JC CARLSEN VVS ApS — Credit Rating and Financial Key Figures

CVR number: 35205225
Helligkildevej 2 A, Slagelse 4200 Slagelse
jc@vvs-jc.dk
tel: 21568855

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit5 381.055 571.745 889.226 720.335 722.64
Employee benefit expenses-3 301.77-3 929.16-4 160.72-4 552.09-4 734.90
Total depreciation-80.37-97.55-84.54- 117.09- 116.36
EBIT1 998.921 545.041 643.962 051.14871.38
Other financial income75.8064.1779.6597.5892.32
Other financial expenses-19.58-14.44-14.63-34.00-99.00
Net income from associates (fin.)118.70462.02
Pre-tax profit2 173.832 056.791 708.972 114.72864.70
Income taxes- 452.10- 351.47- 378.48- 466.23- 194.44
Net earnings1 721.741 705.321 330.491 648.49670.26

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings76.72
Machinery and equipment184.1886.63398.91424.82321.30
Tangible assets total184.1886.63398.91424.82398.02
Holdings in group member companies2 899.355 466.23
Investments total2 899.355 466.23
Long term receivables total
Raw materials and consumables59.5069.6064.6067.8362.00
Inventories total59.5069.6064.6067.8362.00
Current trade debtors872.611 431.80989.82996.451 141.67
Current amounts owed by group member comp.3 263.563 331.48
Prepayments and accrued income5.609.94
Current other receivables61.56326.122 605.332 437.032 179.88
Current deferred tax assets192.25189.6626.596.8792.44
Short term receivables total4 389.995 279.053 621.743 445.963 423.93
Cash and bank deposits1 250.911 383.96320.26884.35616.62
Cash and cash equivalents1 250.911 383.96320.26884.35616.62
Balance sheet total (assets)8 783.9312 285.474 405.514 822.974 500.57

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital157.00157.00157.00157.00157.00
Shares repurchased400.004 800.002 000.002 000.001 100.00
Other reserves2 849.355 416.23
Retained earnings1 908.44-1 631.84- 510.28-1 179.79- 631.30
Profit of the financial year1 721.741 705.321 330.491 648.49670.26
Shareholders equity total7 036.5310 446.722 977.212 625.701 295.97
Provisions0.00
Non-current liabilities total
Current trade creditors622.16635.45679.09427.12377.93
Current owed to participating1 029.532 116.03
Short-term deferred tax liabilities94.1490.55
Other non-interest bearing current liabilities1 125.241 109.17749.21650.07710.64
Current liabilities total1 747.401 838.761 428.302 197.263 204.60
Balance sheet total (liabilities)8 783.9312 285.474 405.514 822.974 500.57
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