GSG Handyman DK A/S — Credit Rating and Financial Key Figures

CVR number: 27047599
Ny Carlsberg Vej 80, 1799 København V
tel: 70224547

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit12 187.7713 049.9811 430.583 323.981 138.98
Employee benefit expenses-6 911.13-7 392.13-7 101.59-5 133.51-5 472.05
Total depreciation-60.92-69.44-42.40-28.43-21.49
EBIT5 215.725 588.414 286.59-1 837.96-4 354.56
Other financial income286.1342.5014.7838.6215.51
Other financial expenses- 264.79- 131.66-32.77-40.29-23.52
Pre-tax profit5 237.065 499.264 268.60-1 839.62-4 362.57
Income taxes944.11- 940.75-1 603.35
Net earnings5 237.066 443.363 327.85-3 442.98-4 362.57

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Machinery and equipment139.5571.7369.0426.3311.33
Tangible assets total139.5571.7369.0426.3311.33
Investments total149.15222.86238.2992.1662.16
Long term receivables total
Finished products/goods266.77232.86230.07
Inventories total266.77232.86230.07
Current trade debtors6 807.342 776.605 207.123 402.391 755.59
Current amounts owed by group member comp.11 249.8211 733.3914 952.6315 138.526 174.32
Prepayments and accrued income62.52104.43106.7287.4096.50
Current deferred tax assets1 600.002 544.111 603.35
Short term receivables total19 719.6817 158.5321 869.8218 628.328 026.41
Cash and bank deposits6.414.513.65140.04
Cash and cash equivalents6.414.513.65140.04
Balance sheet total (assets)20 275.1617 692.3922 411.7418 750.468 239.95

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Shares repurchased3 327.85
Retained earnings251.025 488.088 603.6011 465.898 022.91
Profit of the financial year5 237.066 443.363 327.85-3 442.98-4 362.57
Shareholders equity total5 988.0812 431.4415 759.298 522.914 160.34
Provisions4 628.74
Non-current other liabilities769.79701.50
Non-current deferred tax liabilities700.65547.21564.17
Non-current liabilities total769.79701.50700.65547.21564.17
Current trade creditors268.96236.82855.17835.50
Current owed to group member408.6618.59127.265 316.48194.07
Other non-interest bearing current liabilities5 150.701 056.30-3 305.681 059.33582.73
Accruals and deferred income7 957.923 215.604 264.662 449.361 903.13
Current liabilities total13 517.284 559.461 323.069 680.343 515.44
Balance sheet total (liabilities)20 275.1617 692.3922 411.7418 750.468 239.95
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