Movato ApS — Credit Rating and Financial Key Figures

CVR number: 35378995
Tigervej 16, 4600 Køge
kontakt@movato.dk
tel: 69902323
www.movato.dk

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit8 142.329 970.8617 846.6620 724.5623 447.70
Employee benefit expenses-7 329.88-8 599.77-14 846.88-17 963.41-19 898.05
Other operating expenses- 135.00- 190.00
Total depreciation- 788.19- 852.32-1 155.43-1 585.32-1 582.62
EBIT24.25518.771 844.361 040.831 777.03
Other financial income9.7224.6210.970.9418.51
Other financial expenses- 211.34- 162.64- 316.36- 511.71- 522.94
Net income from associates (fin.)- 178.938.63
Pre-tax profit- 356.30389.371 538.96530.071 272.59
Income taxes25.70- 131.87- 353.17- 148.72- 284.79
Net earnings- 330.60257.501 185.79381.34987.81

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights466.38279.83826.22549.77
Intangible assets total466.38279.83826.22549.77
Buildings158.43103.22129.71311.98227.25
Machinery and equipment3 268.384 288.624 371.994 765.414 510.54
Tangible assets total3 426.824 391.834 501.705 077.394 737.79
Holdings in group member companies8.63
Investments total327.06497.701 158.791 103.821 335.29
Non-current loans receivable10.4812.8315.0615.0616.09
Long term receivables total10.4812.8315.0615.0616.09
Raw materials and consumables608.67815.57797.641 062.191 362.54
Inventories total608.67815.57797.641 062.191 362.54
Current trade debtors3 584.765 651.284 337.916 171.137 430.23
Current amounts owed by group member comp.60.82
Prepayments and accrued income247.90185.13188.70167.91324.93
Current other receivables79.2558.3489.09189.98123.55
Current deferred tax assets0.901.46
Short term receivables total3 973.635 896.204 615.706 529.027 878.70
Cash and bank deposits9.4835.2253.4843.7425.70
Cash and cash equivalents9.4835.2253.4843.7425.70
Balance sheet total (assets)8 356.1512 115.7411 422.1914 657.4515 905.90

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital225.00225.00225.00225.00225.00
Retained earnings1 108.04777.451 034.952 220.742 602.08
Profit of the financial year- 330.60257.501 185.79381.34987.81
Shareholders equity total1 002.451 259.952 445.742 827.083 814.89
Provisions327.91425.68438.11533.12541.10
Non-current loans from credit institutions582.48428.25
Non-current leasing loans1 068.121 918.901 738.771 729.141 463.88
Non-current other liabilities397.64397.64
Non-current deferred tax liabilities499.41499.40538.91
Non-current liabilities total1 465.752 316.542 238.182 811.032 431.04
Current loans from credit institutions2 064.802 199.433 199.274 709.474 811.40
Current trade creditors249.532 305.211 163.721 314.911 560.54
Current owed to participating1 023.00215.00
Current owed to group member569.09645.46
Short-term deferred tax liabilities338.6736.36220.81
Other non-interest bearing current liabilities2 676.621 940.471 598.502 425.472 311.12
Current liabilities total5 560.048 113.586 300.168 486.229 118.87
Balance sheet total (liabilities)8 356.1512 115.7411 422.1914 657.4515 905.90
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