EMKL HOLDING ApS — Credit Rating and Financial Key Figures

CVR number: 35395768
Amaliegade 42, 1256 København K
mette@haarklinikken.dk
tel: 33113610

Income statement (kUSD)

2021
2022
2023
Fiscal period length121212
Net sales12 411.0316 380.5219 747.88
Other operating income19.34
Costs of manufacturing-1 409.17-3 484.69-4 748.64
External services-5 474.13-8 954.80-11 700.17
Gross profit5 527.743 941.033 318.42
Employee benefit expenses-3 955.00-5 953.23-9 216.51
Total depreciation-1 940.09-2 375.32-3 342.33
EBIT- 367.35-4 387.51-9 240.43
Other financial income1 211.54435.76374.39
Other financial expenses-1 572.28-2 047.65-1 949.67
Pre-tax profit- 728.10-5 999.40-10 815.72
Income taxes19.97-1.20
Net earnings- 708.13-6 000.60-10 815.72

Assets (kUSD)

2021
2022
2023
Development expenditure770.75
Intangible rights9 248.247 252.566 006.48
Goodwill4 470.753 894.64
Intangible assets total9 248.2411 723.3210 671.88
Buildings9.257.18
Machinery and equipment1 094.921 495.761 512.00
Tangible assets total1 094.921 505.011 519.17
Participating interests22.8621.5122.24
Other non-current investments1 183.281 035.37800.84
Investments total1 266.821 480.011 259.70
Long term receivables total
Raw materials and consumables730.35626.93520.85
Finished products/goods456.95896.231 650.02
Advance payments64.61110.71137.98
Inventories total1 251.911 633.882 308.85
Current trade debtors22.61103.9168.47
Prepayments and accrued income80.28217.67389.78
Current other receivables580.13236.92309.21
Short term receivables total683.03558.51767.47
Other current investments2.983.75
Cash and bank deposits1 277.6115 082.866 703.52
Cash and cash equivalents1 280.5915 086.616 703.52
Balance sheet total (assets)14 825.5131 987.3423 230.59

Equity and liabilities (kUSD)

2021
2022
2023
Share capital12.1911.4711.86
Other reserves60.82-20.80116.11
Retained earnings-24 496.88-6 003.64-15 475.84
Profit of the financial year- 708.13-6 000.60-10 815.72
Minority interest (BS)2 393.795 541.23
Shareholders equity total-25 132.00-9 619.78-20 622.36
Non-current owed to group member38 957.3838 080.1040 939.13
Non-current deferred tax liabilities30.08
Non-current liabilities total38 957.3838 080.1040 969.22
Current loans from credit institutions89.03
Current trade creditors304.481 324.381 784.86
Current owed to participating496.8323.67
Short-term deferred tax liabilities3.475.44
Other non-interest bearing current liabilities692.171 686.97975.50
Accruals and deferred income13.3910.66
Current liabilities total1 000.133 527.012 883.73
Balance sheet total (liabilities)14 825.5131 987.3423 230.59
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