NORMANN COPENHAGEN ApS — Credit Rating and Financial Key Figures

CVR number: 10008824
Niels Hemmingsens Gade 12, 1153 København K

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit58 736.6260 309.0053 527.0043 078.0038 810.00
Employee benefit expenses-43 953.19-44 451.00-49 482.00-48 822.00-48 499.00
Total depreciation-4 404.09-5 799.00-6 314.00-6 213.00-5 408.00
EBIT10 379.3510 059.00-2 269.00-11 957.00-15 097.00
Other financial income645.00725.00256.00471.00555.00
Other financial expenses-1 502.04- 915.00-2 060.00-2 382.00-2 466.00
Pre-tax profit9 522.319 869.00-4 073.00-13 868.00-17 008.00
Income taxes-2 153.99-2 224.00742.002 913.00265.00
Net earnings7 368.327 645.00-3 331.00-10 955.00-16 743.00

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure8 749.927 968.006 486.005 688.003 376.00
Intangible assets total8 749.927 968.006 486.005 688.003 376.00
Buildings3 254.004 319.003 570.002 449.00
Machinery and equipment6 869.165 318.005 852.005 648.005 747.00
Tangible assets total6 869.168 572.0010 171.009 218.008 196.00
Investments total176.00293.00
Non-current other receivables296.50168.00168.00168.00168.00
Long term receivables total296.50168.00168.00168.00168.00
Finished products/goods54 132.8150 792.0060 582.0055 457.0048 605.00
Advance payments1 797.001 751.00
Inventories total54 132.8152 589.0062 333.0055 457.0048 605.00
Current trade debtors21 723.0121 131.0024 109.0021 010.0018 039.00
Current amounts owed by group member comp.23 262.0522 327.0017 285.0018 885.0017 960.00
Prepayments and accrued income2 142.061 819.001 905.00669.00700.00
Current other receivables681.051 421.001 490.001 314.001 643.00
Current deferred tax assets158.002 063.002 529.00
Short term receivables total47 808.1746 698.0044 947.0043 941.0040 871.00
Cash and bank deposits1 215.129 535.006 777.007 920.006 550.00
Cash and cash equivalents1 215.129 535.006 777.007 920.006 550.00
Balance sheet total (assets)119 071.69125 530.00130 882.00122 568.00108 059.00

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital125.00125.00125.00125.00125.00
Shares repurchased4 500.00
Other reserves6 824.956 215.005 059.004 437.002 633.00
Retained earnings63 614.2767 093.0075 894.0073 186.0064 035.00
Profit of the financial year7 368.327 645.00-3 331.00-10 955.00-16 743.00
Shareholders equity total77 932.5485 578.0077 747.0066 793.0050 050.00
Provisions2 342.242 052.001 086.00
Non-current deferred tax liabilities3 357.783 314.003 414.003 536.003 415.00
Non-current liabilities total3 357.783 314.003 414.003 536.003 415.00
Current loans from credit institutions3 849.721 820.0019 442.0026 100.0026 531.00
Advances received2 076.833 133.002 570.001 665.001 200.00
Current trade creditors21 115.1219 539.0023 380.0019 860.0023 940.00
Current owed to group member3 514.284 479.00
Short-term deferred tax liabilities833.582 318.0011.0014.00
Other non-interest bearing current liabilities4 049.603 001.002 138.003 230.002 041.00
Accruals and deferred income296.001 105.001 373.00868.00
Current liabilities total35 439.1334 586.0048 635.0052 239.0054 594.00
Balance sheet total (liabilities)119 071.69125 530.00130 882.00122 568.00108 059.00
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