Saphe A/S — Credit Rating and Financial Key Figures

CVR number: 36704586
Gasværksvej 46, 9000 Aalborg
freddy@saphe.dk
tel: 42903311
www.saphe.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit20 642.3916 399.9323 613.1932 286.9261 422.45
Employee benefit expenses-16 603.88-18 912.91-23 360.28-26 895.43-31 683.20
Total depreciation-1 158.66- 378.47- 242.93- 263.08- 415.42
EBIT2 879.85-2 891.459.995 128.4029 323.83
Other financial income65.67317.8555.38190.42
Other financial expenses- 702.09- 173.46- 209.34- 656.11- 834.26
Pre-tax profit2 177.76-2 999.24118.504 527.6828 679.99
Income taxes- 111.30897.56-44.38-1 015.88-6 321.90
Net earnings2 066.46-2 101.6874.123 511.8022 358.09

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure148.5022.50209.03137.36
Intangible assets total148.5022.50209.03137.36
Machinery and equipment751.25403.98413.17943.321 430.08
Tangible assets total751.25403.98413.17943.321 430.08
Investments total855.54730.551 026.601 047.82647.05
Long term receivables total
Finished products/goods4 480.676 138.976 531.0810 424.313 450.60
Advance payments8 100.376 221.159 663.325 242.736 698.98
Inventories total12 581.0412 360.1216 194.4015 667.0410 149.58
Current trade debtors6 200.243 605.014 243.683 113.951 350.48
Prepayments and accrued income35.472 706.929 398.9911 803.1217 036.68
Current other receivables490.8215.46127.01214.30209.98
Current deferred tax assets236.091 133.651 407.323 381.593 787.53
Short term receivables total6 962.627 461.0415 177.0018 512.9522 384.67
Cash and bank deposits838.364 599.856 913.3615 643.8852 310.86
Cash and cash equivalents838.364 599.856 913.3615 643.8852 310.86
Balance sheet total (assets)22 137.3025 578.0439 724.5352 024.0387 059.61

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Shares repurchased1 800.003 450.00
Other reserves115.8317.55
Retained earnings9 309.0811 473.829 387.316 011.439 523.23
Profit of the financial year2 066.46-2 101.6874.123 511.8022 358.09
Shareholders equity total13 791.379 889.699 961.4313 473.2332 381.32
Non-current liabilities total
Current loans from credit institutions389.112 454.473 370.0450.0770.30
Advances received1 118.82
Current trade creditors1 096.992 215.411 924.761 093.582 630.29
Current owed to group member1 541.413 524.323 567.453 651.087 080.88
Short-term deferred tax liabilities127.74318.053 308.196 727.85
Other non-interest bearing current liabilities5 190.685 107.526 245.444 738.894 308.24
Accruals and deferred income2 386.6314 337.3525 708.9932 741.92
Current liabilities total8 345.9315 688.3529 763.0938 550.8054 678.29
Balance sheet total (liabilities)22 137.3025 578.0439 724.5352 024.0387 059.61
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