Lampas A/S — Credit Rating and Financial Key Figures

CVR number: 41969393
Platinvej 43, 6000 Kolding

Income statement (kDKK)

2021
2022
2023
2024
Fiscal period length12121212
Net sales
Gross profit4 863.173 557.812 886.783 682.08
Employee benefit expenses-3 819.96-4 072.33-3 970.88-4 326.38
Other operating expenses- 116.37-28.10
Total depreciation- 605.92- 988.19-1 376.95- 799.88
EBIT320.91-1 530.81-2 461.05-1 444.18
Other financial income23.550.226.6715.15
Other financial expenses- 234.69- 266.56- 347.19- 412.41
Pre-tax profit109.78-1 797.15-2 801.57-1 841.43
Income taxes15.73455.54676.57467.88
Net earnings125.51-1 341.62-2 125.00-1 373.55

Assets (kDKK)

2021
2022
2023
2024
Development expenditure2 826.223 407.002 315.792 084.11
Intangible rights118.4059.20
Intangible assets total2 944.633 466.202 315.792 084.11
Buildings51.6938.7725.84343.11
Machinery and equipment217.33111.555.782.89
Tangible assets total269.02150.3231.62346.00
Investments total285.00
Long term receivables total
Semifinished products418.9010.26219.39272.87
Raw materials and consumables4 833.765 206.865 219.754 729.52
Inventories total5 252.665 217.125 439.145 002.38
Current trade debtors1 000.90550.28381.801 274.05
Current amounts owed by group member comp.460.3671.46
Prepayments and accrued income48.9757.8033.364.65
Current other receivables52.820.31
Current deferred tax assets66.73458.39622.72591.44
Short term receivables total1 169.421 066.461 498.541 941.59
Cash and bank deposits185.45831.281 406.05539.67
Cash and cash equivalents185.45831.281 406.05539.67
Balance sheet total (assets)9 821.1810 731.3910 691.1410 198.75

Equity and liabilities (kDKK)

2021
2022
2023
2024
Share capital400.00400.00400.00400.00
Other reserves1 208.541 988.761 441.181 443.68
Retained earnings-1 208.54-1 863.25-2 657.292 312.20
Profit of the financial year125.51-1 341.62-2 125.00-1 373.55
Shareholders equity total525.51- 816.11-2 941.112 782.34
Provisions131.0087.08
Non-current owed to group member6 853.25
Non-current liabilities total6 853.25
Advances received77.66
Current trade creditors861.20884.841 203.611 011.61
Current owed to group member7 838.8210 040.265 145.965 714.73
Other non-interest bearing current liabilities464.65535.32429.44612.42
Current liabilities total9 164.6711 460.426 779.007 416.41
Balance sheet total (liabilities)9 821.1810 731.3910 691.1410 198.75
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