EOS DANMARK A/S — Credit Rating and Financial Key Figures

CVR number: 32326684
True Møllevej 9 A, True 8381 Tilst
kontakt@eos-danmark.dk
tel: 70221020

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit13 379.7717 747.8522 530.2134 646.5133 456.45
Employee benefit expenses-6 744.28-7 319.85-7 998.86-11 166.54-11 533.93
EBIT6 635.4910 428.0014 531.3523 479.9721 922.52
Other financial income6.660.050.25
Other financial expenses- 860.71- 678.15-3 759.94-8 334.03-11 125.76
Pre-tax profit5 774.779 749.8510 778.0715 145.9910 797.00
Income taxes-1 270.73-2 145.40-2 369.90-3 330.95-2 378.49
Net earnings4 504.047 604.448 408.1711 815.048 418.51

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Tangible assets total
Investments total242.40243.71243.71265 699.33369.68
Non-current other receivables77 725.6085 654.96181 763.63267 267.56
Long term receivables total77 725.6085 654.96181 763.63267 267.56
Inventories total
Current trade debtors0.666.38
Current amounts owed by group member comp.2 500.14
Prepayments and accrued income176.02159.66157.63326.88
Current other receivables388.31619.08244.44202.22
Current deferred tax assets48.7450.2656.5555.41
Short term receivables total613.75835.382 958.76584.51
Cash and bank deposits4 783.515 181.831 250.391 636.122 153.28
Cash and cash equivalents4 783.515 181.831 250.391 636.122 153.28
Balance sheet total (assets)83 365.2591 915.87186 216.48267 335.44270 375.03

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital1 000.011 000.011 000.011 000.011 000.01
Shares repurchased3 056.377 604.4420 223.218 418.51
Retained earnings24 995.9621 895.5629 500.0024 684.9640 581.49
Profit of the financial year4 504.047 604.448 408.1711 815.048 418.51
Shareholders equity total33 556.3838 104.4538 908.1757 723.2158 418.52
Provisions33 204.32110 092.54
Non-current owed to group member29 165.5433 204.32110 092.54155 610.64149 396.90
Non-current liabilities total29 165.5433 204.32110 092.54155 610.64149 396.90
Current loans from credit institutions16 180.0014 297.8031 403.63
Current owed to group member104.961 022.07173.4543 057.4957 445.95
Short-term deferred tax liabilities926.702 146.922 376.203 316.822 391.49
Other non-interest bearing current liabilities3 431.683 140.323 262.507 627.282 722.16
Current liabilities total20 643.3320 607.1037 215.7754 001.5962 559.60
Balance sheet total (liabilities)83 365.25125 120.19296 309.03267 335.44270 375.03
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