Restworld Srl

Company Profile Image
  • Share Price: -
  • Market Cap: -

  • Location: Torino, Italy

Restworld Srl - Funding & Valuation Chart ⚠️ experimental

Summary

4 Rounds € 2 million raised € 2 million last valuation

Funding History

  • Apr 2023 -> raised € 500,000 in a Seed round at a € 3 million pre-money valuation.
  • Dec 2024 -> raised € 1 million in a Seed round at a € 4 million pre-money valuation.
  • Sep 2025 -> raised € 300,000 in a Seed round at a € 4.7 million pre-money valuation.
  • Mar 2026 -> raised € 200,000 in a Seed round at a € 1.8 million pre-money valuation.

*Funding rounds data on this chart is as accurate as possible and provide a fair valuation according to the market. Other data points are estimates based on kpis that are the most relevant to the company.

Restworld Srl - Balance Sheet 2024

Income Statement

A. TOTAL PRODUCTION VALUE 1,029,477
A.1. Revenues from sales and services 833,974
A.4. Increases in fixed assets 160,925
A.5. Total other revenues 34,578
-- > other revenues of which contributions for operating expenses 13,458
Other revenues 21,120
B. PRODUCTION COSTS 1,462,839
B.6. Purchase of materials 4,710
B.7. Services 531,689
B.8. Leased assets 8,886
B.9.a. wages/salaries 448,573
B.9.b. Social security costs 106,261
B.9.c. Severance payments 21,388
B.9.e. Other costs 30,493
B.9. c+d+e severance payments + pensions + other costs 51,881
B.9. TOT staff costs 606,715
B.10.a. Depreciation of intangibles 279,323
B.10.b. Depreciation of tangibles 669
B.10.a.+b.+c. Depreciation and impairment of fixed assets 279,992
B.10. TOT depreciation and impairment 279,992
B.14. Other operating charges 30,847
* Difference between value and cost of production (a - b) -433,362
C. TOTAL REVENUES AND FINANCIAL CHARGES -11,450
C.17. To other 11,450
C.17. Total financial charges 11,450
* Result before taxes -444,812
21. PROFIT/LOSS FOR THE YEAR -444,812

Balance Sheet

B. TOTAL FIXED ASSETS 838,015
B.I. TOTAL INTANGIBLE FIXED ASSETS 837,011
B.II. TOTAL TANGIBLE FIXED ASSETS 1,004
C. CURRENT ASSETS 710,658
C.II. TOTAL CREDITS 167,228
C.II.>> SHORT TERM CREDITS 104,203
C.II.1. Credits to customers 56,529
C.II.1. Total credits to customers 56,529
C.II.4.bis. Tax assets 39,373
C.II.4.bis. Total tax assets 39,373
C.II.5. Credits to others 8,301
C.II.5. Total credits to others 8,301
C.II.5.ter. Total credits for prepaid taxes 63,025
C.IV. Cash equivalents 543,430
D. Accruals and deferrals 11,070
Total assets 1,559,743
A. TOTAL NET WORTH 641,508
A.I. Share capital 35,701
A.II. Share premium reserve 1,106,752
A.VI. Other reserves 14,905
A.IX. Profit/Loss for the year -444,812
A.X. Negative reserve for own portfolio shares -71,038
C. Severance payments 24,474
D. TOTAL DEBTS 747,922
D.>> SHORT TERMS DEBTS 237,607
D.>> DEBTS DUE BEYOND THE NEXT FINANCIAL YEAR 510,315
D.4. Total debts owed to banks 434,969
D.4. Debts owed to banks 55,377
D.4. Debts owed to banks due beyond the next financial year 379,592
D.5. Total debts due to other providers of finance 143,846
D.5. Debts owed to other lenders 13,123
D.5. Debts owed to other lenders due beyond the next financial year 130,723
D.7. Total trade debts 87,884
D.7. Debts owed to suppliers 87,884
D.12. Tax liabilities 15,204
D.12. Total tax liabilities 15,204
D.13. Debts owed to social security agencies 20,503
D.13. Total debts due to social security and welfare institutions 20,503
D.14. Total other debts 45,516
D.14. Other debts 45,516
E. ACCRUALS AND DEFERRALS 145,839
TOTAL LIABILITIES 1,559,743

Balance Sheet History

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Restworld Srl - Balance Sheet Chart

⚠️ 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.
*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.
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