PANTUS ApS — Credit Rating and Financial Key Figures

CVR number: 29138443
Hyldevej 20, 8240 Risskov

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit- 934.00- 863.00-1 260.00-4 356.002 120.00
Employee benefit expenses- 341.00-1 578.00-2 188.00-2 787.00
Total depreciation-58.00- 114.00- 604.00-1 457.00
EBIT- 934.00-1 262.00-2 952.00-7 148.00-2 124.00
Other financial income107.007 284.008 706.00162 514.00150 817.00
Other financial expenses- 269.00-41 343.00-13 481.00-12 059.00
Net income from associates (fin.)33 974.001 236 415.00-6 148.004 680.005 810.00
Pre-tax profit33 147.001 242 168.00-41 737.00146 565.00142 444.00
Income taxes182.00-1 266.006 635.00-30 582.00-33 167.00
Net earnings33 329.001 240 902.00-35 102.00115 983.00109 277.00

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters11 015.0024 109.0023 310.00
Machinery and equipment308.00280.003 227.002 644.00
Tangible assets total11 323.00280.0027 336.0025 954.00
Holdings in group member companies4 956.007 802.005 229.004 774.0062 726.00
Participating interests331 238.00517 400.00214 427.00130 244.00135 974.00
Investments total336 194.00525 342.00220 219.00135 932.00199 064.00
Non-current loans receivable492 436.005 738.0024 973.0064 545.00
Long term receivables total492 436.005 738.0024 973.0064 545.00
Finished products/goods82 400.0082 400.0081 055.00
Inventories total82 400.0082 400.0081 055.00
Current trade debtors26.00
Current amounts owed by group member comp.3 036.0034 862.00227 809.00
Current owed by particip. interest comp.40 300.0018 862.0012 308.00
Current other receivables575 000.00431.00816.002 604.00
Current deferred tax assets259.0013.006 819.008 021.00
Short term receivables total40 559.00578 049.007 250.0054 540.00250 768.00
Other current investments191.00615 272.001 059 186.001 061 292.00
Cash and bank deposits2 066.009 235.00950 728.00530 751.00240 916.00
Cash and cash equivalents2 257.009 235.001 566 000.001 589 937.001 302 208.00
Balance sheet total (assets)379 010.001 616 385.001 881 887.001 915 118.001 923 594.00

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital299.00299.0010 000.0010 000.0010 000.00
Shares repurchased25 000.00
Other reserves197 907.00386 916.0081 370.004 724.004 800.00
Retained earnings122 464.00-33 216.001 463 531.001 505 075.001 620 982.00
Profit of the financial year33 329.001 240 902.00-35 102.00115 983.00109 277.00
Shareholders equity total378 999.001 594 901.001 519 799.001 635 782.001 745 059.00
Provisions201.00179.00
Non-current other liabilities219.00219.00
Non-current liabilities total219.00219.00
Current trade creditors249.0073.00435.0077.00
Current owed to participating20 011.008 738.005 932.001 898.00
Current owed to group member29 379.00430.00453.00
Short-term deferred tax liabilities1 020.00504.00
Other non-interest bearing current liabilities11.00204.00323 898.00271 615.00175 709.00
Current liabilities total11.0021 484.00362 088.00278 916.00178 137.00
Balance sheet total (liabilities)379 010.001 616 385.001 881 887.001 915 118.001 923 594.00
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