -1,414,623€
21.
PROFIT/LOSS FOR THE YEAR 22,644,957€
Balance Sheet
B.
TOTAL FIXED ASSETS 3,881,773€
B.I.
TOTAL INTANGIBLE FIXED ASSETS 3,482,277€
B.I.3.
Patents 3,020,305€
B.I.4.
Permits and licenses 340€
B.I.7.
Others 461,632€
B.II.
TOTAL TANGIBLE FIXED ASSETS 371,723€
B.II.2.
Plants and machinery 28,294€
B.II.3.
Industrial equipment 9,050€
B.II.4.
Other goods 334,379€
B.III.>>
SHORT TERM FINANCIAL CREDITS 27,773€
B.III.
TOTAL FINANCIAL FIXED ASSETS 27,773€
B.III.2.d-bis.
Credits to others 27,773€
B.III.2.d-bis.
Total credits to others 27,773€
B.III.2.
TOTAL CREDITS FINANCIAL FIXED ASSETS 27,773€
C.
CURRENT ASSETS 72,532,463€
C.II.
TOTAL CREDITS 27,414,442€
C.II.>>
SHORT TERM CREDITS 22,358,741€
C.II.>>
CREDITS DUE BEYOND THE NEXT FINANCIAL YEAR 1,165€
C.II.1.
Credits to customers 20,903,042€
C.II.1.
Total credits to customers 20,903,042€
C.II.4.
Credits to parent companies 537,856€
C.II.4.
Total credits to parent companies 537,856€
C.II.4.bis.
Tax assets 657,308€
C.II.4.bis.
Tax assets due beyond the next financial year 1,165€
C.II.4.bis.
Total tax assets 658,473€
C.II.5.
Credits to others 260,535€
C.II.5.
Total credits to others 260,535€
C.II.5.ter.
Total credits for prepaid taxes 5,054,536€
C.III.
TOTAL FINANCIAL ASSETS 4€
C.III.6.
Other securities 4€
C.IV.
Cash equivalents 45,118,017€
C.IV.1.
Bank deposits 45,117,596€
C.IV.3.
Cash in hand 421€
D.
Accruals and deferrals 199,229€
Total assets 76,613,465€
A.
TOTAL NET WORTH 37,103,129€
A.I.
Share capital 379,516€
A.II.
Share premium reserve 9,884,857€
A.IV.
Legal reserve 75,903€
A.VI.
Other reserves 1,075,221€
A.VIII.
Profit/Loss carried forward 3,072,675€
A.IX.
Profit/Loss for the year 22,644,957€
A.X.
Negative reserve for own portfolio shares -30,000€
C.
Severance payments 717,245€
D.
TOTAL DEBTS 19,922,821€
D.>>
SHORT TERMS DEBTS 19,922,821€
D.7.
Total trade debts 13,040,593€
D.7.
Debts owed to suppliers 13,040,593€
D.11.
Debts owed to parent companies 4,746,826€
D.11.
Total debts due to parent companies 4,746,826€
D.12.
Tax liabilities 775,803€
D.12.
Total tax liabilities 775,803€
D.13.
Debts owed to social security agencies 395,663€
D.13.
Total debts due to social security and welfare institutions 395,663€
D.14.
Total other debts 963,936€
D.14.
Other debts 963,936€
E.
ACCRUALS AND DEFERRALS 833,689€
TOTAL LIABILITIES 76,613,465€
⚠️ 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.
Musixmatch Spa - Ownership & Management
Main shareholders displayed on a pie chart.
Last updated: August 18, 2025
Main Shareholders
Managers
- Massimo Ciociola - Chairman of board of directors
- Jacqueline Grassi Hawwa - Director
- Joseph Najaf Zadeh - Director
- David Ignacio Trujillo - Director
- Melody Luxco S.A R.L - Sole owner
- Giovanni Rovetta - Chairman of board of auditors
- Gianmarco Felicioni - Special representative/agent
- Alexander Hent - Special representative/agent
- Mattia Bock - Permanent auditor
- Federico Gelmini - Permanent auditor