PL Optik ApS — Credit Rating and Financial Key Figures

CVR number: 37926698
Sct Jørgens Park 38, 4700 Næstved

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit4 554.084 427.104 431.114 312.354 757.36
Employee benefit expenses-2 254.63-2 455.83-2 547.27-2 536.37-2 689.26
Other operating expenses-30.53
Total depreciation-94.53- 132.86- 104.25-93.50-70.59
EBIT2 204.921 838.411 779.591 651.941 997.51
Other financial income187.57200.63300.76345.6385.19
Other financial expenses- 239.16- 233.55- 346.94- 379.26- 148.32
Pre-tax profit2 153.331 805.491 733.411 618.311 934.38
Income taxes- 474.73- 397.28- 381.36- 356.63- 427.92
Net earnings1 678.611 408.211 352.051 261.681 506.45

Assets (kDKK)

2020
2021
2022
2023
2024
Goodwill28.3323.3318.3313.338.33
Intangible assets total28.3323.3318.3313.338.33
Buildings109.8179.5637.4327.5839.83
Machinery and equipment64.72203.58146.46134.7775.03
Tangible assets total174.52283.14183.89162.35114.86
Investments total79.9279.9279.9279.9279.92
Non-current loans receivable1.501.501.501.501.50
Long term receivables total1.501.501.501.501.50
Finished products/goods572.40631.73624.08638.07712.75
Inventories total572.40631.73624.08638.07712.75
Current trade debtors282.96404.23409.28553.50724.36
Current amounts owed by group member comp.5 381.736 257.367 818.121 599.331 927.25
Prepayments and accrued income36.6538.9538.8545.0838.14
Current other receivables184.89560.93133.55148.37118.55
Short term receivables total5 886.247 261.478 399.812 346.292 808.30
Cash and bank deposits343.8677.68106.0170.4515.19
Cash and cash equivalents343.8677.68106.0170.4515.19
Balance sheet total (assets)7 086.778 358.779 413.543 311.923 740.86

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Shares repurchased1 500.001 200.001 200.001 200.002 000.00
Retained earnings-1 377.35- 898.74- 690.53- 538.48-1 276.80
Profit of the financial year1 678.611 408.211 352.051 261.681 506.45
Shareholders equity total2 301.262 209.472 361.522 423.202 729.66
Provisions16.0019.0011.007.001.40
Non-current liabilities total
Current trade creditors178.28172.44124.41171.82
Current owed to participating6.186.186.186.186.18
Current owed to group member3 130.154 387.396 069.16
Short-term deferred tax liabilities474.73394.28389.36360.63433.52
Other non-interest bearing current liabilities1 158.461 164.17403.88390.50398.28
Current liabilities total4 769.516 130.307 041.02881.711 009.80
Balance sheet total (liabilities)7 086.778 358.779 413.543 311.923 740.86
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