HEM ELEKTRO ApS — Credit Rating and Financial Key Figures

CVR number: 29810974
Ulvevej 12, 7800 Skive
hemelektro@gmail.com
tel: 97531500
hemelektro.dk
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit5 705.618 598.789 400.649 182.669 432.47
Employee benefit expenses-3 227.97-5 805.55-7 445.56-7 775.04-7 289.60
Total depreciation- 914.75- 255.57- 258.94- 213.00- 152.40
EBIT1 562.882 537.661 696.141 194.631 990.46
Other financial income0.101.14
Other financial expenses-8.94-77.70- 105.04- 148.21- 111.41
Pre-tax profit1 553.942 459.961 591.191 046.421 880.18
Income taxes- 405.48- 548.54- 357.84- 233.33- 422.57
Net earnings1 148.461 911.421 233.35813.091 457.61

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters1 276.761 227.301 177.851 140.75
Buildings37.5317.13
Machinery and equipment811.35718.35526.00411.75296.44
Tangible assets total848.892 012.241 753.301 589.591 437.19
Investments total
Non-current loans receivable10.0010.0010.0010.0010.00
Long term receivables total10.0010.0010.0010.0010.00
Finished products/goods297.73442.001 245.281 277.591 266.86
Inventories total297.73442.001 245.281 277.591 266.86
Current trade debtors791.112 441.643 955.924 817.172 138.38
Prepayments and accrued income130.18
Current other receivables1 168.561 231.82749.401 223.581 069.13
Short term receivables total1 959.673 673.464 705.336 040.753 337.70
Cash and bank deposits484.33621.4654.991 633.87
Cash and cash equivalents484.33621.4654.991 633.87
Balance sheet total (assets)3 600.626 759.167 713.908 972.937 685.63

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital139.00139.00139.00139.00139.00
Asset revaluation reserve160.10127.750.83
Shares repurchased1 350.001 100.00812.853 000.00
Other reserves-2 000.00
Retained earnings- 313.57- 482.76455.58876.91-1 310.00
Profit of the financial year1 148.461 911.421 233.35813.091 457.61
Shareholders equity total1 133.993 045.412 928.762 641.851 286.61
Provisions49.5648.8730.0920.60132.05
Non-current loans from credit institutions790.26811.42720.83
Non-current liabilities total790.26811.42720.83
Current loans from credit institutions306.9434.0088.80
Current trade creditors397.21602.91922.602 099.31463.10
Current owed to participating44.27
Current owed to group member1 224.161 273.27890.551 382.922 812.00
Short-term deferred tax liabilities361.39549.23376.62242.82311.12
Other non-interest bearing current liabilities390.041 239.481 468.091 740.011 871.12
Current liabilities total2 417.073 664.883 964.805 499.065 546.14
Balance sheet total (liabilities)3 600.626 759.167 713.908 972.937 685.63
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