K/S HABRO-PERTH

CVR number: 26873215
Bredgade 34 A, 1260 København K
digitalpostkasse@habro.dk
tel: 33343000

Income statement (kDKK)

20192020202120222023
Fiscal period length1212121212
Net sales4 013.34842.03
Gross profit4 013.34842.03
Costs of management- 289.16
Other operating expenses-1 441.24-75.02-61.75-61.55
Reduction in value of non-current assets-19 702.08-4 998.303 635.27- 265.58
EBIT-15 977.90- 599.21-75.02-61.75- 327.13
Other financial income201.074 706.870.010.05266.89
Other financial expenses-4 366.67-4 212.17-3 661.48-28.41-25.57
Pre-tax profit-20 143.49-5 102.82- 101.23-90.11-85.81
Net earnings-20 143.49-5 102.82- 101.23-90.11-85.81

Assets (kDKK)

20192020202120222023
Intangible assets total
Buildings8 766.40
Tangible assets total8 766.40
Investments total
Long term receivables total
Inventories total
Current other receivables107.75228.4328.4227.60293.54
Short term receivables total107.75228.4328.4227.60293.54
Cash and bank deposits533.81546.71235.97165.8197.61
Cash and cash equivalents533.81546.71235.97165.8197.61
Balance sheet total (assets)9 407.96775.14264.39193.41391.15

Equity and liabilities (kDKK)

20192020202120222023
Share capital- 202.6421 181.00-3 250.6821 181.0021 181.00
Retained earnings20 143.49-19 227.64101.23-24 431.68-24 521.79
Profit of the financial year-20 143.49-5 102.82- 101.23-90.11-85.81
Shareholders equity total- 202.64-3 149.45-3 250.68-3 340.79-3 426.61
Non-current liabilities total
Other non-interest bearing current liabilities9 610.603 924.593 515.073 534.213 817.76
Current liabilities total9 610.603 924.593 515.073 534.213 817.76
Balance sheet total (liabilities)9 407.96775.14264.39193.41391.15
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