ROEQ ApS — Credit Rating and Financial Key Figures

CVR number: 38656872
Glasvænget 9, 5492 Vissenbjerg
info@roeq.dk
www.roeq.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit5 842.516 713.6217 921.5120 394.9222 611.40
Employee benefit expenses-4 866.30-8 435.71-14 548.96-18 286.71-17 548.85
Other operating expenses-90.00-15.20-28.53-4 729.48
Total depreciation-1 710.20-2 558.38-3 230.72-3 579.58-3 724.83
EBIT- 733.99-4 370.46126.63-1 499.89-3 391.76
Other financial income0.8449.8295.84
Other financial expenses- 272.66- 217.35- 544.09- 857.21-1 100.05
Pre-tax profit-1 005.81-4 538.00- 321.62-2 357.10-4 491.81
Income taxes346.251 100.8532.5073.07981.27
Net earnings- 659.55-3 437.16- 289.12-2 284.03-3 510.54

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure8 250.529 964.6812 054.7715 903.1519 158.41
Intangible assets total8 250.529 964.6812 054.7715 903.1519 158.41
Buildings27.17306.22250.50181.96113.42
Machinery and equipment180.56571.16801.951 043.46956.36
Tangible assets total207.73877.381 052.451 225.421 069.78
Holdings in group member companies6.566.566.566.56
Investments total57.00298.23298.23298.23298.23
Long term receivables total
Raw materials and consumables2 834.045 257.586 256.868 364.546 003.86
Advance payments240.12
Inventories total2 834.045 497.706 256.868 364.546 003.86
Current trade debtors2 722.683 125.025 823.674 555.218 632.99
Current amounts owed by group member comp.1 241.122 912.534 444.65
Current owed by particip. interest comp.1 042.46
Prepayments and accrued income23.7727.40473.09380.51471.83
Current other receivables852.391 223.93945.551 041.59875.56
Current deferred tax assets981.13881.48486.841 355.001 392.19
Short term receivables total4 579.987 541.4210 641.6711 776.9511 372.58
Cash and bank deposits1 964.47645.81187.761 058.40
Cash and cash equivalents1 964.47645.81187.761 058.40
Balance sheet total (assets)17 893.7524 179.4030 949.7937 756.0538 961.25

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital1 217.931 438.841 620.591 723.981 840.98
Other reserves6 435.417 770.119 402.7212 404.4514 696.48
Retained earnings3 686.305 471.376 219.866 825.636 387.87
Profit of the financial year- 659.55-3 437.16- 289.12-2 284.03-3 510.54
Shareholders equity total10 680.0811 243.1716 954.0518 670.0319 414.79
Provisions984.34854.971 219.312 501.232 912.16
Non-current loans from credit institutions3 000.396 151.065 753.157 611.53
Non-current liabilities total3 000.396 151.065 753.157 611.53
Current loans from credit institutions44.012 308.6950.475 724.392 493.96
Advances received292.32
Current trade creditors1 975.832 521.262 769.34938.462 116.64
Current owed to participating1 359.321 566.961 645.311 727.581 130.41
Current owed to group member426.15
Short-term deferred tax liabilities78.83
Other non-interest bearing current liabilities2 850.162 605.132 160.242 441.202 563.30
Current liabilities total6 229.339 080.876 625.3610 831.639 022.77
Balance sheet total (liabilities)17 893.7524 179.4030 949.7937 756.0538 961.25
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