Melius Husene Aps — Credit Rating and Financial Key Figures

CVR number: 41294035
Vanløsevej 24 A, Vanløse 4370 Store Merløse
lars@meliushusene.dk
tel: 92900080
https://meliushusene.dk

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales4 861.00
Purchases during the financial year- 227.08
External services- 815.10
Gross profit2 215.083 818.823 722.917 143.9915 238.86
Employee benefit expenses-1 960.97-3 732.13-3 987.69-6 473.38-14 023.48
Total depreciation-12.73-12.73-12.88-31.29-97.56
EBIT241.3773.96- 277.65639.321 117.81
Other financial income0.461.185.26
Other financial expenses-4.51-7.67-4.15-3.73-3.11
Pre-tax profit236.8666.29- 281.34636.771 119.96
Income taxes-52.56-14.582.57-81.72- 247.23
Net earnings184.3151.71- 278.77555.05872.73

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings20.9979.51151.34
Machinery and equipment72.1759.4354.93111.31378.14
Tangible assets total72.1759.4375.93190.82529.48
Investments total81.88114.58114.58158.57158.57
Long term receivables total
Inventories total
Current trade debtors73.7792.18
Current amounts owed by group member comp.18.0126.346.70
Prepayments and accrued income16.9316.9383.01175.26157.75
Current other receivables23.5526.4737.09
Short term receivables total16.9316.93124.58301.85293.72
Cash and bank deposits748.59508.74155.72769.621 313.30
Cash and cash equivalents748.59508.74155.72769.621 313.30
Balance sheet total (assets)919.55699.66470.801 420.862 295.08

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital40.0040.0040.0040.0040.00
Shares repurchased160.00170.00
Retained earnings184.31235.98- 202.79182.27
Profit of the financial year184.3151.71- 278.77555.05872.73
Shareholders equity total224.31276.01-2.79552.261 264.99
Provisions1.872.5751.2751.18
Non-current loans from credit institutions53.2037.4120.203.67
Non-current liabilities total53.2037.4120.203.67
Current loans from credit institutions15.5015.5016.5016.503.32
Advances received5.325.32
Current trade creditors58.2736.64101.09294.38200.98
Current owed to participating3.806.483.58
Current owed to group member42.56
Short-term deferred tax liabilities50.6913.8830.45247.32
Other non-interest bearing current liabilities515.73269.77326.68465.85523.71
Current liabilities total640.18383.67453.39813.65978.91
Balance sheet total (liabilities)919.55699.66470.801 420.862 295.08
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