Sølager Strand Camping ApS — Credit Rating and Financial Key Figures

CVR number: 40694129
Kulhusvej 2 B, 3390 Hundested
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit1 240.531 294.451 548.161 304.241 623.71
Employee benefit expenses- 504.94- 821.31- 823.36- 927.00- 992.95
Total depreciation- 140.70- 166.56- 202.77- 221.82- 221.89
EBIT594.89306.59522.03155.43408.87
Other financial income0.140.022.72
Other financial expenses- 170.03- 166.80- 161.88- 228.58- 240.65
Pre-tax profit424.99139.79360.28-73.13170.94
Income taxes-49.11-32.79-81.3711.93-40.25
Net earnings375.88107.00278.91-61.20130.69

Assets (kDKK)

2020
2021
2022
2023
2024
Goodwill89.2971.4353.5735.7117.86
Intangible assets total89.2971.4353.5735.7117.86
Land and waters5 499.815 677.415 557.195 436.985 316.76
Machinery and equipment195.85262.52653.01569.27569.42
Advance payments and construction in progress57.73
Other tangible assets0.000.000.000.00
Tangible assets total5 695.675 939.936 210.216 063.985 886.18
Investments total1.001.0015.00
Long term receivables total
Raw materials and consumables18.94
Inventories total18.94
Current trade debtors79.7863.4022.5027.604.55
Current amounts owed by group member comp.6.3210.7810.5424.5740.40
Prepayments and accrued income13.2813.7943.6719.7020.11
Current other receivables45.9758.0820.2719.17
Current deferred tax assets120.81160.99
Short term receivables total145.34146.0496.99192.68245.21
Cash and bank deposits46.6976.70140.1839.7587.36
Cash and cash equivalents46.6976.70140.1839.7587.36
Balance sheet total (assets)5 977.986 235.106 500.956 332.126 270.56

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital40.0040.0040.0040.0040.00
Retained earnings-44.56331.32438.3296.7535.55
Profit of the financial year375.88107.00278.91-61.20130.69
Shareholders equity total371.32478.32757.2475.55206.24
Provisions39.1664.5475.3562.7354.53
Non-current loans from credit institutions2 745.202 502.642 293.522 140.081 963.39
Non-current owed to group member2 169.722 323.012 399.582 283.362 350.71
Non-current other liabilities-0.00
Non-current liabilities total4 914.934 825.644 693.104 423.454 314.10
Current loans from credit institutions248.90252.73214.56186.38194.98
Advances received177.25443.21443.86442.60383.64
Current trade creditors113.2720.03104.3488.6966.59
Short-term deferred tax liabilities10.257.7373.663.5652.46
Other non-interest bearing current liabilities102.90142.89138.841 049.16998.01
Current liabilities total652.57866.60975.261 770.391 695.68
Balance sheet total (liabilities)5 977.986 235.106 500.956 332.126 270.56
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