Mårslet Byvej 18 ApS — Credit Rating and Financial Key Figures

CVR number: 84787515
Mårslet Byvej 18, 8320 Mårslet
tel: 23996927

Income statement (kDKK)

2019
2020
2021
2022
2023
Fiscal period length1212121212
Net sales
Gross profit9 700.3112 327.039 914.168 518.674 563.71
Costs of management-3 513.28-3 554.79-3 305.46-2 814.37-1 435.79
Costs of distribution-5 709.45-6 734.69-6 181.07-7 216.04-3 209.63
EBIT477.572 037.55427.63-1 511.74-81.71
Other financial income89.41118.7782.7344.0723.51
Other financial expenses- 616.59- 643.82- 574.11- 672.96- 336.12
Pre-tax profit-49.621 512.50-63.76-2 140.62- 394.33
Income taxes10.09- 337.8612.98229.53326.34
Net earnings-39.521 174.64-50.78-1 911.09-67.99

Assets (kDKK)

2019
2020
2021
2022
2023
Intangible assets total
Land and waters1 670.241 670.241 670.241 670.241 670.24
Machinery and equipment1 307.61880.63941.99786.53126.48
Tangible assets total2 977.852 550.872 612.232 456.771 796.72
Investments total
Non-current other receivables142.60205.50216.00135.50142.50
Long term receivables total142.60205.50216.00135.50142.50
Raw materials and consumables5 241.006 059.286 648.365 718.155 921.32
Advance payments251.84647.48149.7754.59
Inventories total5 492.846 706.766 798.135 772.745 921.32
Current trade debtors4 799.355 399.555 186.555 043.584 377.26
Current amounts owed by group member comp.2.9514.0314.39
Prepayments and accrued income23.2132.3379.7140.97108.61
Current other receivables640.710.11
Current deferred tax assets3.52326.34
Short term receivables total5 466.795 434.835 266.265 098.584 826.71
Other current investments33.2420.0222.8734.2131.94
Cash and bank deposits3 057.48841.2926.877.635.81
Cash and cash equivalents3 090.71861.3249.7441.8437.75
Balance sheet total (assets)17 170.8015 759.2814 942.3613 505.4312 725.00

Equity and liabilities (kDKK)

2019
2020
2021
2022
2023
Share capital178.00178.00178.00178.00178.00
Retained earnings3 464.283 424.754 599.394 548.612 637.52
Profit of the financial year-39.521 174.64-50.78-1 911.09-67.99
Shareholders equity total3 602.754 777.394 726.612 815.522 747.53
Provisions97.84242.50229.53
Non-current loans from credit institutions1 778.341 685.121 590.391 495.661 445.43
Non-current other liabilities698.31644.02
Non-current deferred tax liabilities664.95688.22688.22
Non-current liabilities total2 476.652 329.142 255.342 183.892 133.65
Current loans from credit institutions91.7493.22857.271 682.57876.64
Current trade creditors1 807.211 664.531 873.731 735.861 583.79
Current owed to participating4 359.723 442.073 609.573 674.60
Current owed to group member0.20
Short-term deferred tax liabilities193.20
Other non-interest bearing current liabilities9 094.612 099.571 557.601 478.031 708.81
Current liabilities total10 993.558 410.247 730.888 506.037 843.83
Balance sheet total (liabilities)17 170.8015 759.2814 942.3613 505.4312 725.00
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