MANIS-H 2013 A/S — Credit Rating and Financial Key Figures

CVR number: 35033602
Tønballevej 13, Glud 7130 Juelsminde
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit3 843.283 368.22-1 746.10360.13- 135.82
Employee benefit expenses-2 551.34-3 165.42-2 834.38-3 366.98- 960.81
Total depreciation- 284.26- 296.95- 352.76- 384.56- 154.40
EBIT1 007.68-94.14-4 933.24-3 391.42-1 251.04
Other financial income3.520.044 900.71
Other financial expenses- 308.42- 354.93- 571.95- 841.74- 324.83
Pre-tax profit702.78- 449.07-5 505.18-4 233.123 324.84
Income taxes- 154.7898.541 211.14930.95-1 876.55
Net earnings548.00- 350.53-4 294.04-3 302.171 448.29

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure397.84507.70580.75375.25326.34
Intangible assets total397.84507.70580.75375.25326.34
Land and waters4 420.754 434.957 500.007 392.567 335.68
Buildings172.65129.7085.4353.2344.41
Machinery and equipment99.88151.08108.36293.94254.15
Tangible assets total4 693.284 715.737 693.797 739.737 634.24
Investments total
Long term receivables total
Semifinished products2 206.712 964.742 162.532 307.161 313.04
Raw materials and consumables1 509.411 642.421 150.23363.51345.53
Finished products/goods1 426.211 526.39883.311 019.081 265.00
Inventories total5 142.346 133.554 196.063 689.752 923.57
Current trade debtors1 920.221 981.921 038.00621.26402.85
Prepayments and accrued income172.28158.589.5521.0515.62
Current other receivables120.1668.33107.77102.6042.00
Current deferred tax assets315.06413.60945.611 876.55
Short term receivables total2 527.722 622.432 100.922 621.47460.47
Cash and bank deposits134.16141.22156.9784.8091.52
Cash and cash equivalents134.16141.22156.9784.8091.52
Balance sheet total (assets)12 895.3314 120.6214 728.5014 511.0011 436.14

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital2 500.002 500.002 500.002 501.002 501.00
Asset revaluation reserve2 407.842 407.842 407.84
Other reserves310.31396.01452.99292.70254.55
Retained earnings- 919.87- 457.57- 865.08-1 499.83-4 763.85
Profit of the financial year548.00- 350.53-4 294.04-3 302.171 448.29
Shareholders equity total2 438.442 087.91201.71399.541 847.83
Non-current loans from credit institutions3 982.713 793.663 615.343 496.563 411.68
Non-current owed to group member400.00400.004 411.734 825.00325.00
Non-current other liabilities19.50
Non-current deferred tax liabilities19.506.0053.6953.69
Non-current liabilities total4 402.214 213.168 033.078 375.243 790.36
Current loans from credit institutions4 247.315 365.634 425.474 134.964 643.55
Current trade creditors1 188.202 135.781 734.491 350.401 060.50
Current owed to participating62.50114.38115.00
Other non-interest bearing current liabilities619.17255.64219.38135.8693.90
Current liabilities total6 054.677 819.556 493.725 736.225 797.95
Balance sheet total (liabilities)12 895.3314 120.6214 728.5014 511.0011 436.14
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