MORNING ApS — Credit Rating and Financial Key Figures

CVR number: 31628377
Trangravsvej 3 C, 1436 København K

Income statement (mDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales518.91666.09841.87821.601 047.04
Other operating income1.394.032.59
Purchases during the financial year- 316.64- 424.95- 530.55- 489.73- 635.84
External services-27.97-36.22-57.08-61.86-72.88
Gross profit174.30204.91255.64274.04340.91
Employee benefit expenses- 140.70- 167.91- 201.92- 216.38- 264.86
Other operating expenses-0.42
Total depreciation-18.13-15.13-17.44-19.83-25.46
EBIT15.4721.8736.2837.8350.16
Other financial income0.070.210.201.520.81
Other financial expenses-0.75-1.35-1.18-1.38-2.80
Reduction non-current investment assets-1.00-3.49
Income from other inv. held as non-curr. assets0.050.340.890.190.21
Exchange rate differences3.94
Net income from associates (fin.)2.231.613.165.191.41
Pre-tax profit21.0222.6838.3543.3546.30
Income taxes-4.18-5.50-8.00-8.80-11.15
Net earnings16.8417.1730.3534.5635.15

Assets (mDKK)

2020
2021
2022
2023
2024
Intangible rights0.890.510.971.553.27
Goodwill4.44
Intangible assets total0.890.510.971.557.71
Land and waters25.5125.1236.2263.4970.95
Buildings6.840.381.27
Machinery and equipment33.8642.1849.9363.6863.09
Tangible assets total66.2267.3086.14127.55135.31
Participating interests11.7812.8913.6118.8020.86
Investments total11.7812.9513.6518.8520.95
Non-curr. owed by particip. interest comp.0.750.550.350.15
Non-current loans receivable1.986.723.053.0321.02
Non-current other receivables0.017.239.4311.69
Long term receivables total2.757.2710.6312.6132.72
Raw materials and consumables5.573.843.334.998.00
Inventories total5.573.843.334.998.00
Current trade debtors120.18149.44174.90171.10199.60
Current owed by particip. interest comp.1.00
Prepayments and accrued income2.704.955.197.3313.20
Current other receivables12.3038.1531.4034.4454.73
Current deferred tax assets9.224.301.164.963.95
Short term receivables total144.40196.84213.65217.83271.48
Cash and bank deposits23.9826.0537.6251.4725.14
Cash and cash equivalents23.9826.0537.6251.4725.14
Balance sheet total (assets)255.59314.77366.00434.85501.31

Equity and liabilities (mDKK)

2020
2021
2022
2023
2024
Share capital0.130.130.130.130.13
Asset revaluation reserve0.770.260.260.26
Shares repurchased0.701.001.505.0015.00
Other reserves5.255.863.7113.2114.62
Retained earnings36.2749.2059.9069.1380.68
Profit of the financial year16.8417.1730.3534.5635.15
Minority interest (BS)7.659.6515.2019.8223.24
Shareholders equity total67.6183.26111.04142.09168.82
Provisions16.2821.1828.8629.8625.82
Non-current loans from credit institutions3.332.222.031.8311.45
Non-current leasing loans15.6519.4521.5625.4924.72
Non-current deferred tax liabilities14.901.897.7517.757.27
Non-current liabilities total33.8823.5631.3445.0843.45
Current loans from credit institutions7.109.5011.6914.6214.45
Advances received7.40
Current trade creditors73.9386.2182.9482.75107.84
Short-term deferred tax liabilities7.471.110.097.7520.32
Other non-interest bearing current liabilities29.4628.4938.2238.6546.93
Accruals and deferred income19.8661.4761.8274.0566.28
Current liabilities total137.82186.77194.76217.82263.23
Balance sheet total (liabilities)255.59314.77366.00434.85501.31
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