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Pragogastro

Pragogastro's net profit rose 168% yoy to CZK 1.14 mil in 2021

By Helgi Library - May 18, 2022

Pragogastro made a net profit of CZK 1.14 mil with revenues of CZK 31.3 mil in 2021, up by 168% and down by 43.7%, ...

Pragogastro's employees fell 22.2% yoy to 7.00 in 2021

By Helgi Library - May 18, 2022

Pragogastro employed 7.00 employees in 2021, down 22.2% compared to the previous year. Historically, between 2015 and 2...

Pragogastro's Net Margin rose 221% yoy to 3.63% in 2021

By Helgi Library - May 18, 2022

Pragogastro made a net profit of CZK 1.14 mil with revenues of CZK 31.3 mil in 2021, up by 168% and down by 43.7%, respectiv...

Profit Statement 2023 2024 2025
Sales CZK mil 107 131 153
Gross Profit CZK mil 14.7 19.1 24.0
EBITDA CZK mil 3.64 5.88 8.06
EBIT CZK mil 3.21 5.38 7.51
Financing Cost CZK mil 1.28 1.33 1.24
Pre-Tax Profit CZK mil 1.93 4.05 6.28
Net Profit CZK mil 1.57 3.28 5.08
Dividends CZK mil 0 0 0
Balance Sheet 2023 2024 2025
Total Assets CZK mil 93.7 106 119
Non-Current Assets CZK mil 2.07 2.56 3.01
Current Assets CZK mil 91.7 104 116
Working Capital CZK mil 50.5 56.6 60.1
Shareholders' Equity CZK mil 19.7 23.0 28.1
Liabilities CZK mil 74.0 83.4 91.2
Total Debt CZK mil 26.0 27.0 28.0
Net Debt CZK mil 30.1 33.4 32.3
Ratios 2023 2024 2025
ROE % 8.27 15.4 19.9
ROCE % 3.34 5.87 8.31
Gross Margin % 13.7 14.6 15.7
EBITDA Margin % 3.40 4.49 5.28
EBIT Margin % 3.00 4.11 4.92
Net Margin % 1.46 2.51 3.33
Net Debt/EBITDA 8.27 5.69 4.01
Net Debt/Equity % 153 145 115
Cost of Financing % 5.00 5.00 4.50
Cash Flow 2023 2024 2025
Total Cash From Operations CZK mil -8.84 -2.33 2.10
Total Cash From Investing CZK mil -1.00 -1.00 -1.00
Total Cash From Financing CZK mil 1.00 1.00 1.00
Net Change In Cash CZK mil -8.84 -2.33 2.10
Cash Conversion Cycle days 153 138 123
Cash Earnings CZK mil 2.00 3.78 5.63
Free Cash Flow CZK mil -9.84 -3.33 1.10

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overview Unit 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025
income statement                                
Sales CZK mil                 121 152 55.6 31.3 70.5      
Gross Profit CZK mil                 23.1 20.6 11.7 7.59 9.49      
EBIT CZK mil                 3.75 3.02 -2.15 1.63 0.227      
Net Profit CZK mil                 3.16 3.44 -1.67 1.14 -0.721      
                                   
ROE % ...               20.2 18.8 -9.01 6.21 -3.90      
EBIT Margin %                 3.11 1.99 -3.87 5.21 0.322      
Net Margin %                 2.62 2.27 -3.01 3.63 -1.02      
Employees ... ... ... ... ...       17.0 28.0 9.00 7.00 10.0      
balance sheet                                
Total Assets CZK mil                 68.3 74.0 66.0 62.1 76.4      
Non-Current Assets CZK mil                 1.31 1.13 0.973 0.828 1.50      
Current Assets CZK mil                 66.8 72.6 61.2 64.7 74.9      
                                   
Shareholders' Equity CZK mil                 17.2 19.4 17.7 18.9 18.2      
Liabilities CZK mil                 51.1 54.5 48.2 43.2 58.2      
Non-Current Liabilities CZK mil                 0.088 0.118 0.130 0.102 0.352      
Current Liabilities CZK mil                 48.8 52.6 47.5 43.1 60.5      
                                   
Net Debt/EBITDA                 4.50 3.18 -10.6 10.6 36.3      
Net Debt/Equity %                 106 59.0 61.0 102 112      
Cost of Financing % ... ... ...           3.22 3.40 4.22 3.55 5.00      
cash flow                                
Total Cash From Operations CZK mil ...               -9.20 6.99 5.56 -8.93 0.049      
Total Cash From Investing CZK mil ...               0.453 -0.399 -0.967 -0.042 -1.00      
Total Cash From Financing CZK mil ...               6.27 -6.47 -0.204 6.25 5.29      
Net Change In Cash CZK mil ...               0.013 1.53 0.418 -2.24 4.34      
income statement Unit 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025
income statement                                
Sales CZK mil                 121 152 55.6 31.3 70.5      
Internal Sales CZK mil ... ... ... ... ... ... ... ... ... 55.8 22.6 23.5 54.0      
External Sales CZK mil ... ... ... ... ... ... ... ... ... 25.0 12.0 7.75 15.5      
Cost of Goods & Services CZK mil                 97.6 131 43.8 23.7 61.0      
                                   
