FISKERISELSKABET MICHAEL JEPPESEN ApS — Credit Rating and Financial Key Figures

CVR number: 19323374
Sodemarksvej 17 B, Søborg Bøge 3230 Græsted
tel: 48390283

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit506.55480.24405.07110.10348.77
Employee benefit expenses- 523.50- 558.73- 399.74- 431.57- 507.98
Other operating expenses-13.85-30.07-14.75-13.85- 377.31
Total depreciation- 107.48-97.63-75.37-92.69-65.62
EBIT- 138.28- 206.20-84.79- 428.01- 602.15
Other financial expenses-60.44-98.95- 101.52- 105.59- 126.60
Income from other inv. held as non-curr. assets36.82228.28
Pre-tax profit- 198.72- 268.3241.97- 533.60- 728.75
Income taxes43.1460.8740.33137.47155.04
Net earnings- 155.57- 207.4582.30- 396.13- 573.71

Assets (kDKK)

2020
2021
2022
2023
2024
Goodwill1 500.001 650.001 300.001 170.00986.00
Intangible assets total1 500.001 650.001 300.001 170.00986.00
Machinery and equipment712.80658.98596.82657.94758.19
Advance payments and construction in progress46.6046.6046.60
Tangible assets total712.80705.57643.42704.54758.19
Investments total
Non-current loans receivable27.5827.5815.581.001.00
Long term receivables total27.5827.5815.581.001.00
Inventories total
Prepayments and accrued income50.6829.7429.7722.0016.00
Current other receivables21.0010.1010.1010.1010.10
Current deferred tax assets41.5119.906.9543.66166.74
Short term receivables total113.1959.7546.8275.76192.84
Cash and bank deposits394.20190.63523.00190.86147.19
Cash and cash equivalents394.20190.63523.00190.86147.19
Balance sheet total (assets)2 747.772 633.542 528.822 142.162 085.22

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital200.00200.00200.00200.00200.00
Asset revaluation reserve609.20745.18484.36394.96283.51
Retained earnings-1 158.29-1 298.67-1 485.90-1 383.37-1 779.51
Profit of the financial year- 155.57- 207.4582.30- 396.13- 573.71
Shareholders equity total- 504.66- 560.94- 719.24-1 184.55-1 869.71
Provisions427.00423.00342.00228.69208.95
Non-current liabilities total
Current trade creditors31.7635.7654.6632.6326.85
Current owed to participating4.012.081.751.881.95
Current owed to group member2 420.232 467.652 596.682 788.253 667.57
Other non-interest bearing current liabilities369.44265.99252.97275.2749.60
Current liabilities total2 825.432 771.482 906.063 098.023 745.97
Balance sheet total (liabilities)2 747.772 633.542 528.822 142.162 085.22
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