Consti is one of Finland's leading companies focused on renovation and technical building services. Consti offers a comprehensive range of renovation and building services and selected new construction services to housing companies, companies, investors and the public sector in Finland's growth centres.
Consti is a leading renovation construction company in Finland. We renew properties effectively and add value to your property assets. We offer the best professionals in repair contracting, technical building services, line renovation, building facade renovation, and landscaping. We bring value-adding change to housing companies, commercial office buildings, hotels, restaurants, industrial plants and public-sector sites.
2008
Served areaFinland
HeadquartersValimotie 16, 380 Helsinki – Finland
Line item in (eur) | 01.01.2020 | 01.01.2021 | 01.01.2022 | 01.01.2023 |
---|---|---|---|---|
Assets | N/A | 128,595,000.00 | 119,041,000.00 | 123,294,000.00 |
Noncurrent Assets | N/A | 54,443,000.00 | 58,777,000.00 | 57,797,000.00 |
Property Plant And Equipment | N/A | 5,142,000.00 | 8,571,000.00 | 7,710,000.00 |
Goodwill | N/A | 48,604,000.00 | 49,501,000.00 | 49,501,000.00 |
Intangible Assets Other Than Goodwill | N/A | 401,000.00 | 386,000.00 | 349,000.00 |
Deferred Tax Assets | N/A | 278,000.00 | 261,000.00 | 179,000.00 |
Noncurrent Investments Other Than Investments Accounted For Using Equity Method | N/A | 17,000.00 | 57,000.00 | 57,000.00 |
Current Assets | N/A | 74,152,000.00 | 60,264,000.00 | 65,497,000.00 |
Inventories | N/A | 656,000.00 | 827,000.00 | 768,000.00 |
Trade And Other Current Receivables | N/A | 49,239,000.00 | 41,365,000.00 | 43,847,000.00 |
Cash and cash equivalents | 10,032,000.00 | 24,257,000.00 | 18,072,000.00 | 20,881,000.00 |
Equity And Liabilities | N/A | 128,595,000.00 | 119,041,000.00 | 123,294,000.00 |
Equity | 29,337,000.00 | 33,578,000.00 | 31,939,000.00 | 36,206,000.00 |
Issued Capital | N/A | 80,000.00 | 80,000.00 | 80,000.00 |
Retained Earnings Profit Loss For Reporting Period | N/A | N/A | 3,717,000.00 | 8,491,000.00 |
Retained Earnings Excluding Profit Loss For Reporting Period | N/A | N/A | 57,000.00 | -365,000.00 |
Treasury Shares | N/A | 610,000.00 | 696,000.00 | 782,000.00 |
Equity Attributable To Owners Of Parent | N/A | 30,378,000.00 | 31,939,000.00 | 36,206,000.00 |
Liabilities | N/A | 95,017,000.00 | 87,102,000.00 | 87,088,000.00 |
Noncurrent Liabilities | N/A | 17,869,000.00 | 18,783,000.00 | 16,314,000.00 |
Longterm Borrowings | N/A | 17,869,000.00 | 18,783,000.00 | 16,314,000.00 |
Current Liabilities | N/A | 77,149,000.00 | 68,319,000.00 | 70,774,000.00 |
Current Provisions | N/A | 2,670,000.00 | 2,696,000.00 | 2,618,000.00 |
Trade And Other Current Payables | N/A | 63,353,000.00 | 52,072,000.00 | 59,717,000.00 |
Line item in (eur) | 01.01.2020/ 01.01.2021 |
01.01.2021/ 01.01.2022 |
01.01.2022/ 01.01.2023 |
---|---|---|---|
Revenue | 274,646,000.00 | 288,773,000.00 | 305,217,000.00 |
Other Income | 511,000.00 | 430,000.00 | 689,000.00 |
Employee Benefits Expense | 58,108,000.00 | 59,767,000.00 | 62,721,000.00 |
Depreciation And Amortisation Expense | 3,203,000.00 | 3,497,000.00 | 3,499,000.00 |
Other Expense By Nature | 13,899,000.00 | 13,482,000.00 | 14,041,000.00 |
Profit Loss From Operating Activities | 8,237,000.00 | 5,705,000.00 | 11,428,000.00 |
Finance Income | 4,000.00 | 139,000.00 | 24,000.00 |
Finance Costs | 1,006,000.00 | 1,261,000.00 | 1,014,000.00 |
Profit Loss Before Tax | 7,235,000.00 | 4,583,000.00 | 10,438,000.00 |
Income Tax Expense Continuing Operations | 1,560,000.00 | 866,000.00 | 1,947,000.00 |
Profit (loss) | 5,675,000.00 | 3,717,000.00 | 8,491,000.00 |
Line item in (eur) | 01.01.2020 | 01.01.2021 | 01.01.2022 | 01.01.2023 |
---|---|---|---|---|
Profit (loss) | N/A | 5,675,000.00 | 3,717,000.00 | 8,491,000.00 |
Adjustments For Depreciation And Amortisation Expense | N/A | 3,203,000.00 | 3,497,000.00 | 3,499,000.00 |
Other Adjustments To Reconcile Profit Loss | N/A | 422,000.00 | 557,000.00 | 114,000.00 |
Cash Flows From Used In Operations | N/A | 19,539,000.00 | 6,854,000.00 | 19,460,000.00 |
Income Taxes Paid Refund Classified As Operating Activities | N/A | 728,000.00 | 1,094,000.00 | 1,139,000.00 |
Cash Flows From Used In Operating Activities | N/A | 17,890,000.00 | 4,691,000.00 | 17,410,000.00 |
Cash Flows Used In Obtaining Control Of Subsidiaries Or Other Businesses Classified As Investing Activities | N/A | 0.00 | 1,089,000.00 | 0.00 |
Proceeds From Sales Of Property Plant And Equipment Classified As Investing Activities | N/A | 359,000.00 | 258,000.00 | 418,000.00 |
Cash Flows From Used In Investing Activities | N/A | -847,000.00 | -2,227,000.00 | -1,043,000.00 |
Payments To Acquire Or Redeem Entitys Shares | N/A | 266,000.00 | 317,000.00 | 1,069,000.00 |
Payments Of Lease Liabilities Classified As Financing Activities | N/A | 2,123,000.00 | 2,132,000.00 | 2,287,000.00 |
Dividends Paid Classified As Financing Activities | N/A | 1,230,000.00 | 3,068,000.00 | 3,481,000.00 |
Cash Flows From Used In Financing Activities | N/A | -2,818,000.00 | -8,649,000.00 | -13,558,000.00 |
Increase (decrease) in cash and cash equivalents after effect of exchange rate changes | N/A | 14,225,000.00 | -6,185,000.00 | 2,809,000.00 |
Cash and cash equivalents | 10,032,000.00 | 24,257,000.00 | 18,072,000.00 | 20,881,000.00 |
Please note that some sums might not add up.
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