CARL C. A/S — Credit Rating and Financial Key Figures

CVR number: 10449871
Smedevej 2, 6900 Skjern
mail@carl-c.dk
tel: 97351276

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit26 881.9726 555.8135 912.6632 922.4040 009.05
Employee benefit expenses-24 404.38-22 717.04-27 269.93-28 589.44-31 544.95
Total depreciation-1 416.74-1 592.38-1 555.30-1 906.22-2 070.17
EBIT1 060.852 246.407 087.432 426.756 393.94
Other financial income0.018.042.1514.0712.00
Other financial expenses- 119.39- 303.63- 432.66- 905.88- 990.14
Pre-tax profit941.471 950.816 656.911 534.945 415.80
Income taxes- 216.46- 439.51-1 474.77- 345.73-1 201.58
Net earnings725.021 511.305 182.141 189.214 214.22

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights363.131 456.71
Intangible assets total363.131 456.71
Machinery and equipment8 687.0810 129.7911 121.2814 084.3012 368.06
Tangible assets total8 687.0810 129.7911 121.2814 084.3012 368.06
Investments total
Non-current loans receivable34.5142.5539.3148.4753.08
Long term receivables total34.5142.5539.3148.4753.08
Semifinished products6 210.525 682.195 549.826 026.754 043.11
Raw materials and consumables3 840.084 952.496 654.924 739.716 943.49
Finished products/goods4 280.036 634.726 872.428 593.276 259.23
Inventories total14 330.6317 269.4019 077.1619 359.7317 245.83
Current trade debtors16 128.4412 445.4512 346.5719 999.6416 492.57
Current amounts owed by group member comp.49.13
Prepayments and accrued income263.06257.76354.33283.49236.85
Current other receivables72.5223.71206.74101.26360.52
Current deferred tax assets2.77
Short term receivables total16 464.0212 726.9212 907.6420 436.3017 089.94
Cash and bank deposits527.20314.842 384.46695.32222.93
Cash and cash equivalents527.20314.842 384.46695.32222.93
Balance sheet total (assets)40 043.4540 483.5145 529.8454 987.2448 436.55

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital10 000.0010 000.0010 000.0010 000.0010 000.00
Shares repurchased10 000.001 500.0010 000.002 000.00
Other reserves-10 000.00
Retained earnings5 137.964 362.985 874.271 056.41245.63
Profit of the financial year725.021 511.305 182.141 189.214 214.22
Shareholders equity total25 862.9817 374.2821 056.4112 245.6316 459.84
Provisions606.54723.72905.841 253.271 539.18
Non-current other liabilities2 525.792 346.31
Non-current deferred tax liabilities2 285.702 285.702 285.70
Non-current liabilities total2 525.792 346.312 285.702 285.702 285.70
Current loans from credit institutions3 570.81704.143 753.408 981.02
Advances received32.92825.702 414.6395.05
Current trade creditors2 992.563 246.354 683.515 565.393 213.77
Current owed to group member3 247.2510 670.6911 022.3423 171.5710 874.39
Short-term deferred tax liabilities97.12322.331 292.17914.14
Other non-interest bearing current liabilities4 711.222 196.102 754.024 297.664 073.47
Current liabilities total11 048.1420 039.2121 281.8939 202.6528 151.83
Balance sheet total (liabilities)40 043.4540 483.5145 529.8454 987.2448 436.55
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