Gross Profit CZK mil                 23.1 20.6 11.7 7.59 9.49      
Staff Cost CZK mil                 5.07 7.65 3.70 2.95 3.94      
Other Operating Cost (Income) CZK mil                 14.0 9.34 9.06 2.82 5.00      
EBITDA CZK mil                 4.04 3.60 -1.02 1.82 0.558      
Depreciation CZK mil                 0.289 0.578 1.13 0.187 0.331      
EBIT CZK mil                 3.75 3.02 -2.15 1.63 0.227      
Net Financing Cost CZK mil                 -0.316 -1.40 -0.535 -0.044 1.12      
Financing Cost CZK mil                 0.506 0.553 0.572 0.589 1.12      
Financing Income CZK mil                 0.191 0.257 0.178 0.350 0      
Extraordinary Cost CZK mil                 0.009 0 0 0 0      
Pre-Tax Profit CZK mil                 4.06 4.43 -1.62 1.68 -0.891      
Tax CZK mil                 0.898 0.985 0.059 0.538 -0.169      
Minorities CZK mil                 0 0 0 0 0      
Net Profit CZK mil                 3.16 3.44 -1.67 1.14 -0.721      
Net Profit Avail. to Common CZK mil                 3.16 3.44 -1.67 1.14 -0.721      
Dividends CZK mil                 0 0 0 0 0      
growth rates                                
Total Revenue Growth % ...               10.7 25.7 -63.4 -43.7 125      
Staff Cost Growth % ...               40.0 50.8 -51.7 -20.4 33.6      
EBITDA Growth % ...           ... ... ... -11.0 -128 -278 -69.3      
EBIT Growth % ...               -6.29 -19.5 -171 -176 -86.1      
Pre-Tax Profit Growth % ...               -0.733 8.96 -136 -204 -153      
Net Profit Growth % ...               20.1 8.76 -149 -168 -163      
ratios                                
ROE % ...               20.2 18.8 -9.01 6.21 -3.90      
ROA % ...               5.31 4.84 -2.39 1.78 -1.04      
ROCE % ...               9.23 8.90 -4.93 3.17 -1.76      
Gross Margin %                 19.1 13.6 21.1 24.2 13.5      
EBITDA Margin %                 3.35 2.37 -1.84 5.81 0.792      
EBIT Margin %                 3.11 1.99 -3.87 5.21 0.322      
Net Margin %                 2.62 2.27 -3.01 3.63 -1.02      
Payout Ratio %                 0 0 0 0 0      
Cost of Financing % ... ... ...           3.22 3.40 4.22 3.55 5.00      
Net Debt/EBITDA                 4.50 3.18 -10.6 10.6 36.3      
balance sheet Unit 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025
balance sheet                                
Cash & Cash Equivalents CZK mil                 0.684 2.22 2.63 0.399 4.74      
Receivables CZK mil                 55.6 61.3 57.5 58.1 63.4      
Inventories CZK mil                 10.4 9.05 4.60 2.69 6.71      
Other ST Assets CZK mil ... ... ... ... ... ... ... ... ... ... ... ... 0      
Current Assets CZK mil                 66.8 72.6 61.2 64.7 74.9      
Property, Plant & Equipment CZK mil                 1.31 1.13 0.973 0.828 1.50      
LT Investments & Receivables CZK mil                 0 0 0 0 0      
Non-Current Assets CZK mil                 1.31 1.13 0.973 0.828 1.50      
Total Assets CZK mil                 68.3 74.0 66.0 62.1 76.4      
                                   
Trade Payables CZK mil                 27.2 34.4 32.3 20.7 30.5      
Short-Term Debt CZK mil                 18.9 13.7 13.3 19.6 25.0      
Other ST Liabilities CZK mil                 2.73 4.57 1.93 2.78 5.00      
Current Liabilities CZK mil                 48.8 52.6 47.5 43.1 60.5      
Long-Term Debt CZK mil                 0 0 0.130 0.102 0      
Other LT Liabilities CZK mil                 0.088 0.118 0 0 0.352      
Non-Current Liabilities CZK mil                 0.088 0.118 0.130 0.102 0.352      
Liabilities CZK mil                 51.1 54.5 48.2 43.2 58.2      
Equity Before Minority Interest CZK mil                 17.2 19.4 17.7 18.9 18.2      
Minority Interest CZK mil                 0 0 0 0 0      
Equity CZK mil                 17.2 19.4 17.7 18.9 18.2      
growth rates                                
Total Asset Growth % ...               34.7 8.22 -10.8 -5.84 22.9      
Shareholders' Equity Growth % ...               22.4 12.7 -8.63 6.40 -3.82      
Net Debt Growth % ...               52.6 -37.1 -5.43 78.4 4.93      
Total Debt Growth % ... ... ... ...         49.9 -27.6 -1.49 46.4 26.8      
ratios                                
Total Debt CZK mil                 18.9 13.7 13.5 19.7 25.0      
Net Debt CZK mil                 18.2 11.4 10.8 19.3 20.3      
Working Capital CZK mil                 38.9 35.9 29.8 40.1 39.6      
Capital Employed CZK mil                 40.2 37.1 30.8 40.9 41.1      
Net Debt/Equity %                 106 59.0 61.0 102 112      
Current Ratio                 1.37 1.38 1.29 1.50 1.24      
Quick Ratio                 1.15 1.21 1.27 1.36 1.13      
cash flow Unit 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025
cash flow                                
Net Profit CZK mil                 3.16 3.44 -1.67 1.14 -0.721      
Depreciation CZK mil                 0.289 0.578 1.13 0.187 0.331      
Non-Cash Items CZK mil ...               0 0 0 0 0      
Change in Working Capital CZK mil ...               -12.7 2.97 6.11 -10.3 0.439      
Total Cash From Operations CZK mil ...               -9.20 6.99 5.56 -8.93 0.049      
                                   
