Reproflex A/S — Credit Rating and Financial Key Figures

CVR number: 14248943
Karl Bjarnhofs Vej 3, 7120 Vejle Øst
mail@reprocentret.dk
tel: 43247040

Credit rating

Company information

Official name
Reproflex A/S
Established
1990
Company form
Limited company
Industry
  • Expand more icon18Printing and reproduction of recorded media

About Reproflex A/S

Reproflex A/S (CVR number: 14248943) is a company from VEJLE. The company recorded a gross profit of 25.5 mDKK in 2022. The operating profit was 3456.6 kDKK, while net earnings were 3386.4 kDKK. The profitability of the company measured by Return on Assets (ROA) was 14.6 %, which can be considered good but Return on Equity (ROE) was 51.3 %, which can be considered excellent. The equity ratio, a key indicator for solidity, stood at 26.7 %, a level that can be considered to be low. This means a higher proportion of debt in its capital structure, indicating a greater reliance on borrowed funds. Reproflex A/S's liquidity measured by quick ratio was 1 which is at a modest level. Thus, the company's liquid assets are in relative balance with its short-term liabilities, indicating a moderate liquidity position. While it's likely to meet its current obligations, financial flexibility may be constrained, and unexpected costs could pose challenges.

Financial information

See financials

Gross profit (kDKK)

EBIT (kDKK)

Profitability

Solidity

Key figures (kDKK)

See financials
2018
2019
2020
2021
2022
Volume
Net sales
Gross profit23 215.8926 107.1025 221.6627 872.6725 509.79
EBIT-1 382.271 283.11639.684 757.373 456.59
Net earnings-1 777.981 215.56575.254 703.883 386.37
Shareholders equity total9 258.5410 474.1011 049.357 753.235 439.60
Balance sheet total (assets)23 264.2621 606.1625 304.4427 768.2320 399.20
Net debt4 637.173 783.60-2 979.17-4 681.484 566.53
Profitability
EBIT-%
ROA-5.3 %6.3 %2.9 %18.0 %14.6 %
ROE-17.5 %12.3 %5.3 %50.0 %51.3 %
ROI-7.7 %9.1 %4.2 %32.2 %26.9 %
Economic value added (EVA)-1 910.091 131.71427.884 456.493 343.68
Solvency
Equity ratio39.8 %48.5 %43.7 %27.9 %26.7 %
Gearing52.3 %38.3 %7.4 %10.6 %84.0 %
Relative net indebtedness %
Liquidity
Quick ratio1.21.41.51.21.0
Current ratio1.41.71.91.31.2
Cash and cash equivalents209.67223.153 793.015 506.163.74
Capital use efficiency
Trade debtors turnover (days)
Net working capital %
Credit risk
Credit ratingAAAAAAA

Variable visualization

ROA:14.6%
Rating: 66/100
-20%
0%
4%
11%
24%
60%
Graph showing the distribution of the variable
Equity ratio:26.7%
Rating: 24/100
-1%
21%
50%
81%
99%
100%
Graph showing the distribution of the variable

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