CHILDHOOD SUPPLY ApS — Credit Rating and Financial Key Figures

CVR number: 32365159
Unsgaardsgade 8, 5000 Odense C
hej@childhoodsupply.com

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit3 295.604 599.533 990.764 961.953 037.95
Employee benefit expenses-2 456.81-2 970.59-2 955.08-3 257.36-2 070.97
Other operating expenses-68.93
Total depreciation-55.91-29.14-27.40-66.08-43.99
EBIT782.881 599.80939.341 638.52922.99
Other financial income9.668.3716.437.0712.02
Other financial expenses-56.08-58.11- 105.01- 395.05- 308.94
Net income from associates (fin.)8.52- 546.26- 600.11
Pre-tax profit736.461 558.58304.51650.43626.07
Income taxes- 164.12- 342.51- 195.44- 276.49- 137.27
Net earnings572.341 216.07109.07373.94488.81

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Machinery and equipment89.2660.1232.72170.89126.89
Tangible assets total89.2660.1232.72170.89126.89
Holdings in group member companies48.52
Investments total48.52
Deferred tax assets6.156.117.316.988.45
Long term receivables total6.156.117.316.988.45
Finished products/goods7 269.777 481.0112 388.1211 031.1111 477.70
Inventories total7 269.777 481.0112 388.1211 031.1111 477.70
Current trade debtors1 224.872 401.981 373.561 033.711 755.14
Current amounts owed by group member comp.108.951 113.921 449.67446.15251.81
Prepayments and accrued income177.56214.94175.267.007.00
Current other receivables232.36132.35303.05580.99600.53
Short term receivables total1 743.743 863.203 301.542 067.852 614.48
Cash and bank deposits1 062.48807.06960.571 561.561 830.33
Cash and cash equivalents1 062.48807.06960.571 561.561 830.33
Balance sheet total (assets)10 171.4012 266.0216 690.2514 838.3816 057.85

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital125.00125.00125.00125.00125.00
Other reserves8.52
Retained earnings4 104.364 668.185 892.776 001.846 375.78
Profit of the financial year572.341 216.07109.07373.94488.81
Shareholders equity total4 801.706 017.776 126.846 500.786 989.58
Non-current other liabilities112.50
Non-current liabilities total112.50
Current loans from credit institutions15.8224.182 877.184 078.982 150.49
Current trade creditors3 493.764 548.857 336.893 742.456 676.10
Current owed to participating1.182.752.1735.6960.44
Short-term deferred tax liabilities167.79342.47196.64276.17138.73
Other non-interest bearing current liabilities785.80922.46146.62204.3142.50
Accruals and deferred income792.84407.533.92
Current liabilities total5 257.196 248.2510 563.408 337.609 068.27
Balance sheet total (liabilities)10 171.4012 266.0216 690.2514 838.3816 057.85
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