Ossiform ApS — Credit Rating and Financial Key Figures

CVR number: 38838512
Oslogade 1, 5000 Odense C
tel: 53600670
particle3d.com

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit-1 652.50-3 915.54-6 121.17-7 728.74-5 798.85
Employee benefit expenses-2 668.30-3 880.52-6 525.40-8 025.44-7 630.02
Other operating expenses-34.95
Total depreciation-2.17- 415.40- 927.31-1 414.46-1 408.15
EBIT-4 322.97-8 211.46-13 573.87-17 168.65-14 871.97
Other financial income0.151.0925.4281.23162.30
Other financial expenses-44.77-14.52- 214.40-27.72-12.39
Pre-tax profit-4 367.59-8 224.88-13 762.85-17 115.14-14 722.06
Income taxes254.09839.402 023.272 084.292 022.64
Net earnings-4 113.50-7 385.48-11 739.58-15 030.85-12 699.43

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights939.76867.47
Intangible assets total939.76867.47
Buildings201.192 073.104 634.783 879.182 360.86
Advance payments and construction in progress1 432.761 288.66
Tangible assets total1 633.953 361.764 634.783 879.182 360.86
Investments total104.83100.11100.11100.11100.11
Long term receivables total
Inventories total
Current amounts owed by group member comp.15.65176.3663.3665.88
Prepayments and accrued income187.74220.88344.15520.36283.77
Current other receivables5 359.325 510.47502.00511.80526.88
Current deferred tax assets254.091 093.492 280.832 084.292 022.64
Short term receivables total5 816.807 001.203 126.993 179.822 899.16
Cash and bank deposits4 474.74225.442 413.7111 261.9714 099.90
Cash and cash equivalents4 474.74225.442 413.7111 261.9714 099.90
Balance sheet total (assets)12 030.3210 688.5010 275.5919 360.8420 327.50

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital100.00110.00110.00130.00137.50
Retained earnings15 373.9317 250.439 864.9532 105.3729 817.02
Profit of the financial year-4 113.50-7 385.48-11 739.58-15 030.85-12 699.43
Shareholders equity total11 360.439 974.95-1 764.6317 204.5217 255.09
Non-current liabilities total
Current trade creditors241.69358.372 033.291 715.452 704.52
Current owed to group member9 843.01
Other non-interest bearing current liabilities428.20355.18163.92440.86367.89
Current liabilities total669.89713.5512 040.222 156.323 072.41
Balance sheet total (liabilities)12 030.3210 688.5010 275.5919 360.8420 327.50
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