HANS ALF GALLERY ApS — Credit Rating and Financial Key Figures

CVR number: 32829104
Holbergsgade 8, 1057 København K
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit2 149.605 445.754 875.714 671.254 183.71
Employee benefit expenses-1 575.28-1 757.90-1 723.41-2 128.22-2 318.54
Total depreciation- 117.13- 116.82- 268.94- 450.77- 388.51
EBIT457.193 571.032 883.362 092.271 476.66
Other financial income20.8358.7352.6520.8827.43
Other financial expenses-40.80-88.38-54.78-91.37-77.94
Pre-tax profit437.223 541.382 881.232 021.781 426.15
Income taxes- 119.94- 815.06- 682.28- 504.54- 370.98
Net earnings317.282 726.322 198.951 517.231 055.16

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights2 000.002 000.001 900.001 800.001 700.00
Intangible assets total2 000.002 000.001 900.001 800.001 700.00
Machinery and equipment277.88317.881 187.601 045.30756.79
Tangible assets total277.88317.881 187.601 045.30756.79
Investments total145.61147.77152.76217.42218.15
Long term receivables total
Finished products/goods277.29274.061 064.541 064.541 029.28
Advance payments82.25
Inventories total277.29274.061 064.541 146.781 029.28
Current trade debtors1 887.461 238.33437.201 826.012 211.07
Current amounts owed by group member comp.1 183.321 565.88104.6959.92
Prepayments and accrued income226.40103.9568.4452.7245.31
Current other receivables790.03609.44632.47538.07569.09
Short term receivables total4 087.213 517.621 138.112 521.472 885.39
Cash and bank deposits2 148.298 962.483 071.883 863.551 938.78
Cash and cash equivalents2 148.298 962.483 071.883 863.551 938.78
Balance sheet total (assets)8 936.2815 219.808 514.8910 594.538 528.39

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital276.68276.68276.68276.68276.68
Shares repurchased260.00736.843 840.001 000.00900.00
Other reserves-3 000.00
Retained earnings1 398.46978.90- 134.771 064.181 681.41
Profit of the financial year317.282 726.322 198.951 517.231 055.16
Shareholders equity total2 252.434 718.753 180.863 858.093 913.26
Provisions7.6340.8754.2758.7241.11
Non-current loans from credit institutions946.80907.30869.52838.61769.39
Non-current other liabilities58.38
Non-current liabilities total1 005.17907.30869.52838.61769.39
Current loans from credit institutions38.7539.6340.7548.9887.66
Current trade creditors2 977.615 425.562 315.324 642.912 540.03
Current owed to group member991.2528.85
Short-term deferred tax liabilities117.22781.81668.89500.09388.59
Other non-interest bearing current liabilities2 537.483 305.88394.03647.12759.50
Current liabilities total5 671.059 552.884 410.245 839.103 804.64
Balance sheet total (liabilities)8 936.2815 219.808 514.8910 594.538 528.39
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