EFUMA ApS — Credit Rating and Financial Key Figures

CVR number: 35405437
Kirstinehøj 23 A, 2770 Kastrup
finance@efuma.com
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit19 102.0218 650.9911 486.061 934.927 849.97
Employee benefit expenses-11 519.33-11 974.32-10 599.99-7 497.69-6 953.98
Total depreciation-3 179.78-2 648.18-2 582.86-2 364.58-1 362.64
EBIT4 402.914 028.49-1 696.80-7 927.35- 466.65
Other financial income1 849.21724.392 983.55885.12866.49
Other financial expenses-1 320.39-1 925.99-2 322.00- 840.37- 363.31
Pre-tax profit4 931.732 826.89-1 035.25-7 882.6036.53
Income taxes-1 114.90- 633.18- 966.7338.95435.78
Net earnings3 816.832 193.72-2 001.98-7 843.65472.31

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure2 137.911 541.47
Intangible rights3 085.142 273.912 320.771 175.771 636.03
Intangible assets total5 223.053 815.382 320.771 175.771 636.03
Buildings264.01181.6499.2616.88
Machinery and equipment3 553.802 870.542 284.211 607.031 131.69
Tangible assets total3 817.813 052.182 383.471 623.911 131.69
Investments total976.70996.24996.24996.241 195.23
Non-current other receivables134.03
Long term receivables total134.03
Finished products/goods27 660.7120 916.3715 519.4212 868.927 715.43
Inventories total27 660.7120 916.3715 519.4212 868.927 715.43
Current trade debtors4 711.639 804.7512 398.193 342.323 363.68
Current amounts owed by group member comp.6 520.6511 510.8910 147.3610 292.3913 511.06
Prepayments and accrued income103.14581.352 839.163 739.662 707.41
Current other receivables1 136.991 910.48797.351 182.94709.79
Current deferred tax assets641.38362.62401.57837.35
Short term receivables total12 472.4124 448.8526 544.6918 958.8821 129.28
Cash and bank deposits458.00682.982 055.99277.58934.95
Cash and cash equivalents458.00682.982 055.99277.58934.95
Balance sheet total (assets)50 742.7153 911.9949 820.5735 901.2933 742.61

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital81.0081.0081.0081.0081.00
Shares repurchased12 900.00
Retained earnings31 913.1235 729.9537 923.6735 921.6915 178.05
Profit of the financial year3 816.832 193.72-2 001.98-7 843.65472.31
Shareholders equity total35 810.9538 004.6736 002.6928 159.0528 631.36
Non-current leasing loans3 033.152 492.561 930.851 346.89
Non-current owed to group member1 267.56304.5599.93
Non-current other liabilities173.69173.69247.75
Non-current deferred tax liabilities1 384.181 140.52687.96
Non-current liabilities total4 417.333 633.084 060.061 825.13347.68
Current loans from credit institutions4 529.482 022.842 724.661 945.601 396.44
Advances received1 009.57
Current trade creditors3 287.288 802.446 134.533 151.391 519.99
Current owed to participating160.7930.0030.0030.0030.00
Other non-interest bearing current liabilities2 536.881 418.95868.62790.12807.58
Current liabilities total10 514.4312 274.239 757.815 917.114 763.58
Balance sheet total (liabilities)50 742.7153 911.9949 820.5735 901.2933 742.61
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