Quantafuel Skive ApS — Credit Rating and Financial Key Figures

CVR number: 38401637
Greenlab 19, Kåstrup 7860 Spøttrup
post@quantafuel.dk
tel: 97520520
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit-10 526.51-23 067.08-63 302.49-51 017.57- 194 915.62
Costs of management-8 704.53-11 654.94-13 937.44-23 304.20-17 862.94
Wages and salaries-10 363.69-12 585.31-17 278.31
Social security expenses-1 812.22-2 658.18-3 285.51
EBIT-19 231.03-34 722.01-77 239.94-74 321.77- 212 778.56
Other financial income1 750.282 547.9713 775.07173.74
Other financial expenses-2 100.23-6 648.36-6 496.45-22 398.85-15 940.61
Pre-tax profit-19 580.98-41 370.37-81 188.42-82 945.55- 228 545.43
Income taxes4 320.009 101.00-2 432.00-10 476.00- 883.66
Net earnings-15 260.98-32 269.37-83 620.42-93 421.55- 229 429.09

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters2 717.472 858.882 651.172 434.04
Buildings23 902.7924 354.16105 481.4299 929.69
Machinery and equipment859.301 168.63910.81475.76
Advance payments and construction in progress23 363.0223 363.0210 797.3115 498.72
Tangible assets total50 842.5751 744.70119 840.71118 338.21
Investments total3 395.533 395.533 395.533 608.893 608.89
Long term receivables total
Raw materials and consumables649.311 204.756 403.072 051.763 626.05
Finished products/goods412.82927.481 017.181 262.09
Inventories total649.311 617.577 330.543 068.944 888.14
Current trade debtors3 905.884 784.912 519.83
Current amounts owed by group member comp.2 066.34
Prepayments and accrued income1 171.26825.2055.24648.752 662.10
Current other receivables2 060.792 012.081 361.894 674.905 407.17
Current deferred tax assets6 757.0015 858.0013 426.002 950.00
Short term receivables total9 989.0518 695.2818 749.0113 058.5612 655.44
Cash and bank deposits5 180.3420 677.5210 041.435 320.58302.31
Cash and cash equivalents5 180.3420 677.5210 041.435 320.58302.31
Balance sheet total (assets)70 056.8196 130.60159 357.22143 395.1721 454.78

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital808.08808.081 000.001 100.001 350.00
Retained earnings15 993.75732.7742 243.04-1 477.3869 339.71
Profit of the financial year-15 260.98-32 269.37-83 620.42-93 421.55- 229 429.09
Shareholders equity total1 540.85-30 728.52-40 377.38-93 798.93- 158 739.39
Provisions15 858.0013 426.002 950.00
Non-current loans from credit institutions27 919.4840 917.4033 308.60
Non-current owed to group member85 197.66230 202.53160 872.35
Non-current liabilities total27 919.4840 917.40118 506.26230 202.53160 872.35
Current loans from credit institutions4 400.006 658.577 633.631.432.99
Current trade creditors3 236.762 218.895 819.143 429.197 380.90
Current owed to group member30 779.6773 594.8564 066.2118.848 587.47
Other non-interest bearing current liabilities2 180.043 469.423 709.363 542.113 350.45
Current liabilities total40 596.4785 941.7281 228.346 991.5719 321.82
Balance sheet total (liabilities)70 056.8196 130.60175 215.22156 821.1724 404.78
CreditReports API
  • Company information
  • Financial data
  • Credit risk data
  • All 400,000+ Danish companies

Try the full version of our system for free
Bankruptcy risk visualization example

... and more!

No registration needed.