SKOLE/BEHANDLINGSTILBUDDET YDERBYSKOLEN ApS — Credit Rating and Financial Key Figures

CVR number: 26924065
Yderbygade 5, Yderby 4583 Sjællands Odde
tel: 59327058
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit5 555.025 961.418 112.346 211.633 748.33
Employee benefit expenses-4 542.34-5 346.30-7 089.01-6 791.87-4 334.54
Other operating expenses-14.30-0.78-1.54
Total depreciation- 389.21- 398.30- 510.84- 463.69- 467.37
EBIT609.17217.59514.03-1 043.93-1 053.58
Other financial income36.0317.8028.7629.9911.54
Other financial expenses-13.57-19.41-18.77-5.53-15.87
Pre-tax profit631.63215.98524.02-1 019.48-1 057.91
Income taxes- 160.53-47.69- 117.11223.4491.97
Net earnings471.10168.29406.91- 796.04- 965.95

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings52.0440.0328.0216.01
Machinery and equipment2 269.142 402.212 192.911 836.231 419.64
Tangible assets total2 269.142 454.242 232.951 864.251 435.65
Investments total142.65142.65142.65142.65142.65
Long term receivables total
Inventories total
Current trade debtors638.20557.321 126.14
Current amounts owed by group member comp.963.25845.001 320.50663.89480.03
Prepayments and accrued income93.4699.12117.96135.42120.48
Current other receivables323.00218.4872.34151.03
Current deferred tax assets138.22123.26
Short term receivables total2 017.911 719.922 636.951 088.57723.78
Cash and bank deposits846.49803.981 056.54271.00784.24
Cash and cash equivalents846.49803.981 056.54271.00784.24
Balance sheet total (assets)5 276.205 120.806 069.083 366.463 086.31

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital250.00250.00250.00250.00250.00
Shares repurchased200.00200.00400.00
Retained earnings1 950.612 221.711 990.002 396.901 600.86
Profit of the financial year471.10168.29406.91- 796.04- 965.95
Shareholders equity total2 871.712 840.003 046.911 850.86884.91
Provisions144.74175.18167.5282.30113.60
Non-current loans from credit institutions315.50270.75225.83180.86
Non-current owed to group member884.99
Non-current other liabilities0.470.47
Non-current liabilities total0.47315.97270.75225.831 065.85
Current loans from credit institutions43.3444.4045.0045.00
Advances received1 268.601 064.882 049.27575.82595.06
Current trade creditors416.30404.36255.53162.17154.15
Current owed to participating58.5249.0761.1533.00
Current owed to group member228.80197.18
Short-term deferred tax liabilities131.1417.26124.77
Other non-interest bearing current liabilities384.71210.7448.78162.6830.56
Current liabilities total2 259.281 789.662 583.911 207.471 021.95
Balance sheet total (liabilities)5 276.205 120.806 069.083 366.463 086.31
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