CARLS GROUP ApS — Credit Rating and Financial Key Figures

CVR number: 29611653
Skovby Bygade 15, 6200 Aabenraa

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit2 951.392 703.405 225.894 577.314 665.65
Employee benefit expenses-1 285.98-1 102.72-1 135.71-1 370.05-1 360.00
Other operating expenses-50.78-62.55-56.06-48.30-48.97
Total depreciation- 604.73- 577.88- 591.40- 500.21- 466.75
Reduction in value of non-current assets4.05- 188.00- 249.657.50- 100.30
EBIT1 009.90960.253 442.722 658.752 789.94
Other financial income1 580.71937.801 065.681 050.53780.91
Other financial expenses- 497.29- 528.12- 376.38-1 390.52-1 569.05
Net income from associates (fin.)-4 477.96-2 417.41-1 007.59-3 600.96-3 702.55
Pre-tax profit-2 384.64-1 047.483 124.43-1 282.20-1 700.75
Income taxes-1 045.34713.65- 723.80145.03- 248.19
Net earnings-3 429.98- 333.832 400.63-1 137.17-1 948.94

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters22 662.3222 662.3226 500.0030 700.5030 641.79
Buildings8 711.618 133.737 689.327 261.856 795.11
Other tangible assets1 667.301 805.402 224.202 109.201 912.10
Tangible assets total33 041.2332 601.4436 413.5240 071.5539 349.00
Holdings in group member companies0.000.000.000.000.00
Participating interests208.58266.09321.21370.75423.74
Investments total208.58266.09321.21370.75423.74
Non-current loans receivable36.7760.3873.5591.2588.22
Long term receivables total36.7760.3873.5591.2588.22
Raw materials and consumables32.62380.3071.3661.7060.30
Other stocks91.20120.30
Finished products/goods785.67345.3096.20207.00
Inventories total818.29725.60167.56152.90387.60
Current trade debtors554.90511.04567.44-0.00
Current amounts owed by group member comp.12 039.553 516.284 487.074 720.62800.00
Current owed by particip. interest comp.325.00275.00273.00509.81626.96
Prepayments and accrued income44.58392.69
Current other receivables1 473.27853.60692.63156.04162.92
Short term receivables total14 392.735 155.926 020.145 431.061 982.58
Balance sheet total (assets)48 497.6038 809.4342 995.9846 117.5142 231.13

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital10 000.0010 000.0010 000.0010 000.0010 000.00
Asset revaluation reserve4 924.624 924.627 450.1310 471.3410 679.34
Retained earnings-8 809.48-12 239.46-12 573.29-10 172.66-11 309.83
Profit of the financial year-3 429.98- 333.832 400.63-1 137.17-1 948.94
Shareholders equity total2 685.162 351.337 277.479 161.517 420.57
Provisions1 831.60768.001 647.501 722.001 325.49
Non-current loans from credit institutions20 549.9320 628.5920 782.7920 764.7621 023.51
Non-current other liabilities50.55
Non-current liabilities total20 600.4720 628.5920 782.7920 764.7621 023.51
Current loans from credit institutions1 157.80516.841 423.094 111.711 760.37
Current trade creditors5 451.586 005.594 119.71247.183 139.42
Current owed to participating0.76
Current owed to group member16 549.688 385.387 635.029 933.956 989.92
Short-term deferred tax liabilities436.70
Other non-interest bearing current liabilities221.30152.96110.41176.40135.15
Current liabilities total23 380.3615 061.5213 288.2214 469.2412 461.56
Balance sheet total (liabilities)48 497.6038 809.4342 995.9846 117.5142 231.13
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