MIDTFYNS BREMSE- OG KOBLINGSSERVICE ApS — Credit Rating and Financial Key Figures

CVR number: 87626512
Bakkevej 9, 5750 Ringe
tel: 62624901
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit2 977.842 926.252 983.642 986.243 019.04
Employee benefit expenses-2 629.05-2 693.92-2 419.20-2 396.93-2 304.13
Other operating expenses-1.00
Total depreciation-44.39-73.03-87.58-89.48-80.47
EBIT303.40159.30476.87499.83634.43
Other financial income33.0942.8131.07-2.06
Other financial expenses-70.61-84.53- 107.91- 108.90-69.27
Pre-tax profit265.88117.58400.03388.88565.17
Income taxes-58.91-26.21-88.29-85.74- 124.39
Net earnings206.9791.37311.74303.15440.78

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings0.01
Machinery and equipment161.04277.40309.18237.17156.69
Tangible assets total161.04277.40309.18237.17156.69
Investments total-0.00
Long term receivables total
Finished products/goods716.56742.22547.18489.62611.43
Inventories total716.56742.22547.18489.62611.43
Current trade debtors631.51542.75540.53587.05492.78
Current amounts owed by group member comp.2 053.43543.58817.901 132.251 338.41
Prepayments and accrued income5.2914.8786.76
Current other receivables162.87164.10188.99169.77147.08
Current deferred tax assets28.3717.8928.0627.4536.34
Short term receivables total2 876.181 273.621 575.481 931.382 101.37
Other current investments55.0030.0030.0030.0030.00
Cash and bank deposits17.1921.5528.642.88139.03
Cash and cash equivalents72.1951.5558.6332.88169.03
Balance sheet total (assets)3 825.972 344.782 490.472 691.053 038.52

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital200.00200.00200.00200.00200.00
Shares repurchased600.00
Retained earnings716.913.8895.25406.99110.13
Profit of the financial year206.9791.37311.74303.15440.78
Shareholders equity total1 123.88295.25606.99910.131 350.90
Provisions-0.00
Non-current loans from credit institutions431.81385.25349.77311.47252.47
Non-current owed to group member85.13133.28
Non-current deferred tax liabilities25.6815.7398.46
Non-current liabilities total457.49400.98448.22396.60385.75
Current loans from credit institutions145.48407.49193.7294.9933.10
Current trade creditors500.99365.24502.57447.69493.11
Current owed to group member1.0933.52
Short-term deferred tax liabilities88.0825.6815.7398.4685.13
Other non-interest bearing current liabilities1 510.05850.14722.15709.67690.54
Current liabilities total2 244.601 648.551 435.261 384.321 301.87
Balance sheet total (liabilities)3 825.972 344.782 490.472 691.053 038.52
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