FAMO METRO ApS — Credit Rating and Financial Key Figures

CVR number: 32888887
Øster Søgade 114, 2100 København Ø
metro@famo.dk
tel: 35556630
www.famo.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit4 082.234 989.195 453.146 095.597 507.18
Employee benefit expenses-3 860.94-4 038.12-4 579.24-5 524.82-6 930.17
Total depreciation- 130.00- 279.48- 282.04- 198.31- 387.31
EBIT91.29671.59591.85372.46189.70
Other financial income16.7718.28
Other financial expenses-27.75-17.49-12.11-19.03-26.52
Pre-tax profit63.54654.11579.74370.19181.46
Income taxes- 104.46- 128.13-67.33-46.52
Net earnings63.54549.65451.62302.86134.94

Assets (kDKK)

2020
2021
2022
2023
2024
Goodwill548.33478.33408.33285.83145.83
Intangible assets total548.33478.33408.33285.83145.83
Buildings545.99594.25568.32508.85459.81
Machinery and equipment1 134.021 002.02870.02893.77695.51
Tangible assets total1 680.011 596.281 438.341 402.621 155.32
Investments total266.67272.11272.11296.02302.32
Non-current other receivables400.00
Long term receivables total400.00
Raw materials and consumables194.95487.72720.57
Finished products/goods297.90323.62
Inventories total297.90323.62194.95487.72720.57
Current trade debtors369.78346.35233.79443.00378.73
Current amounts owed by group member comp.1 073.741 099.39944.08
Prepayments and accrued income4.80
Current other receivables1 072.75987.95425.80430.85294.11
Short term receivables total1 442.531 334.301 733.321 978.041 616.92
Cash and bank deposits408.74161.22319.98212.302.90
Cash and cash equivalents408.74161.22319.98212.302.90
Balance sheet total (assets)4 644.194 565.864 367.044 662.543 943.86

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital166.67166.67166.67166.67166.67
Share premium account245.83245.83245.83
Other reserves245.83245.83230.26247.02272.30
Retained earnings126.63190.17509.56944.411 222.00
Profit of the financial year63.54549.65451.62302.86134.94
Shareholders equity total602.671 152.321 603.931 906.802 041.74
Provisions215.46203.94157.77
Non-current other liabilities1 872.00
Non-current deferred tax liabilities1 000.00167.05178.26184.85
Non-current liabilities total1 872.001 000.00167.05178.26184.85
Current loans from credit institutions223.02135.7544.1935.27
Current trade creditors325.67494.53298.46501.01426.44
Current owed to group member900.0093.30297.89
Short-term deferred tax liabilities104.46
Other non-interest bearing current liabilities1 620.831 678.811 137.941 779.24799.88
Current liabilities total2 169.522 413.552 380.592 373.541 559.49
Balance sheet total (liabilities)4 644.194 565.864 367.044 662.543 943.86
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