FLOWCON IVC A/S — Credit Rating and Financial Key Figures

CVR number: 36430060
Trafikcenter Alle 17, 4200 Slagelse
tel: 69152500
www.flowconivc.com

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit2 672.814 455.134 260.035 008.045 319.11
Employee benefit expenses-1 865.30-2 239.04-2 822.06-3 156.04-4 186.97
Total depreciation-33.16-30.80-35.67-43.79
EBIT774.352 185.291 402.301 808.221 132.14
Other financial income435.03599.192 345.871 393.851 738.29
Other financial expenses- 726.61- 654.34-2 311.10-2 295.12-2 111.75
Pre-tax profit482.772 130.141 437.08906.95758.69
Income taxes206.17- 468.62- 316.22- 199.52- 167.46
Net earnings688.941 661.521 120.86707.42591.23

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Machinery and equipment89.2558.4543.79
Tangible assets total89.2558.4543.79
Investments total
Long term receivables total
Finished products/goods9 575.3211 293.2413 648.7512 254.9411 781.09
Inventories total9 575.3211 293.2413 648.7512 254.9411 781.09
Current trade debtors2 955.378 832.047 540.367 506.8210 084.79
Current amounts owed by group member comp.687.87697.03652.33653.06603.23
Prepayments and accrued income41.0617.2323.5525.5632.12
Current other receivables14.6615.8017.7113.572.68
Current deferred tax assets209.234.016.4912.092.00
Short term receivables total3 908.209 566.118 240.448 211.1010 724.82
Cash and bank deposits16.32593.3710.74561.80645.82
Cash and cash equivalents16.32593.3710.74561.80645.82
Balance sheet total (assets)13 589.0921 511.1721 943.7221 027.8523 151.73

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Retained earnings-3 939.32-3 250.39-1 588.86- 468.01239.41
Profit of the financial year688.941 661.521 120.86707.42591.23
Shareholders equity total-2 750.39-1 088.8632.00739.421 330.64
Capital loans3 850.003 850.003 850.002 850.003 850.00
Non-current other liabilities189.43906.18
Non-current deferred tax liabilities286.65
Non-current liabilities total4 039.434 756.184 136.652 850.003 850.00
Current loans from credit institutions9 869.949 960.5211 934.3213 342.8511 657.06
Current trade creditors2 088.087 256.075 122.353 087.734 966.08
Current owed to group member119.53404.25780.51
Short-term deferred tax liabilities263.41318.69205.13157.37
Other non-interest bearing current liabilities342.02363.86280.18398.47410.07
Current liabilities total12 300.0417 843.8617 775.0717 438.4317 971.09
Balance sheet total (liabilities)13 589.0921 511.1721 943.7221 027.8523 151.73
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