MITHIOF ApS — Credit Rating and Financial Key Figures

CVR number: 28886829
Hybenvej 16, 4654 Faxe Ladeplads
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit7 903.748 446.028 145.509 484.458 322.96
Employee benefit expenses-5 709.36-6 853.34-6 727.68-8 707.88-7 763.00
Other operating expenses-88.23
Total depreciation- 354.74- 359.07- 462.95- 533.08- 334.66
EBIT1 839.641 233.61954.87243.50137.07
Other financial income11.285.5929.6133.7721.96
Other financial expenses-14.75-25.65-51.17- 123.04- 119.63
Pre-tax profit1 836.171 213.55933.30154.2339.40
Income taxes- 409.06- 272.79- 212.20-59.86-15.76
Net earnings1 427.11940.75721.1094.3723.64

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Machinery and equipment1 920.001 690.931 916.261 676.933 107.99
Tangible assets total1 920.001 690.931 916.261 676.933 107.99
Investments total505.53505.87506.16506.28506.32
Long term receivables total
Finished products/goods142.55172.51242.99152.79163.77
Inventories total142.55172.51242.99152.79163.77
Current trade debtors655.751 263.21960.641 536.081 080.10
Current amounts owed by group member comp.3 182.122 130.59767.1329.76
Prepayments and accrued income88.3585.6785.6794.00
Current other receivables897.49757.981 109.501 260.53779.63
Current deferred tax assets62.17
Short term receivables total4 735.364 240.132 922.932 882.282 045.66
Cash and bank deposits732.79243.34573.97520.46283.18
Cash and cash equivalents732.79243.34573.97520.46283.18
Balance sheet total (assets)8 036.246 852.796 162.315 738.746 106.93

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital250.00250.00250.00250.00250.00
Shares repurchased2 200.00900.00700.00180.00
Retained earnings-1 417.75- 890.64- 649.8971.21-14.41
Profit of the financial year1 427.11940.75721.1094.3723.64
Shareholders equity total2 459.361 200.111 021.21415.59439.23
Provisions93.86102.72107.07101.52179.45
Non-current owed to group member3 024.173 702.40
Non-current liabilities total3 024.173 702.40
Advances received407.62450.13514.69529.20679.05
Current trade creditors841.52935.00832.50935.08862.22
Current owed to participating213.53
Current owed to group member2 319.212 629.563 321.80
Short-term deferred tax liabilities379.94263.93207.8665.41
Other non-interest bearing current liabilities1 321.201 271.32454.82370.16244.57
Current liabilities total5 483.025 549.952 009.865 221.631 785.85
Balance sheet total (liabilities)8 036.246 852.796 162.315 738.746 106.93
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