Nailster A/S — Credit Rating and Financial Key Figures

CVR number: 38788493
Nydamsvej 2 A, 8362 Hørning
christian@codefort.com
www.pearlwax.eu

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit3 936.727 420.5513 502.4822 606.5820 699.86
Employee benefit expenses-2 736.99-4 522.95-9 439.58-12 420.46-14 270.79
Other operating expenses- 389.01
Total depreciation- 225.62- 747.67-1 586.16-2 445.47-2 797.89
EBIT974.122 149.932 476.747 740.653 242.17
Other financial income0.1140.83122.77
Other financial expenses-27.37- 119.84- 741.45-1 728.69-1 214.16
Reduction non-current investment assets- 427.28
Pre-tax profit946.862 030.091 735.305 625.512 150.78
Income taxes- 210.76- 461.86- 437.52-1 262.11- 478.64
Net earnings736.101 568.231 297.784 363.401 672.14

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure804.442 784.853 095.501 937.17607.01
Intangible assets total804.442 784.853 095.501 937.17607.01
Buildings93.18
Machinery and equipment114.88365.44798.742 196.832 477.19
Tangible assets total208.06365.44798.742 196.832 477.19
Investments total252.00
Non-current other receivables208.20344.30496.51496.51
Long term receivables total208.20344.30496.51496.51
Finished products/goods5 646.706 327.2113 735.9211 147.538 308.41
Advance payments378.412 710.953 206.163 416.94
Inventories total5 646.706 705.6216 446.8714 353.6911 725.35
Current trade debtors203.09625.998 131.4812 603.257 199.05
Current amounts owed by group member comp.37.69268.95253.131 839.282 258.59
Prepayments and accrued income74.80566.74458.58
Current other receivables108.75157.03827.44530.89371.98
Short term receivables total349.531 051.979 286.8415 540.1610 288.21
Cash and bank deposits1 091.68600.543 942.163 284.374 114.77
Cash and cash equivalents1 091.68600.543 942.163 284.374 114.77
Balance sheet total (assets)8 352.4111 716.6333 914.4137 808.7329 709.04

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital0.0040.0040.0040.00400.00
Shares repurchased600.001 000.00
Other reserves667.462 172.182 414.491 459.03429.37
Retained earnings- 324.10-1 132.72193.211 794.485 835.41
Profit of the financial year736.101 568.231 297.784 363.401 672.14
Shareholders equity total1 079.462 647.693 945.478 256.919 336.91
Provisions199.72635.00710.00302.9711.99
Non-current liabilities total
Current loans from credit institutions0.245 658.1310 807.465 977.73
Current trade creditors464.961 632.8910 115.534 599.785 242.46
Current owed to participating2.21
Current owed to group member350.26342.84264.43
Short-term deferred tax liabilities177.5826.58362.521 678.49769.63
Other non-interest bearing current liabilities6 428.476 423.9712 779.9211 898.708 370.32
Current liabilities total7 073.228 433.9429 258.9429 248.8520 360.14
Balance sheet total (liabilities)8 352.4111 716.6333 914.4137 808.7329 709.04
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