KEY2FITNESS KØGE ApS — Credit Rating and Financial Key Figures

CVR number: 32561039
Gefionsvej 19, 4654 Faxe Ladeplads
www.fitogsund.dk

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit602.891 637.88916.091 900.502 541.37
Employee benefit expenses-1 335.55-1 431.68-1 073.73-1 680.56-1 965.10
Total depreciation- 102.25- 102.25- 102.25- 175.45- 160.93
EBIT- 834.90103.96- 259.8844.49415.34
Other financial income-0.860.200.17
Other financial expenses-20.96-7.28-0.63-0.20-12.84
Pre-tax profit- 856.7296.68- 260.5144.49402.67
Income taxes187.47-22.4957.12-10.25-91.11
Net earnings- 669.2574.19- 203.3934.24311.56

Assets (kDKK)

2020
2021
2022
2023
2024
Goodwill264.43198.32
Intangible assets total264.43198.32
Buildings550.98487.40423.83424.15353.47
Machinery and equipment139.32100.6461.9723.3086.33
Tangible assets total690.29588.05485.80447.45439.81
Investments total
Non-current other receivables175.50175.50175.50175.50175.50
Long term receivables total175.50175.50175.50175.50175.50
Finished products/goods19.3819.4319.2819.5719.34
Inventories total19.3819.4319.2819.5719.34
Current amounts owed by group member comp.411.86591.68103.51342.90758.22
Current other receivables108.25329.65164.03
Current deferred tax assets354.2887.91112.18101.9313.19
Short term receivables total874.391 009.24379.72444.83771.42
Cash and bank deposits6.55191.246.9011.110.85
Cash and cash equivalents6.55191.246.9011.110.85
Balance sheet total (assets)1 766.111 983.451 067.191 362.891 605.24

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital125.00125.00125.00125.00125.00
Retained earnings-12.09- 681.34- 107.15- 310.54- 276.30
Profit of the financial year- 669.2574.19- 203.3934.24311.56
Shareholders equity total- 556.34- 482.15- 185.54- 151.30160.26
Non-current other liabilities37.93
Non-current deferred tax liabilities37.9337.9337.9337.93
Non-current liabilities total37.9337.9337.9337.9337.93
Current loans from credit institutions69.1668.22
Advances received353.94
Current trade creditors54.02409.9075.89219.09258.93
Current owed to participating98.0398.0398.0398.0398.03
Current owed to group member1 015.071 324.37454.13475.68
Other non-interest bearing current liabilities694.30595.36586.75683.46981.87
Current liabilities total2 284.522 427.671 214.801 476.261 407.05
Balance sheet total (liabilities)1 766.111 983.451 067.191 362.891 605.24
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