MASKINCENTRUM A/S — Credit Rating and Financial Key Figures

CVR number: 36488204
Smedegade 3, 7490 Aulum
ccs@sogl.dk
tel: 40684420
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit7 189.127 749.808 575.409 567.4910 154.59
Employee benefit expenses-6 347.11-6 963.65-7 592.56-8 049.43-8 168.93
Total depreciation- 151.98- 168.06- 170.93- 172.01- 148.44
EBIT690.03618.09811.911 346.051 837.22
Other financial income21.8617.3550.2144.2134.25
Other financial expenses- 354.41- 439.40- 486.07-1 317.19-1 536.21
Pre-tax profit357.49196.04376.0673.07335.26
Income taxes-78.68-43.77-82.99-17.03-74.25
Net earnings278.81152.27293.0756.04261.01

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Machinery and equipment592.69469.39484.29510.97387.54
Tangible assets total592.69469.39484.29510.97387.54
Investments total0.000.00
Long term receivables total
Raw materials and consumables3 312.343 865.715 249.126 744.166 408.18
Finished products/goods21 128.4915 508.8519 301.7233 016.4730 884.29
Inventories total24 440.8319 374.5524 550.8439 760.6337 292.47
Current trade debtors6 722.273 964.289 357.336 228.965 979.14
Current amounts owed by group member comp.138.09200.52181.4253.29
Current other receivables229.34150.72163.06409.98621.29
Short term receivables total7 089.704 315.519 701.826 638.946 653.72
Cash and bank deposits25.6915.4610.7210.7412.65
Cash and cash equivalents25.6915.4610.7210.7412.65
Balance sheet total (assets)32 148.9124 174.9134 747.6746 921.2944 346.38

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital2 000.002 000.002 000.002 000.002 000.00
Retained earnings2 505.892 784.702 936.973 230.043 286.07
Profit of the financial year278.81152.27293.0756.04261.01
Shareholders equity total4 784.704 936.975 230.045 286.085 547.09
Provisions36.3525.3517.4512.816.43
Non-current other liabilities629.03636.11649.47672.20693.04
Non-current liabilities total629.03636.11649.47672.20693.04
Current loans from credit institutions16 031.4212 116.969 542.8119 484.5319 809.56
Advances received108.5941.67
Current trade creditors8 118.374 380.3716 196.2518 338.0215 289.05
Current owed to participating335.93
Current owed to group member213.91640.73
Short-term deferred tax liabilities83.0654.7790.9021.6780.63
Other non-interest bearing current liabilities2 130.052 024.382 912.172 850.412 279.87
Current liabilities total26 698.8218 576.4828 850.7140 950.2038 099.82
Balance sheet total (liabilities)32 148.9124 174.9134 747.6646 921.2944 346.38
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