MOTOR-DEPOTET A/S — Credit Rating and Financial Key Figures

CVR number: 10945445
Hasselager Allé 1, 8260 Viby J
tel: 86282400

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit21 858.0022 611.0020 178.1316 403.4915 340.58
Employee benefit expenses-19 781.28-19 145.54-16 597.90
Total depreciation- 187.44- 288.83- 178.97
EBIT234.001 222.00209.40-3 030.88-1 436.30
Other financial income434.17321.80386.78
Other financial expenses- 500.30- 731.48- 893.11
Pre-tax profit396.002 339.00143.28-3 440.56-1 942.63
Income taxes-38.03755.00- 591.41
Net earnings396.002 339.00105.25-2 685.56-2 534.04

Assets (kDKK)

2020
2021
2022
2023
2024
Goodwill530.36
Intangible assets total530.36
Buildings292.60340.84425.01
Machinery and equipment100.64205.38166.54
Tangible assets total393.23546.22591.56
Investments total70 189.0044 513.00
Non-curr. owed by group member comp.1 800.001 800.001 800.00
Long term receivables total1 800.001 800.001 800.00
Finished products/goods27 240.0226 914.4218 102.11
Inventories total27 240.0226 914.4218 102.11
Current trade debtors2 358.862 010.552 738.98
Current amounts owed by group member comp.5 856.924 523.306 659.95
Prepayments and accrued income568.29677.62277.44
Current other receivables452.20478.581 130.33
Current deferred tax assets39.00795.2880.81
Short term receivables total9 275.278 485.3310 887.52
Other current investments188.19198.78199.47
Cash and bank deposits27.1310.0746.75
Cash and cash equivalents215.33208.85246.22
Balance sheet total (assets)70 189.0044 513.0038 923.8537 954.8232 157.76

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital25 427.0015 414.00500.00500.00500.00
Retained earnings- 396.00-2 339.0014 638.7914 744.0312 058.47
Profit of the financial year396.002 339.00105.25-2 685.56-2 534.04
Shareholders equity total25 427.0015 414.0015 244.0312 558.4710 024.44
Provisions-63.00
Non-current deferred tax liabilities1 995.672 065.522 129.55
Non-current liabilities total1 995.672 065.522 129.55
Current loans from credit institutions5 274.436 170.249 004.44
Advances received425.50131.59138.18
Current trade creditors5 941.676 738.374 918.13
Current owed to group member288.241 030.00150.00
Short-term deferred tax liabilities10.45
Other non-interest bearing current liabilities9 743.859 260.635 793.03
Current liabilities total21 684.1423 330.8320 003.78
Balance sheet total (liabilities)25 427.0015 414.0038 860.8537 954.8232 157.76
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