Capital Expenditures CZK mil ...               0.453 -0.399 -0.967 -0.042 -1.00      
Other Investing Activities CZK mil ...               0 0 0 0 0      
Total Cash From Investing CZK mil ...               0.453 -0.399 -0.967 -0.042 -1.00      
                                   
Dividends Paid CZK mil ...               0 0 0 0 0      
Issuance Of Shares CZK mil ...               -0.013 -1.26 -0.001 -0.001 0      
Issuance Of Debt CZK mil ...               6.29 -5.21 -0.203 6.25 5.29      
Other Financing Activities CZK mil ...               -0.466 -0.856 0.966 0.041 0      
Total Cash From Financing CZK mil ...               6.27 -6.47 -0.204 6.25 5.29      
Net Change In Cash CZK mil ...               0.013 1.53 0.418 -2.24 4.34      
ratios                                
Days Sales Outstanding days                 168 147 378 677 329      
Days Sales Of Inventory days                 39.0 25.2 38.3 41.4 40.2      
Days Payable Outstanding days                 102 95.7 269 318 183      
Cash Conversion Cycle days                 106 76.9 147 400 186      
Cash Earnings CZK mil                 3.45 4.02 -0.546 1.32 -0.391      
Free Cash Flow CZK mil ...               -8.75 6.59 4.60 -8.97 -0.951      
Capital Expenditures (As % of Sales) % ...               -0.375 0.263 1.74 0.134 1.42      
other ratios Unit 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025
                                 
Employees ... ... ... ... ...       17.0 28.0 9.00 7.00 10.0      
Cost Per Employee USD per month ... ... ... ... ...       1,137 1,010 1,557 1,619 1,494      
Cost Per Employee (Local Currency) CZK per month ... ... ... ... ...       24,873 22,780 34,259 35,083 38,592      
Staff Cost (As % of Sales) %                 4.20 5.04 6.66 9.42 5.59      
Effective Tax Rate %                 22.1 22.3 -3.65 32.1 19.0      
Total Revenue Growth (5-year average) % ... ... ... ... ...       27.4 18.4 -11.4 -18.7 -8.35      
Total Revenue Growth (10-year average) % ... ... ... ... ... ... ... ... ... ... 16.9 6.53 17.4      

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Pragogastro's Capital Expenditures rose 95.7% yoy to CZK 0.042 mil in 2021

By Helgi Library - May 18, 2022

Pragogastro invested a total of CZK 0.042 mil in 2021, down 95.7% compared to the previous year. Historically, between 2011 - 2021, the company's investments stood at a high of CZK 3.20 mil in 2012 and a low of CZK -0.453 mil in 2018. ...

Pragogastro's ROCE rose 164% yoy to 3.17% in 2021

By Helgi Library - May 18, 2022

Pragogastro made a net profit of CZK 1.14 mil in 2021, up 168% compared to the previous year. Historically, between 2010 and 2021, the company's net profit reached a high of CZK 3.44 mil in 2019 and a low of CZK -1.67 mil in 2020. The result implies a ret...

Pragogastro's Net Debt/EBITDA rose 200% yoy to 10.6 in 2021

By Helgi Library - May 18, 2022

Pragogastro's net debt stood at CZK 19.3 mil and accounted for 102% of equity at the end of 2021. The ratio is up 41.3 pp compared to the previous year. Historically, the firm’s net debt to equity reached a high of 538% in 2013 and a low of -...

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Finance

Pragogastro has been growing its sales by a year on average in the last 5 years. EBITDA has grown by 0% during that time to total of in 2025, or of sales. That’s compared to % average margin seen in last five years.

The company netted in 2025 implying ROE of and ROCE of . Again, the average figures were % and %, respectively when looking at the previous 5 years.

Pragogastro’s net debt amounted to at the end of 2025, or of equity. When compared to EBITDA, net debt was x, up when compared to average of x seen in the last 5 years.