PS Restaurant Holding ApS — Credit Rating and Financial Key Figures

CVR number: 37252638
Pilestræde 10, 1112 København K
psrh@sovino.dk
tel: 33121345
www.gallerik.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit284.432 265.901 975.271 992.051 983.72
Employee benefit expenses- 420.01-2 454.68-1 940.09-1 922.01-2 012.55
EBIT- 135.58- 188.7835.1870.05-28.83
Other financial income380.72206.66305.13828.96540.23
Other financial expenses- 323.88-27.72- 686.25-2 387.03-2 660.38
Net income from associates (fin.)5 800.00-1 700.254 230.007 450.005 130.00
Pre-tax profit5 721.26-1 710.093 884.065 961.982 981.02
Income taxes29.5555.5269.66320.21474.06
Net earnings5 750.81-1 654.573 953.726 282.193 455.08

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Tangible assets total
Holdings in group member companies7 721.3516 453.1022 453.1027 843.1027 843.10
Investments total7 823.3516 565.7122 567.4927 961.2027 963.31
Long term receivables total
Inventories total
Current trade debtors165.423.50
Current amounts owed by group member comp.1 842.118 638.428 562.2812 240.6914 042.54
Prepayments and accrued income5.79
Current other receivables124.21
Current deferred tax assets52.00119.63361.23562.91
Short term receivables total2 131.758 690.428 687.7012 605.4314 605.44
Cash and bank deposits0.0911.1020.961.9019.59
Cash and cash equivalents0.0911.1020.961.9019.59
Balance sheet total (assets)9 955.1925 267.2231 276.1540 568.5342 588.34

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital50.0050.0050.0050.0050.00
Shares repurchased8 110.006 280.003 460.00
Other reserves-4 160.00
Retained earnings64.505 815.31-3 949.27-6 275.55-3 453.36
Profit of the financial year5 750.81-1 654.573 953.726 282.193 455.08
Shareholders equity total5 865.314 210.734 004.456 336.643 511.73
Non-current other liabilities212.87
Non-current deferred tax liabilities202.2970.9676.01
Non-current liabilities total212.87202.2970.9676.01
Current trade creditors75.7667.6133.5048.9364.11
Current owed to participating2 120.781 770.781 869.332 334.923 206.55
Current owed to group member0.0017 569.1524 118.5831 082.8735 296.74
Other non-interest bearing current liabilities912.341 436.061 047.99694.21433.21
Accruals and deferred income981.00
Current liabilities total4 089.8820 843.6127 069.4034 160.9339 000.61
Balance sheet total (liabilities)9 955.1925 267.2231 276.1540 568.5342 588.34
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