SPORTS BACKUP A/S — Credit Rating and Financial Key Figures

CVR number: 41926619
Niels Bohrs Vej 34, Stilling 8660 Skanderborg
info@sportsbackup.dk
tel: 87476900
http://www.sportsbackup.dk/

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit11 294.6416 123.4712 503.468 771.5013 716.57
Employee benefit expenses-6 730.39-7 158.78-7 116.04-7 419.77-7 748.51
Total depreciation- 590.53- 624.71- 633.94- 482.62- 470.40
EBIT3 973.718 339.984 753.48869.115 497.67
Other financial income12.7072.54103.97115.16147.13
Other financial expenses- 923.44- 900.31-1 413.67-2 105.98-1 543.13
Pre-tax profit3 062.987 512.213 443.77-1 121.714 101.67
Income taxes- 768.94-1 742.03- 884.7794.76- 983.26
Net earnings2 294.045 770.182 559.00-1 026.963 118.41

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights372.11200.8352.7049.9934.95
Goodwill4 484.084 076.453 668.823 261.202 853.57
Intangible assets total4 856.194 277.283 721.523 311.192 888.51
Machinery and equipment91.00114.5359.4936.97
Tangible assets total91.00114.5359.4936.97
Investments total658.25658.25675.37748.79177.70
Long term receivables total
Finished products/goods9 960.8219 260.8034 188.8524 042.6010 715.64
Advance payments7 586.2914 114.963 689.812 017.967 278.67
Inventories total17 547.1033 375.7637 878.6626 060.5517 994.31
Current trade debtors3 389.944 033.653 576.662 973.923 120.73
Current amounts owed by group member comp.902.89634.531 327.03909.413 998.32
Prepayments and accrued income747.07229.85242.27744.08282.71
Current other receivables1 817.263 724.662 174.321 490.404 375.05
Current deferred tax assets12.9544.80183.26
Short term receivables total6 857.168 635.647 365.086 301.0711 776.81
Cash and bank deposits217.514 773.56324.471 100.582 395.49
Cash and cash equivalents217.514 773.56324.471 100.582 395.49
Balance sheet total (assets)30 227.2251 835.0350 024.5937 559.1635 232.82

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Other reserves- 154.55961.35- 230.40-53.08892.26
Retained earnings2 921.695 216.0310 986.2110 545.219 518.26
Profit of the financial year2 294.045 770.182 559.00-1 026.963 118.41
Shareholders equity total5 561.1912 447.5613 814.819 965.1814 028.92
Provisions53.6252.46
Capital loans2 500.00
Non-current other liabilities44.75348.68
Non-current liabilities total2 544.75348.68
Current loans from credit institutions12 963.4926 087.8133 298.6324 965.9416 799.75
Current trade creditors2 589.331 662.74431.17621.24566.64
Current owed to group member631.44880.99
Short-term deferred tax liabilities630.852 021.28601.231 148.70
Other non-interest bearing current liabilities5 884.008 635.521 878.751 125.802 629.04
Accruals and deferred income7.31
Current liabilities total22 067.6739 038.7936 209.7827 593.9821 151.44
Balance sheet total (liabilities)30 227.2251 835.0350 024.5937 559.1635 232.82
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