KM Vandskæring ApS — Credit Rating and Financial Key Figures

CVR number: 39122146
Kystvejen 52 A, 9400 Nørresundby
kontakt@kmvand.dk
tel: 21755050
kmvand.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit6 597.7014 514.7616 334.2820 642.6725 791.54
Employee benefit expenses-5 072.97-8 290.79-11 901.29-13 503.52-16 154.22
Total depreciation-1 782.56-2 030.60-2 219.73-3 178.98-3 497.84
EBIT- 257.834 193.372 213.273 960.166 139.47
Other financial income11.613.62
Other financial expenses- 610.83- 879.58-1 163.67-1 796.26-1 562.83
Pre-tax profit- 868.663 325.401 049.602 163.914 580.26
Income taxes186.03- 734.57- 239.99- 481.93-1 014.04
Net earnings- 682.632 590.83809.611 681.983 566.22

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights33.07103.0657.6722.49
Intangible assets total33.07103.0657.6722.49
Buildings1 079.471 118.171 509.751 332.541 101.13
Machinery and equipment13 665.7113 611.0919 929.5824 109.8225 237.59
Tangible assets total14 745.1914 729.2521 439.3325 442.3626 338.72
Investments total363.88907.83750.13750.13750.13
Long term receivables total
Semifinished products204.82132.93
Raw materials and consumables3 072.235 963.605 388.994 136.055 898.15
Inventories total3 277.056 096.535 388.994 136.055 898.15
Current trade debtors3 829.976 115.017 656.916 379.868 441.43
Prepayments and accrued income97.44205.351 303.68488.75299.27
Current other receivables133.1920.590.750.75
Current deferred tax assets0.550.010.01
Short term receivables total4 060.606 320.368 981.746 869.378 741.47
Cash and bank deposits3.73
Cash and cash equivalents3.73
Balance sheet total (assets)22 479.7928 157.0436 617.8537 224.1341 728.47

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital50.0050.0050.0050.0050.00
Shares repurchased150.00150.00150.00150.00
Retained earnings1 165.80333.172 774.003 433.614 965.59
Profit of the financial year- 682.632 590.83809.611 681.983 566.22
Shareholders equity total533.173 124.003 783.615 315.598 731.81
Provisions82.62484.27724.811 206.751 889.90
Non-current loans from credit institutions3 333.993 023.395 815.584 674.363 652.40
Non-current leasing loans9 788.498 871.5212 350.0513 568.7711 901.97
Non-current other liabilities396.30131.03
Non-current deferred tax liabilities92.90330.90
Non-current liabilities total13 518.7712 025.9418 258.5318 243.1315 885.27
Current loans from credit institutions3 347.803 910.555 017.825 032.456 818.42
Current trade creditors3 881.436 203.215 889.674 188.496 650.80
Current owed to participating71.48184.29218.2192.33
Current owed to group member56.6552.61476.52235.52272.49
Short-term deferred tax liabilities332.92
Other non-interest bearing current liabilities1 059.351 952.072 282.592 783.981 387.45
Current liabilities total8 345.2312 522.8313 850.8912 458.6715 221.50
Balance sheet total (liabilities)22 479.7928 157.0436 617.8537 224.1341 728.47
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