Murermester & Tagmaler Kristian Roland ApS — Credit Rating and Financial Key Figures

CVR number: 36690461
Kanalvej 116, Birkelse 9440 Aabybro

Credit rating

Company information

Official name
Murermester & Tagmaler Kristian Roland ApS
Established
2015
Domicile
Birkelse
Company form
Private limited company
Industry
  • Expand more icon43Specialised construction activities

About Murermester & Tagmaler Kristian Roland ApS

Murermester & Tagmaler Kristian Roland ApS (CVR number: 36690461) is a company from JAMMERBUGT. The company recorded a gross profit of 848.8 kDKK in 2022. The operating profit was -544.4 kDKK, while net earnings were -646.1 kDKK. The profitability of the company measured by Return on Assets (ROA) was -40 %, which can be considered poor and Return on Equity (ROE) was -78.4 %, which can be considered poor. The equity ratio, a key indicator for solidity, stood at 46.4 %, a level that can be considered to be modest. This means a balanced mix of debt and equity financing its assets—a typical operational level for many companies. Murermester & Tagmaler Kristian Roland ApS's liquidity measured by quick ratio was 1.4 which is at a high level. Thus, the company is in a strong financial position, with liquid assets surpassing current liabilities. It is well-prepared to cover short-term financial obligations.

Financial information

See financials

Gross profit (kDKK)

EBIT (kDKK)

Profitability

Solidity

Key figures (kDKK)

See financials
2018
2019
2020
2021
2022
Volume
Net sales
Gross profit1 926.672 159.752 015.372 251.80848.80
EBIT634.37584.40106.93292.09- 544.40
Net earnings494.81341.2868.33215.69- 646.12
Shareholders equity total788.971 030.251 098.581 204.27443.75
Balance sheet total (assets)1 494.951 657.632 056.721 766.27955.47
Net debt- 991.73- 975.80-1 144.17- 521.40- 585.61
Profitability
EBIT-%
ROA51.4 %37.1 %5.8 %15.3 %-40.0 %
ROE88.8 %37.5 %6.4 %18.7 %-78.4 %
ROI113.9 %64.2 %10.0 %25.3 %-65.8 %
Economic value added (EVA)506.66471.5575.36240.76- 656.26
Solvency
Equity ratio52.8 %62.2 %53.4 %68.2 %46.4 %
Gearing
Relative net indebtedness %
Liquidity
Quick ratio1.92.11.82.81.4
Current ratio1.92.11.82.81.4
Cash and cash equivalents991.73975.801 144.17521.40585.61
Capital use efficiency
Trade debtors turnover (days)
Net working capital %
Credit risk
Credit ratingAABBBABB

Variable visualization

ROA:-40.0%
Rating: 0/100
-20%
0%
4%
11%
24%
60%
Graph showing the distribution of the variable
Equity ratio:46.4%
Rating: 38/100
-1%
21%
50%
81%
99%
100%
Graph showing the distribution of the variable

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