TEXSTYLE ApS — Credit Rating and Financial Key Figures

CVR number: 21791776
Hasserisvej 171, 9000 Aalborg
info@texstyle.dk
tel: 98131313
Texstyle.dk

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit3 500.055 096.471 054.722 598.532 775.70
Employee benefit expenses-3 306.91-7 268.52-2 365.54-1 866.46-2 615.97
Other operating expenses-75.88-5.03
Total depreciation-41.67- 400.00- 400.00- 400.00- 120.00
EBIT151.47-2 572.05-1 786.70327.0339.73
Other financial income0.10472.49193.81170.64
Other financial expenses- 276.10- 319.86-87.37- 154.02- 186.38
Pre-tax profit- 124.54-2 891.91-1 401.57366.8323.98
Income taxes8.89633.56308.23-84.24-10.03
Net earnings- 115.65-2 258.36-1 093.35282.5913.96

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Machinery and equipment2 458.332 058.331 658.331 258.33257.50
Tangible assets total2 458.332 058.331 658.331 258.33257.50
Investments total37.9537.9531.35
Non-current other receivables37.9537.95
Long term receivables total37.9537.95
Finished products/goods356.92270.461 106.47
Advance payments103.05
Inventories total459.97270.461 106.47
Current trade debtors817.391 420.37880.331 579.832 864.70
Prepayments and accrued income381.79202.7587.8654.7581.73
Current other receivables731.56928.62499.921 198.01
Current deferred tax assets102.87735.661 043.88959.64949.62
Short term receivables total2 033.623 287.392 512.003 792.233 896.04
Cash and bank deposits2 171.361 220.08471.87809.01960.01
Cash and cash equivalents2 171.361 220.08471.87809.01960.01
Balance sheet total (assets)7 161.236 874.234 680.155 897.536 251.37

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital125.00126.00126.00126.00126.00
Retained earnings316.03251.15-2 007.21-3 100.55-2 817.97
Profit of the financial year- 115.65-2 258.36-1 093.35282.5913.96
Shareholders equity total325.38-1 881.21-2 974.55-2 691.97-2 678.01
Non-current other liabilities39.1539.1539.1541.8414.54
Non-current liabilities total39.1539.1539.1541.8414.54
Current loans from credit institutions43.311 782.522 773.492 291.542 353.46
Advances received66.9862.96420.72388.55612.56
Current trade creditors2 998.724 830.073 619.173 743.475 694.70
Current owed to group member98.64105.01206.76209.63211.75
Other non-interest bearing current liabilities3 589.051 935.72595.421 914.4742.36
Current liabilities total6 796.708 716.287 615.558 547.668 914.83
Balance sheet total (liabilities)7 161.236 874.234 680.155 897.536 251.37
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