ALU REHAB ApS — Credit Rating and Financial Key Figures

CVR number: 13868670
Kløftehøj 8, 8680 Ry
tel: 87887300
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit15 838.089 018.224 836.167 762.358 897.70
Employee benefit expenses-19 413.65-10 369.06-8 440.11-6 992.88-7 370.89
Other operating expenses-1.65
Total depreciation-51.01-40.29-23.35-17.63-7.58
EBIT-3 626.57-1 392.77-3 627.29751.841 519.23
Other financial income70.697.16209.36162.8715.44
Other financial expenses- 551.27- 801.85- 330.16- 296.27-1 256.14
Pre-tax profit-4 107.15-2 187.46-3 748.10618.43278.52
Income taxes-87.0986.99775.6974.31
Net earnings-4 194.25-2 187.46-3 661.111 394.13352.83

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Machinery and equipment53.3548.5625.217.58
Tangible assets total53.3548.5625.217.58
Investments total285.00285.00285.00285.00
Long term receivables total
Finished products/goods15 872.8112 938.4210 549.5711 576.8315 633.23
Inventories total15 872.8112 938.4210 549.5711 576.8315 633.23
Current trade debtors5 848.095 602.956 205.915 829.855 920.11
Current amounts owed by group member comp.2 515.593 542.222 189.822 012.615 805.25
Prepayments and accrued income507.74143.7935.1069.3416.29
Current other receivables1 626.52348.18175.64639.6370.02
Current deferred tax assets79.0044.00775.69850.00
Short term receivables total10 576.949 681.158 606.479 327.1112 661.66
Cash and bank deposits4 942.71454.751 698.661 693.99691.38
Cash and cash equivalents4 942.71454.751 698.661 693.99691.38
Balance sheet total (assets)31 445.8123 407.8721 164.9222 890.5129 271.27

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital250.00250.00250.00250.00250.00
Retained earnings7 610.753 416.503 831.85170.741 564.87
Profit of the financial year-4 194.25-2 187.46-3 661.111 394.13352.83
Shareholders equity total3 666.501 479.04420.741 814.872 167.70
Provisions9 180.20
Non-current owed to group member11 161.5011 154.909 295.759 316.139 322.00
Non-current other liabilities706.11706.11
Non-current deferred tax liabilities746.17769.30
Non-current liabilities total11 161.5011 861.0110 001.8610 062.2910 091.30
Advances received1.09681.8865.40
Current trade creditors1 420.572 163.75941.941 106.741 842.89
Current owed to group member5 600.764 391.168 237.178 184.5312 914.91
Short-term deferred tax liabilities109.57131.74
Other non-interest bearing current liabilities9 486.923 381.17-7 618.081 040.212 189.09
Current liabilities total16 617.8110 067.821 562.1211 013.3517 012.28
Balance sheet total (liabilities)31 445.8123 407.8721 164.9222 890.5129 271.27
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