MIDTJYSK EJENDOMSUDVIKLING ApS — Credit Rating and Financial Key Figures

CVR number: 30538161
Sinding Hedevej 117 B, 8600 Silkeborg

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit649.62810.86777.96785.271 064.13
Other operating expenses- 132.47
Total depreciation-66.34-68.29-4 238.97- 721.04
Reduction in value of non-current assets- 346.21- 140.69-1 690.96-1 349.52170.80
EBIT237.07601.89-5 284.44-1 285.291 234.93
Other financial income5.034.98523.0723.95
Other financial expenses- 357.16- 425.85-1 399.82-1 209.41-1 795.17
Net income from associates (fin.)16.53- 125.34
Pre-tax profit- 103.5655.73-6 679.28-1 971.63- 536.28
Income taxes20.00-39.85882.00589.00174.07
Net earnings-83.5615.88-5 797.28-1 382.63- 362.21

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters12 523.7616 183.389 601.50
Buildings6 219.798 134.1738 308.0838 168.4337 069.10
Tangible assets total18 743.5524 317.5547 909.5838 168.4337 069.10
Holdings in group member companies64.71
Investments total64.71
Non-current loans receivable0.100.100.100.100.10
Non-current other receivables661.86775.05
Long term receivables total0.100.100.10661.96775.15
Raw materials and consumables4 783.863 983.863 983.86
Inventories total4 783.863 983.863 983.86
Current trade debtors4.2762.6517.271.028.65
Current amounts owed by group member comp.116.2260.6312 028.6995.61
Current other receivables180.05221.46808.21116.2035.75
Current deferred tax assets378.00924.00901.95
Short term receivables total300.55344.7413 232.171 041.221 041.96
Cash and bank deposits37.08747.12
Cash and cash equivalents37.08747.12
Balance sheet total (assets)19 108.9124 662.3965 925.7143 892.5543 617.20

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital50.0050.0050.0050.006 050.00
Retained earnings1 719.551 635.991 651.86-4 145.41-5 528.05
Profit of the financial year-83.5615.88-5 797.28-1 382.63- 362.21
Shareholders equity total1 685.991 701.86-4 095.41-5 478.05159.74
Provisions455.00504.00
Capital loans16 500.00
Non-current loans from credit institutions7 452.777 147.766 887.601 101.3416 011.24
Non-current liabilities total7 452.777 147.766 887.601 101.3432 511.24
Current loans from credit institutions746.70690.27739.2050.00150.00
Advances received353.69353.6935.87
Current trade creditors23.3222.0032.1326.5088.37
Current owed to participating10.975.1210.0020.00
Current owed to group member8 464.0214 244.9743 946.5129 601.928 727.90
Other non-interest bearing current liabilities270.15332.1118 052.0018 217.151 944.08
Accruals and deferred income14.30
Current liabilities total9 515.1615 308.7763 133.5248 269.2610 946.22
Balance sheet total (liabilities)19 108.9124 662.3965 925.7143 892.5543 617.20
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