NORR11 International ApS — Credit Rating and Financial Key Figures

CVR number: 40596860
Østergade 17, 1100 København K

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit6 462.9510 630.0413 125.9915 595.5215 785.15
Employee benefit expenses-6 311.92-7 326.45-10 707.75-12 320.23-17 256.28
Total depreciation-1 375.95-1 498.99-1 651.39-2 057.99-2 519.96
EBIT-1 224.921 804.61766.851 217.30-3 991.09
Other financial income142.4826.02165.54278.87558.44
Other financial expenses- 279.47- 485.59- 538.09- 405.38- 348.33
Pre-tax profit-1 361.911 345.03394.301 090.78-3 780.99
Income taxes299.00- 302.00- 105.00- 288.00871.00
Net earnings-1 062.911 043.03289.30802.78-2 909.99

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights200.32159.2166.19833.101 137.81
Goodwill12 139.3410 790.539 441.718 092.906 744.08
Intangible assets total12 339.6710 949.749 507.908 926.007 881.89
Buildings9.64306.55332.49447.20625.28
Machinery and equipment60.55181.00647.11695.09399.74
Tangible assets total70.19487.54979.601 142.291 025.02
Investments total205.80227.64634.54673.26718.13
Long term receivables total
Finished products/goods4 473.996 344.3511 064.577 032.7611 644.12
Advance payments288.24518.18
Inventories total4 473.996 344.3511 064.577 321.0012 162.30
Current trade debtors1 191.463 825.705 376.496 342.517 071.67
Current amounts owed by group member comp.3 111.723 296.291 432.90254.01674.88
Current owed by particip. interest comp.44.4595.87163.6390.3262.77
Prepayments and accrued income57.00552.60531.21
Current other receivables6.1535.98194.7588.77535.87
Current deferred tax assets297.00473.00
Short term receivables total4 650.787 253.857 224.787 328.219 349.39
Cash and bank deposits1 982.703 008.371 836.648 086.645 001.68
Cash and cash equivalents1 982.703 008.371 836.648 086.645 001.68
Balance sheet total (assets)23 723.1328 271.4931 248.0433 477.4036 138.40

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital40.0041.0041.0041.0041.00
Retained earnings-13.9315 494.9016 537.9316 827.2217 630.01
Profit of the financial year-1 062.911 043.03289.30802.78-2 909.99
Shareholders equity total-1 036.8416 578.9316 868.2217 671.0114 761.02
Provisions5.00110.00398.00
Non-current deferred tax liabilities285.24250.09189.9341.70
Non-current liabilities total285.24250.09189.9341.70
Current loans from credit institutions339.51872.45
Advances received2 793.715 402.265 944.926 193.986 967.45
Current trade creditors2 488.863 198.723 865.614 475.166 470.72
Current owed to participating1 620.491 701.51
Current owed to group member16 572.74255.552 121.712 570.655 442.73
Other non-interest bearing current liabilities998.94879.431 808.122 126.911 624.03
Current liabilities total24 474.7411 437.4714 079.8915 366.6921 377.38
Balance sheet total (liabilities)23 723.1328 271.4931 248.0433 477.4036 138.40
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