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Deft Polska Sp. z o.o. (Poland)

Main Activities: Other Miscellaneous Nondurable Goods Merchant Wholesalers
Secondary Activities: Oil and Gas Pipeline and Related Structures Construction | Plumbing, Heating, and Air-Conditioning Contractors | Other Building Finishing Contractors | Coating, Engraving, Heat Treating, and Allied Activities | Warehousing and Storage | Lessors of Real Estate | Scientific Research and Development Services | Commercial and Industrial Machinery and Equipment (except Automotive and Electronic) Repair and Maintenance
Full name: Deft Polska Sp. z o.o. Profile Updated: February 13, 2025
Buy our report for this company USD 29.95 Most recent financial data: 2025 Available in: English & Polish Download a sample report

Deft Polska Sp. z o.o. is a company based in Poland, with its head office in Bytom. It operates in the Other Miscellaneous Nondurable Goods Merchant Wholesalers industry. The enterprise was incorporated on July 22, 2022. Deft Polska Sp. z o.o. currently employs 11 - 50 (2025) people. The company’s latest financial report indicates a net sales revenue increase of 78.85% in 2025. Its’ total assets recorded a growth of 1.49%. In 2025, Deft Polska Sp. z o.o.’s net profit margin increased by 2.13%.

Headquarters
Ul. Swietochlowicka 3
Bytom; Slaskie; Postal Code: 41-909

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Website: http://www.deft.com.pl

Basic Information
Total Employees:
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Registered Capital:
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Financial Auditors:
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Incorporation Date:
July 22, 2022
Key Executives
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President
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Vice President
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Management Board Member
Ownership Details
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99%
Company Performance
Financial values in the chart are available after Deft Polska Sp. z o.o. report is purchased.
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Key Financial Highlights
Annual growth percentages for latest two years in local currency PLN. Absolute financial data is included in the purchased report.
Net sales revenue
78.85%
Total Operating Revenue
75.3%
Operating Profit
18138.66%
EBITDA
544.87%
Net Profit/Loss for the Period
3317.38%
Total Assets
1.49%
Total Equity
12.97%
Operating Profit Margin
2.69%
Net Profit Margin
2.13%
Return on Equity (ROE)
11.1%
Quick Ratio
0.49%
Cash Ratio
0.33%

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