Corpus fluxus, VšĮ - financials and debts

Company age: 3 y. 10 mo.

Update

Corpus fluxus - Company finances

EUR
2022
From: 2022-11-08
To: 2022-12-31
2023
From: 2023-01-01
To: 2023-12-31
2024
From: 2024-01-01
To: 2024-12-31
2025
From: 2025-01-01
To: 2025-12-31
Financial data
Sales revenue 440 25,774 9,496 10,007
Profit before tax 120 3,174 -3,483 1,391
Net profit 120 3,015 -3,483 1,416
Equity 120 3,135 -349 1,018
Liabilities 0 523 40 1,001
Non-current assets 0 0 0 1,141
Current assets 120 3,834 422 2,731
Total assets 120 3,834 422 3,872
Taxes paid
STI taxes - - 159 -
Financial indicators
Revenue change y/y - +5757.7% -63.2% +5.4%
ROA Return on Assets (ROA). The ratio of net profit to assets. Indicates the company's efficiency. 100.0% 78.6% -825.4% 36.6%
ROE Return on equity. The ratio of net profit to equity. Shows the return to shareholders. 100.0% 96.2% - 139.1%
Profit margin Net profit margin. Shows the overall profitability of the company. 27.3% 11.7% -36.7% 14.2%
EBT% EBT (Earnings Before Taxes) to revenue ratio. Shows the overall profitability of the company. 27.3% 12.3% -36.7% 13.9%
Liabilities/Equity The debt-to-equity ratio shows the company's capital structure. - 0.2 - 1.0
Revenue per employee Ratio of revenue to the average annual number of employees. Indicates company efficiency. - - - -

Purchase full financial statements

Profit/Loss, Balance Sheet, Cash Flow, Equity

9.99 € + PVM Buy

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Corpus fluxus - Social security debts

The company had no debts to Sodra

Corpus fluxus - VMI tax arrears

As of 2026-09-02, the amount of overdue STI tax debt of the company Corpus fluxus is: 1 €

From To Overdue, €
2026-06-18 2026-09-02 1.0
2026-03-27 2026-05-31 1.05
2026-03-20 2026-03-26 2.1
2024-07-09 2026-03-19 1.05

VMI debt information has been collected since 2024-10-07. Debts for older periods will not be displayed.

Analysis of the company's financial position

This description was generated by artificial intelligence. Report if inaccurate.
Corpus fluxus, VšI (code 306172981) is a Public Institution operating sports facilities. In 2025, revenue reached €10.0K, up 5.4% year on year, and net profit was €1.4K, with a profit margin of 14.2%. The business had a difficult year in 2024, when revenue fell to €9.5K and the company posted a €3.5K net loss after earning €3.0K in 2023. Over the two-year period from 2023 to 2025, revenue declined by 61.2%, although the latest year showed a modest recovery. The balance sheet remained small, with total assets of €3.9K, equity of €1.0K and liabilities of €1.0K in 2025. The equity ratio stood at 26.3% and debt to equity was 0.98, indicating a balanced funding structure. Asset turnover was 2.58x, reflecting relatively efficient use of a limited asset base. Profitability ratios were elevated in 2025, but this should be viewed in the context of the company’s very small balance sheet.