TAXA MIDT F.M.B.A. — Credit Rating and Financial Key Figures

CVR number: 38014110
Sakskøbingvej 8, 7400 Herning
booking@taxamidt.dk
tel: 97120777
taxamidt.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales6 446.435 509.335 825.836 176.816 612.81
Other operating income151.54270.39130.80272.0870.21
External services-1 837.74-1 812.74-1 790.48-2 334.12-2 394.36
Gross profit4 760.233 966.984 166.154 114.764 288.65
Employee benefit expenses-3 529.30-3 448.17-3 635.26-3 429.76-3 680.22
Total depreciation- 609.55- 535.91- 304.93- 224.68- 289.60
EBIT621.38-17.10225.96460.32318.84
Other financial income0.301.1812.32
Other financial expenses-27.41-33.65-33.77-0.20
Pre-tax profit593.96-50.76192.49461.31331.16
Net earnings593.96-50.76192.49461.31331.16

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters496.38481.02465.67450.31434.96
Machinery and equipment694.21523.81301.92314.89122.12
Tangible assets total1 190.591 004.84767.58765.20557.08
Investments total
Long term receivables total
Finished products/goods1.262.520.00
Inventories total1.262.520.00
Current trade debtors3 946.522 263.454 674.422 747.093 301.28
Prepayments and accrued income67.16131.11
Current other receivables207.78122.00159.81177.89224.88
Short term receivables total4 154.292 385.454 901.382 924.993 657.28
Cash and bank deposits2 218.365 009.644 402.106 246.496 368.99
Cash and cash equivalents2 218.365 009.644 402.106 246.496 368.99
Balance sheet total (assets)7 564.518 402.4510 071.069 936.6810 583.35

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital686.82748.08956.981 200.001 420.00
Retained earnings2 335.762 929.722 878.973 071.463 532.76
Profit of the financial year593.96-50.76192.49461.31331.16
Shareholders equity total3 616.543 627.044 028.434 732.765 283.92
Non-current owed to group member368.10409.00
Non-current accruals and deferred income41.22
Non-current other liabilities132.92368.10
Non-current liabilities total542.25409.00368.10
Current loans from credit institutions329.50
Current trade creditors317.02623.96843.52112.16744.50
Current owed to participating2 234.772 942.73
Current owed to group member4 003.264 049.693 741.86
Other non-interest bearing current liabilities445.93407.73387.74240.57293.07
Accruals and deferred income408.00392.00440.00472.00520.00
Current liabilities total3 405.724 366.415 674.535 203.925 299.43
Balance sheet total (liabilities)7 564.518 402.4510 071.069 936.6810 583.35
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