Aabenraa tv-hvidevare ApS — Credit Rating and Financial Key Figures

CVR number: 30555066
Langrode 21, 6200 Aabenraa
indehaver.aabenraa@euronics.dk
tel: 23330060
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit1 422.821 303.621 445.181 303.281 439.31
Employee benefit expenses- 611.33- 903.83- 738.02- 530.01- 643.92
Other operating expenses-3.00-3.58
Total depreciation-28.22-56.32-37.00-37.00-99.00
EBIT783.27340.48666.59736.27696.39
Other financial income1.081.0125.34
Other financial expenses-21.48-22.60-22.71-22.88-33.37
Pre-tax profit761.79317.88644.96714.40688.36
Income taxes- 169.11-65.52- 141.89- 167.06- 152.27
Net earnings592.68252.36503.07547.33536.08

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings93.3674.04
Machinery and equipment25.00333.00296.00384.00285.00
Tangible assets total118.36407.04296.00384.00285.00
Investments total160.55160.55160.55160.55160.55
Non-current loans receivable85.0085.0085.0085.0085.00
Long term receivables total85.0085.0085.0085.0085.00
Finished products/goods1 703.431 852.601 521.961 461.431 527.16
Inventories total1 703.431 852.601 521.961 461.431 527.16
Current trade debtors202.86174.03228.91266.11234.55
Prepayments and accrued income31.25
Current other receivables14.45190.0313.729.742.22
Short term receivables total217.31364.06242.62275.85268.02
Cash and bank deposits1 475.771 273.901 831.512 009.342 712.45
Cash and cash equivalents1 475.771 273.901 831.512 009.342 712.45
Balance sheet total (assets)3 760.434 143.164 137.654 376.175 038.18

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital125.00125.00125.00125.00125.00
Shares repurchased250.00500.00500.00500.00
Retained earnings1 614.131 956.811 709.171 712.251 759.58
Profit of the financial year592.68252.36503.07547.33536.08
Shareholders equity total2 331.812 584.172 837.242 884.582 920.66
Provisions5.9412.1531.5623.01
Non-current other liabilities23.2523.60
Non-current liabilities total23.2523.60
Current loans from credit institutions11.85
Current trade creditors456.57662.14354.45406.63549.35
Current owed to participating230.41230.75230.75268.39174.20
Current owed to group member38.20162.80674.10
Short-term deferred tax liabilities169.1159.58135.67147.66160.82
Other non-interest bearing current liabilities549.27576.99517.32474.55536.04
Current liabilities total1 405.371 529.451 288.241 460.042 094.51
Balance sheet total (liabilities)3 760.434 143.164 137.644 376.175 038.18
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