Precision Global ApS — Credit Rating and Financial Key Figures

CVR number: 38717723
Hellebarden 6 B, 9230 Svenstrup J
info@ptdefence.com
tel: 70605111
www.ptdefence.com

Income statement (kDKK)

2021
2022
2023
2024
Fiscal period length12121212
Net sales
Gross profit15 705.9753 506.7462 125.3958 318.72
Employee benefit expenses-13 671.27-20 524.46-31 125.13-33 675.13
Other operating expenses-4.59- 282.61
Total depreciation- 861.35-1 207.95-1 649.64-3 381.59
EBIT1 173.3531 769.7329 068.0221 262.00
Other financial income1 389.757 100.225 352.41711.03
Other financial expenses-1 024.00-4 071.77-8 674.78-5 768.84
Pre-tax profit1 539.1034 798.1825 745.6416 204.19
Income taxes-1 188.50-7 514.32-6 061.86-3 672.33
Net earnings350.5927 283.8619 683.7812 531.86

Assets (kDKK)

2021
2022
2023
2024
Development expenditure4 792.225 017.685 272.264 617.63
Intangible rights133.871 159.29
Goodwill1 272.76954.57636.38318.19
Intangible assets total6 064.985 972.256 042.516 095.11
Land and waters2 694.82
Buildings451.04545.97393.503 783.27
Machinery and equipment898.071 299.482 334.413 716.76
Advance payments and construction in progress951.65
Tangible assets total4 995.591 845.442 727.917 500.03
Investments total212.96718.70850.936 460.80
Long term receivables total
Other stocks7 029.70
Finished products/goods4 418.326 975.1410 931.4814 388.49
Advance payments8 265.9060 416.0913 348.695 501.53
Inventories total12 684.2274 420.9324 280.1719 890.02
Current trade debtors14 922.8035 647.3924 151.8178 466.68
Prepayments and accrued income1 228.601 511.042 392.612 564.31
Current other receivables611.66470.97645.121 214.95
Current deferred tax assets842.14539.522 990.121 266.23
Short term receivables total17 605.2038 168.9230 179.6683 512.17
Cash and bank deposits6 202.7569 513.9718 980.605 472.22
Cash and cash equivalents6 202.7569 513.9718 980.605 472.22
Balance sheet total (assets)47 765.68190 640.2183 061.77128 930.36

Equity and liabilities (kDKK)

2021
2022
2023
2024
Share capital50.0050.0050.0050.00
Shares repurchased19 000.0010 000.005 600.00
Other reserves32.42-4 005.6283.20299.02
Retained earnings11 754.03-6 895.3810 388.4824 472.26
Profit of the financial year350.5927 283.8619 683.7812 531.86
Shareholders equity total12 187.0435 432.8640 205.4642 953.15
Provisions1 103.001 345.941 735.281 807.34
Non-current leasing loans92.94568.86557.33
Non-current deferred tax liabilities517.09484.55331.181 103.92
Non-current liabilities total610.03484.55900.041 661.25
Current loans from credit institutions13 777.5289 070.35262.0025 882.50
Advances received8 988.251 355.764 319.907 771.32
Current trade creditors3 654.8138 061.9015 664.6517 724.00
Current owed to participating1 213.843 237.9413 278.4617 625.82
Short-term deferred tax liabilities410.257 064.312 181.991 392.16
Other non-interest bearing current liabilities5 820.9414 586.604 513.9912 112.81
Current liabilities total33 865.61153 376.8640 221.0082 508.61
Balance sheet total (liabilities)47 765.68190 640.2183 061.77128 930.36
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