KAUL ApS — Credit Rating and Financial Key Figures

CVR number: 36505281
Sædding Strandvej 255 A, 6710 Esbjerg V
martinkaul@gmail.com
tel: 40551082

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit1 028.793 217.461 346.892 471.191 286.48
Employee benefit expenses-1 052.70- 795.31-1 061.50-1 383.37-1 216.21
Other operating expenses-1 800.00
Total depreciation- 644.99- 641.00- 639.00-1 044.11- 795.86
EBIT- 668.90-18.85- 353.6243.70- 725.59
Other financial income1.63
Other financial expenses- 211.68- 228.53- 265.97- 369.13- 436.92
Reduction non-current investment assets- 122.13- 107.50
Pre-tax profit- 878.95- 369.51- 727.08
Income taxes192.0080.10159.8071.10191.10
Profit/loss from discontinued operations- 325.42-1 162.51
Net earnings- 686.95- 289.41- 567.28- 254.32- 971.41

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights1 906.881 474.381 041.88609.38176.88
Intangible assets total1 906.881 474.381 041.88609.38176.88
Buildings4 983.954 801.744 621.514 441.304 261.07
Machinery and equipment91.9765.6939.4113.14
Tangible assets total5 075.924 867.434 660.934 454.434 261.07
Investments total
Non-current loans receivable7.097.097.097.098.09
Long term receivables total7.097.097.097.098.09
Inventories total
Current trade debtors158.07
Current other receivables122.13
Short term receivables total122.13158.07
Balance sheet total (assets)7 112.026 348.895 709.905 070.904 604.12

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital50.0050.0050.0050.0050.00
Retained earnings380.16- 306.80- 596.21-1 163.49-1 417.81
Profit of the financial year- 686.95- 289.41- 567.28- 254.32- 971.41
Shareholders equity total- 256.80- 546.21-1 113.49-1 367.81-2 339.22
Provisions502.10422.00262.20191.10
Non-current loans from credit institutions4 029.823 456.494 244.333 701.163 129.61
Non-current liabilities total4 029.823 456.494 244.333 701.163 129.61
Current loans from credit institutions2 005.412 080.931 536.241 513.532 846.04
Current trade creditors37.2880.3297.6365.02105.90
Current owed to group member327.04392.32439.24464.22490.14
Other non-interest bearing current liabilities467.16463.04243.75503.69371.66
Current liabilities total2 836.893 016.612 316.862 546.463 813.74
Balance sheet total (liabilities)7 112.026 348.895 709.905 070.904 604.12
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