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DANSK KOMPRESSOR & TRYKLUFTCENTER ApS

CVR number: 35837264
Nibevej 142, 9200 Aalborg SV
tel: 82303058

Income statement (kDKK)

20182019202020212022
Fiscal period length1212121212
Net sales
Gross profit1 127.381 850.162 246.341 998.702 301.53
Employee benefit expenses-1 053.72-1 413.95-1 534.05-1 496.61-1 982.32
Total depreciation- 107.52-75.31- 129.35
EBIT73.66436.21604.77426.78189.86
Other financial income49.292.752.256.612.77
Other financial expenses-11.164.24-14.70-19.09-23.87
Pre-tax profit111.79443.19592.33414.30168.76
Income taxes-27.66- 100.47- 215.07-45.92-38.21
Net earnings84.13342.72377.25368.38130.55

Assets (kDKK)

20182019202020212022
Intangible assets total
Buildings218.93258.83269.45202.09134.73
Machinery and equipment184.71152.55112.3970.38166.36
Tangible assets total403.64411.38381.85272.48301.08
Investments total
Long term receivables total
Raw materials and consumables1 337.621 173.201 555.251 379.41
Finished products/goods853.63
Advance payments6.07
Inventories total859.701 337.621 173.201 555.251 379.41
Current trade debtors328.99696.54696.09803.171 357.51
Current amounts owed by group member comp.4.38
Prepayments and accrued income6.07
Current deferred tax assets15.0412.35
Short term receivables total328.99702.61696.09818.201 374.24
Cash and bank deposits326.0986.13587.89146.17263.93
Cash and cash equivalents326.0986.13587.89146.17263.93
Balance sheet total (assets)1 918.422 537.742 839.042 792.103 318.67

Equity and liabilities (kDKK)

20182019202020212022
Share capital150.00150.00150.00150.00150.00
Shares repurchased1 750.00
Retained earnings694.39660.081 002.811 380.06-1.56
Profit of the financial year84.13342.72377.25368.38130.55
Shareholders equity total928.521 152.811 530.061 898.442 028.99
Provisions23.46
Non-current deferred tax liabilities98.6167.4114.53
Non-current liabilities total98.6167.4114.53
Current trade creditors514.58550.41168.16253.55523.53
Current owed to participating12.50212.5012.5013.00222.59
Short-term deferred tax liabilities51.5130.5185.4198.6150.41
Other non-interest bearing current liabilities411.32591.52920.85461.10478.62
Current liabilities total989.901 384.941 186.91826.251 275.15
Balance sheet total (liabilities)1 918.422 537.742 839.042 792.103 318.67
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