KAMERAHUSET ApS — Credit Rating and Financial Key Figures

CVR number: 28843925
Frederikssundsvej 17, 2400 København NV
antoinette@kamerahuset.dk
tel: 35838250

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit5 715.317 790.686 452.446 929.976 502.90
Employee benefit expenses-2 728.91-3 686.59-2 736.83-2 464.24-2 725.07
Total depreciation-59.14-60.74-62.01-14.67-14.67
EBIT2 927.264 043.353 653.604 451.063 763.16
Other financial income499.79347.11152.101 175.421 418.90
Other financial expenses-1 353.28- 189.56-1 031.70- 101.75- 497.07
Pre-tax profit2 073.764 200.902 774.015 524.724 684.99
Income taxes- 456.49- 925.58- 615.04-1 218.68-1 040.21
Net earnings1 617.283 275.322 158.974 306.043 644.78

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters1 225.391 210.731 196.061 181.391 166.72
Machinery and equipment93.4247.34
Tangible assets total1 318.811 258.071 196.061 181.391 166.72
Other non-current investments-0.00
Investments total
Non-current loans receivable174.739 129.078 408.289 181.6810 227.64
Long term receivables total174.739 129.078 408.289 181.6810 227.64
Finished products/goods4 743.775 352.555 741.565 258.725 108.25
Inventories total4 743.775 352.555 741.565 258.725 108.25
Current trade debtors1 213.261 116.631 150.061 292.141 189.42
Current amounts owed by group member comp.440.00
Current other receivables755.995 051.95338.33130.17196.55
Current deferred tax assets206.49
Short term receivables total1 969.256 168.581 694.881 862.321 385.97
Other current investments1 143.411 548.815 711.74458.95
Cash and bank deposits23 899.449 841.519 448.1415 934.7212 279.69
Cash and cash equivalents25 042.8511 390.3215 159.8816 393.6612 279.69
Balance sheet total (assets)33 249.4133 298.5732 200.6633 877.7730 168.27

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital125.00125.00125.00125.00125.00
Shares repurchased1 200.003 000.002 000.0018 000.00
Retained earnings23 249.9021 867.1723 142.507 301.4711 607.51
Profit of the financial year1 617.283 275.322 158.974 306.043 644.78
Shareholders equity total26 192.1728 267.4927 426.4729 732.5115 377.28
Provisions59.0624.0425.5636.2846.10
Non-current liabilities total
Advances received16.44
Current trade creditors5 899.293 666.874 286.402 169.901 297.33
Current owed to group member11 153.98
Short-term deferred tax liabilities87.26382.61547.951 030.39
Other non-interest bearing current liabilities1 011.62957.56462.241 374.681 263.17
Current liabilities total6 998.185 007.044 748.644 108.9814 744.88
Balance sheet total (liabilities)33 249.4133 298.5732 200.6633 877.7730 168.27
Try the full version of our system for free
Bankruptcy risk visualization example

... and more!

No registration needed.