TEAM HYLDAHL A/S — Credit Rating and Financial Key Figures

CVR number: 19541134
Lilleringvej 6, 8462 Harlev J
tel: 86942661
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit229.7659.89- 367.32-39.12- 328.99
Wages and salaries-42.77- 194.63- 173.76- 238.88- 375.90
Social security expenses- 117.64- 120.86-16.80-28.23-18.89
Other operating expenses- 587.12
Total depreciation-79.75-46.10-43.90-34.20-28.16
EBIT-10.40- 311.69- 601.78- 340.43-1 339.07
Other financial income2.772.23
Other financial expenses-22.90-1.73-17.45-19.91-33.83
Pre-tax profit-30.53- 311.19- 619.23- 360.34-1 372.90
Income taxes-13.8057.60104.7071.20
Net earnings-44.33- 253.59- 514.53- 289.14-1 372.90

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings181.77168.77154.57150.67150.67
Machinery and equipment119.0685.9658.4628.16
Tangible assets total300.83254.73213.03178.83150.67
Investments total
Non-curr. owed by group member comp.6 551.256 116.505 391.809 704.038 704.20
Long term receivables total6 551.256 116.505 391.809 704.038 704.20
Finished products/goods4 680.004 680.004 680.002 071.112 071.11
Inventories total4 680.004 680.004 680.002 071.112 071.11
Current trade debtors46.95110.11166.54208.24118.74
Current amounts owed by group member comp.183.34
Current other receivables216.8283.5359.5052.33
Short term receivables total46.95326.94250.07451.07171.07
Cash and bank deposits151.1050.45431.10541.05117.86
Cash and cash equivalents151.1050.45431.10541.05117.86
Balance sheet total (assets)11 730.1311 428.6210 966.0112 946.0911 214.91

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Asset revaluation reserve2 608.892 608.892 608.89
Retained earnings8 589.238 544.908 291.327 776.787 487.64
Profit of the financial year-44.33- 253.59- 514.53- 289.14-1 372.90
Shareholders equity total11 653.7911 400.2010 885.677 987.646 614.74
Non-current liabilities total
Current trade creditors17.230.7080.3342.3727.37
Current owed to participating4 916.083 842.01
Current owed to group member232.21
Other non-interest bearing current liabilities59.1127.72498.58
Current liabilities total76.3428.4280.334 958.454 600.17
Balance sheet total (liabilities)11 730.1311 428.6210 966.0112 946.0911 214.91
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