Tandlæge Magda Aniko-Wlodarczyk ApS — Credit Rating and Financial Key Figures

CVR number: 37859761
Svendborgvej 89, Hjallese 5260 Odense S

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit3 422.143 684.603 480.635 084.765 684.36
Employee benefit expenses-4 335.92-4 308.26-3 511.00-4 585.13-4 495.84
Total depreciation- 306.49- 329.07- 452.57- 375.41- 382.22
EBIT-1 220.27- 952.73- 482.94124.21806.29
Other financial income3.674.530.06346.39
Other financial expenses- 237.71- 285.47- 341.55- 593.08- 650.51
Reduction non-current investment assets-50.00-11.00-25.00
Net income from associates (fin.)0.03
Pre-tax profit-1 504.31-1 244.67- 849.50- 468.78502.17
Income taxes319.33268.95178.8597.05- 111.47
Net earnings-1 184.98- 975.72- 670.65- 371.73390.70

Assets (kDKK)

2020
2021
2022
2023
2024
Goodwill1 597.491 380.281 413.961 317.461 073.33
Intangible assets total1 597.491 380.281 413.961 317.461 073.33
Machinery and equipment767.12779.05679.19565.82449.03
Tangible assets total767.12779.05679.19565.82449.03
Investments total82.9286.0988.1895.5681.39
Long term receivables total
Raw materials and consumables47.4015.151.6524.7630.51
Inventories total47.4015.151.6524.7630.51
Current trade debtors217.32152.0968.9097.05162.33
Prepayments and accrued income2.9858.689.68
Current other receivables25.4125.4757.44409.541.12
Current deferred tax assets547.21816.17995.021 092.07980.60
Short term receivables total792.93993.731 180.041 598.661 153.73
Cash and bank deposits8.559.325.167.3314.60
Cash and cash equivalents8.559.325.167.3314.60
Balance sheet total (assets)3 296.413 263.623 368.193 609.582 802.58

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital55.0055.0055.0055.0055.00
Retained earnings- 813.34-1 998.32-2 974.04-3 644.69-4 016.42
Profit of the financial year-1 184.98- 975.72- 670.65- 371.73390.70
Shareholders equity total-1 943.32-2 919.05-3 589.69-3 961.42-3 570.72
Non-current other liabilities3 923.304 689.03
Non-current deferred tax liabilities4 888.955 645.315 214.78
Non-current liabilities total3 923.304 689.034 888.955 645.315 214.78
Current loans from credit institutions119.29191.94312.39478.69703.75
Current trade creditors431.17318.29946.55929.11193.69
Current owed to group member6.536.5312.5312.50
Other non-interest bearing current liabilities759.45976.87797.46505.39261.08
Current liabilities total1 316.441 493.632 068.931 925.691 158.52
Balance sheet total (liabilities)3 296.413 263.623 368.193 609.582 802.58
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