TOPCOAT A/S — Credit Rating and Financial Key Figures

CVR number: 27361862
Musketervej 3, 9990 Skagen
tel: 98450511

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit17 212.8812 599.0612 975.6818 306.4713 381.48
Employee benefit expenses-12 264.75-11 735.66-10 429.69-11 983.42-11 092.18
Other operating expenses- 230.00-4 808.33- 327.84
Total depreciation- 864.26-1 340.13-1 391.56-1 097.39-1 123.24
EBIT3 853.87- 476.73-3 653.915 225.66838.22
Other financial income107.94151.37276.44244.09
Other financial expenses- 260.73- 234.32- 281.90- 562.79- 741.86
Net income from associates (fin.)417.7786.5254.02185.137 065.73
Pre-tax profit4 118.85- 473.15-3 605.345 092.097 162.08
Income taxes- 823.08-2 741.93653.91-1 088.53-63.40
Net earnings3 295.78-3 215.08-2 951.434 003.577 098.68

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters1 114.85924.47734.10543.731 860.96
Buildings492.47451.31410.16369.00
Machinery and equipment4 228.905 355.974 108.053 242.193 625.00
Tangible assets total5 836.226 731.755 252.314 154.925 485.96
Holdings in group member companies2 168.271 854.781 508.801 693.938 759.66
Investments total2 168.271 914.781 568.801 753.938 819.66
Non-current other receivables60.00
Long term receivables total60.00
Raw materials and consumables1 708.621 798.842 096.512 290.002 018.00
Inventories total1 708.621 798.842 096.512 290.002 018.00
Current trade debtors9 404.234 264.614 422.708 728.416 189.11
Current amounts owed by group member comp.3 522.155 459.044 890.774 291.99
Prepayments and accrued income314.08269.52139.3470.53108.00
Current other receivables1 109.631 263.46461.04641.13635.12
Current deferred tax assets100.27847.69
Short term receivables total14 450.3511 256.639 913.8513 732.067 779.91
Cash and bank deposits1 602.665 573.51
Cash and cash equivalents1 602.665 573.51
Balance sheet total (assets)25 826.1221 702.0018 831.4821 930.9129 677.05

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Shares repurchased1 000.003 400.00
Other reserves818.27504.78158.80343.937 409.66
Retained earnings4 658.378 267.635 398.52-1 138.04-4 200.20
Profit of the financial year3 295.78-3 215.08-2 951.434 003.577 098.68
Shareholders equity total10 272.416 057.333 105.897 109.4610 808.14
Provisions231.72337.60143.34111.67150.76
Capital loans3 641.542 972.752 286.501 579.38850.76
Non-current other liabilities320.92
Non-current liabilities total3 962.462 972.752 286.501 579.38850.76
Current bonds800.00
Current loans from credit institutions1 210.214 837.102 385.84800.00
Current trade creditors3 220.291 901.43588.77318.54661.91
Current owed to participating3 730.61
Current owed to group member10 252.44
Short-term deferred tax liabilities402.512 262.05181.94728.20
Other non-interest bearing current liabilities3 206.126 960.647 687.939 697.826 153.04
Current liabilities total11 359.5212 334.3213 295.7413 130.4017 867.39
Balance sheet total (liabilities)25 826.1221 702.0018 831.4821 930.9129 677.05
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