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Results
Financial
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Outcome data in thousands. PLN |
2022 |
2021 |
2020 |
2019 |
2018 |
2017 |
2016 |
2015 |
2014 |
Operating income |
453 604 |
339 065 |
295 142 |
222 168 |
190 150 |
198 573 |
210 278 |
140 908 |
106 228 |
Operating costs |
229 388 |
240 396 |
207 844 |
137 468 |
115 091 |
107 217 |
76 696 |
52 667 |
38 301 |
Operating profit |
224 216 |
98 669 |
87 298 |
84 700 |
75 059 |
91 356 |
133 582 |
88 241 |
67 927 |
Financial income |
2 761 |
6 |
3 541 |
449 |
2 075 |
676 |
798 |
579 |
1 228 |
Financial costs |
71 541 |
43 959 |
48 462 |
60 468 |
41 502 |
35 972 |
94 612 |
17 500 |
9 720 |
Profit before tax |
155 436 |
54 716 |
42 377 |
24 681 |
35 632 |
56 060 |
39 768 |
71 320 |
59 435 |
Income tax |
12 442 |
4 739 |
7 604 |
4 760 |
690 |
1 008 |
997 |
-10 856 |
228 |
Net profit, including: |
142 994 |
49 977 |
34 773 |
19 921 |
34 942 |
55 052 |
38 771 |
82 176 |
59 207 |
– Attributable to BEST shareholders |
142 275 |
49 307 |
34 329 |
19 475 |
32 072 |
54 552 |
38 245 |
81 809 |
58 884 |
Full income, including: |
148 617 |
51 537 |
32 726 |
26 367 |
29 318 |
52 394 |
38 726 |
82 166 |
49 545 |
– Attributable to BEST shareholders |
147 894 |
50 068 |
32 270 |
25 922 |
26 444 |
51 897 |
38 200 |
81 799 |
4922 |
Outcome data in thousands. PLN |
2022 |
2021 |
2020 |
2019 |
2018 |
2017 |
2016 |
2015 |
2014 |
Profitability of sales |
32% |
15% |
12% |
9% |
18% |
28% |
18% |
58% |
56% |
Return on assets |
11% |
4% |
3% |
2% |
3% |
5% |
5% |
15% |
17% |
Return on equity |
23% |
9% |
7% |
4% |
7% |
14% |
12% |
34% |
34% |
Full return on equity |
24% |
10% |
7% |
5% |
6% |
13% |
12% |
34% |
28% |
Total liabilities / total assets |
49% |
53% |
55% |
62% |
58% |
66% |
61% |
59% |
52% |
Interest bearing financial liabilities / total assets |
33% |
36% |
44% |
53% |
55% |
61% |
56% |
56% |
48% |
Net debt / equity |
0,60 |
0,72 |
0,87 |
1,21 |
1,18 |
1,56 |
1,35 |
1,26 |
0,80 |
Outcome data in thousands. PLN |
2022 |
2021 |
2020 |
2019 |
2018 |
2017 |
2016 |
2015 |
2014 |
Net cash flow from operating activities |
67 002 |
114 165 |
209 723 |
138 637 |
88 533 |
-165 814 |
-117 763 |
-169 182 |
-44 510 |
Net cash flow from investing activities |
-5 346 |
-4 925 |
-5 323 |
-5 140 |
3 075 |
-4 027 |
-17 295 |
-8 566 |
-8 416 |
Net cash flow from financing activities |
-56 805 |
-127 513 |
-21 135 |
-123 408 |
-111 311 |
238 836 |
113 909 |
183 487 |
70 236 |
Total net cash flow |
4 851 |
-18 273 |
-16 375 |
10 089 |
-19 703 |
68 995 |
-21 149 |
5 739 |
17 310 |
Cash at the beginning of the period |
47 326 |
65 613 |
82 003 |
71 976 |
91 208 |
22 045 |
43 194 |
37 455 |
20 145 |
Cash at the end of the period |
52 220 |
47 326 |
65 613 |
82 003 |
71 976 |
91 208 |
22 045 |
43 194 |
37 455 |
Outcome data in thousands. PLN |
2022 |
2021 |
2020 |
2019 |
2018 |
2017 |
2016 |
2015 |
2014 |
Assets |
1 349 332 |
1 173 578 |
1 134 887 |
1 244 868 |
1 283 348 |
1 245 918 |
904 865 |
694 108 |
416 893 |
Liabilities, including: |
660 304 |
624 493 |
629 823 |
772 369 |
745 983 |
816 145 |
548 638 |
411 147 |
217 058 |
– financial obligations |
463 622 |
442 285 |
504 030 |
654 412 |
703 638 |
760 015 |
503 949 |
400 150 |
198 299 |
Equity, including: |
689 028 |
549 085 |
505 064 |
472 499 |
537 365 |
429 773 |
356 227 |
282 961 |
199 835 |
– Attributable to BEST shareholders |
688 728 |
548 923 |
504 864 |
472 229 |
450 558 |
429 519 |
356 127 |
282 929 |
199 803 |
Net debt |
411 402 |
394 959 |
438 417 |
572 409 |
631 662 |
668 807 |
481 904 |
356 956 |
160 844 |