SMEDEFIRMAET L. S. STÅLMONTAGE ApS — Credit Rating and Financial Key Figures

CVR number: 70963116
Sydvestvej 111 D, 2600 Glostrup
mail@ls-staalmontage.dk
tel: 43451149
www.ls-staalmontage.dk

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit2 277.351 670.571 988.111 380.651 810.80
Employee benefit expenses-2 049.10-1 818.68-1 620.82-1 630.28-1 698.87
Total depreciation-77.35-82.56-92.34-71.14-60.42
EBIT150.90- 230.67274.95- 320.7751.52
Other financial income5.276.128.518.43
Other financial expenses-4.68-7.88-7.87-2.66-5.22
Pre-tax profit146.22- 233.27273.20- 314.9254.73
Income taxes-33.6145.42-61.7764.71-14.98
Net earnings112.61- 187.85211.42- 250.2139.74

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings115.6092.84117.3381.3952.70
Machinery and equipment156.68133.34101.23119.5087.77
Tangible assets total272.28226.18218.56200.89140.47
Investments total45.7745.7745.7745.7745.77
Long term receivables total
Finished products/goods30.0028.4625.7323.4627.80
Inventories total30.0028.4625.7323.4627.80
Current trade debtors1 802.00719.151 533.96608.02817.03
Current amounts owed by group member comp.66.27150.11137.26166.28173.69
Prepayments and accrued income43.5245.6334.1844.1237.37
Current other receivables56.7780.9679.91125.4118.52
Current deferred tax assets7.7953.2110.4075.1060.12
Short term receivables total1 976.351 049.061 795.711 018.941 106.74
Cash and bank deposits412.41389.78440.27150.51570.80
Cash and cash equivalents412.41389.78440.27150.51570.80
Balance sheet total (assets)2 736.801 739.242 526.041 439.561 891.57

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital400.00400.00400.00400.00400.00
Shares repurchased110.00150.0050.00
Retained earnings826.02938.63600.77812.19511.99
Profit of the financial year112.61- 187.85211.42- 250.2139.74
Shareholders equity total1 448.631 150.771 362.19961.981 001.73
Non-current liabilities total
Advances received16.61
Current trade creditors553.45185.32615.2492.77364.14
Current owed to participating1.200.01
Other non-interest bearing current liabilities718.12403.15548.61383.60525.70
Current liabilities total1 288.17588.471 163.84477.58889.84
Balance sheet total (liabilities)2 736.801 739.242 526.041 439.561 891.57
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