POST/TELE MUSEUMSFOND — Credit Rating and Financial Key Figures

CVR number: 19286592
Øster Allé 3, 2100 København Ø
museum@enigma.dk
tel: 33410909

Credit rating

Company information

Official name
POST/TELE MUSEUMSFOND
Personnel
26 persons
Established
1996
Industry
  • Expand more icon91Libraries, archives, museums and other cultural activities

About POST/TELE MUSEUMSFOND

POST/TELE MUSEUMSFOND (CVR number: 19286592) is a company from KØBENHAVN. The company reported a net sales of 4.7 mDKK in 2023, demonstrating a growth of 196.1 % compared to the previous year. The operating profit percentage was poor at -79.6 % (EBIT: -3.7 mDKK), while net earnings were -3993.2 kDKK. The profitability of the company measured by Return on Assets (ROA) was -16.2 %, which can be considered poor and Return on Equity (ROE) was -104.8 %, which can be considered poor. The equity ratio, a key indicator for solidity, stood at 9.6 %, a level that can be considered to be very low. This means the company is highly leveraged, with most assets financed through debt. This high level of financial risk could pose challenges in periods of financial distress or rising interest rates. POST/TELE MUSEUMSFOND's liquidity measured by quick ratio was 2.5 which is at a very high level. Thus, the company demonstrates exceptional financial stability, possessing a significant surplus of liquid assets over its short-term liabilities.

Financial information

See financials

Net sales (kDKK)

EBIT (kDKK)

Profitability

Solidity

Key figures (kDKK)

See financials
20192020202120222023
Volume
Net sales8 075.075 216.002 181.601 573.334 658.37
Gross profit11 534.6312 829.496 676.519 672.268 473.82
EBIT1 358.30-8 017.62- 548.501 506.38-3 708.34
Net earnings273.25-4 364.71-1 041.111 113.00-3 993.23
Shareholders equity total10 100.135 735.434 694.325 807.321 814.09
Balance sheet total (assets)24 415.2515 196.2012 466.7726 881.4018 813.34
Net debt4 812.66-4 105.65-1 874.08-4 691.26-1 331.76
Profitability
EBIT-%16.8 %-153.7 %-25.1 %95.7 %-79.6 %
ROA5.5 %-17.1 %-4.0 %7.7 %-16.2 %
ROE2.7 %-55.1 %-20.0 %21.2 %-104.8 %
ROI6.1 %-20.0 %-5.1 %8.3 %-16.6 %
Economic value added (EVA)630.77-8 698.36- 573.951 423.84-3 756.74
Solvency
Equity ratio41.4 %37.7 %37.7 %21.6 %9.6 %
Gearing116.9 %104.3 %106.6 %0.2 %0.4 %
Relative net indebtedness %90.7 %-12.0 %40.9 %-88.0 %38.9 %
Liquidity
Quick ratio2.52.62.333.82.5
Current ratio2.52.62.334.32.9
Cash and cash equivalents6 989.6410 085.906 879.144 702.061 339.69
Capital use efficiency
Trade debtors turnover (days)63.272.573.111.78.1
Net working capital %66.9 %135.2 %235.2 %800.1 %23.6 %
Credit risk
Credit ratingAABBBBBBAABBB

Variable visualization

ROA:-16.2%
Rating: 4/100
-20%
0%
4%
11%
24%
60%
Graph showing the distribution of the variable
Equity ratio:9.64%
Rating: 10/100
-1%
21%
50%
81%
99%
100%
Graph showing the distribution of the variable

Roles

Board member
Board member
Chairman of the board
Board member

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