MADS CHRISTENSEN ApS — Credit Rating and Financial Key Figures

CVR number: 34701261
Højmarksvej 32, Kragelund 8723 Løsning
mads@aalemink.dk
tel: 25481825
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit76.7516.1622.52- 281.5374.07
Employee benefit expenses- 110.98-53.86- 178.19-6.77-0.81
Total depreciation-5.94-24.44-28.81-33.44-44.95
EBIT-40.17-62.14- 184.47- 321.7328.31
Other financial income300.52227.98113.7255.4769.20
Other financial expenses-11.33-31.21- 129.67- 285.88- 584.18
Net income from associates (fin.)-9.62-55.48740.63-44.44123.45
Pre-tax profit239.4079.15540.20- 596.59- 363.22
Income taxes-0.6724.3530.03116.79- 170.72
Net earnings238.72103.50570.23- 479.80- 533.94

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters803.111 416.211 399.281 382.364 384.15
Machinery and equipment48.5136.6324.7512.87
Tangible assets total803.111 464.721 435.911 407.114 397.02
Holdings in group member companies87.5247.02
Participating interests90.3834.90728.01724.07894.53
Investments total90.3834.90815.52771.08894.53
Long term receivables total
Inventories total
Current owed by particip. interest comp.1 155.20750.64702.41695.68820.37
Current other receivables34.6928.4713.4150.35
Current deferred tax assets23.9065.93172.72
Short term receivables total1 189.89803.02781.75918.75820.37
Cash and bank deposits32.0120.33388.7414.1966.27
Cash and cash equivalents32.0120.33388.7414.1966.27
Balance sheet total (assets)2 115.392 322.963 421.913 111.136 178.19

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital80.0080.0080.0080.0080.00
Other reserves740.63606.08729.53
Retained earnings849.951 088.67451.551 156.32553.07
Profit of the financial year238.72103.50570.23- 479.80- 533.94
Shareholders equity total1 168.671 272.171 842.401 362.60828.66
Provisions0.45
Non-current other liabilities44.1044.1044.1044.10108.00
Non-current liabilities total44.1044.1044.1044.10108.00
Advances received7.73
Current trade creditors18.0018.0018.0018.0018.00
Current owed to participating1.3465.7396.6896.13334.85
Current owed to group member75.56
Other non-interest bearing current liabilities882.83922.961 420.731 514.744 880.96
Current liabilities total902.161 006.691 535.411 704.435 241.53
Balance sheet total (liabilities)2 115.392 322.963 421.913 111.136 178.19
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