Designselskabet af 29. juni 2025 A/S — Credit Rating and Financial Key Figures

CVR number: 30588134
Raffinaderivej 8, 2300 København S
tel: 33151040
www.bobles.dk

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit9 979.508 487.652 484.48- 307.13-1 866.76
Employee benefit expenses-8 270.68-7 941.78-8 217.88-7 590.72-4 757.26
Total depreciation- 704.69- 586.20- 482.34-96.75- 127.26
EBIT1 004.14-40.33-6 215.74-7 994.60-7 580.34
Other financial income206.48116.328.89
Other financial expenses- 307.99- 153.04- 418.50- 382.61- 465.19
Pre-tax profit696.1513.12-6 517.91-8 377.21-8 036.64
Income taxes- 161.32-2.301 431.77-1 383.00
Net earnings534.8310.82-5 086.14-8 377.21-9 419.64

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure883.12467.61252.03210.8699.65
Intangible assets total883.12467.61252.03210.8699.65
Buildings60.71
Machinery and equipment603.47128.29185.3098.314.33
Tangible assets total603.47128.29185.3098.3165.04
Investments total355.00365.65255.83278.35100.35
Long term receivables total
Raw materials and consumables10 519.0311 687.8812 969.27
Finished products/goods9 439.155 547.78
Advance payments252.44
Inventories total10 519.0311 687.8812 969.279 439.155 800.22
Current trade debtors4 593.654 154.343 500.912 226.571 267.35
Current other receivables2 367.813 126.462 096.57895.84164.36
Current deferred tax assets159.001 449.001 431.00
Short term receivables total6 961.467 439.807 046.484 553.411 431.71
Cash and bank deposits11 659.369 027.11553.15258.30236.13
Cash and cash equivalents11 659.369 027.11553.15258.30236.13
Balance sheet total (assets)30 981.4529 116.3321 262.0614 838.377 733.10

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital125.00125.00400.00450.00400.00
Shares repurchased5 744.41
Other reserves77.73
Retained earnings15 073.759 864.189 600.008 238.634 833.69
Profit of the financial year534.8310.82-5 086.14-8 377.21-9 419.64
Shareholders equity total15 733.5815 744.414 913.86311.42-4 108.21
Provisions88.0048.00
Non-current other liabilities637.74626.90640.06
Non-current deferred tax liabilities662.47683.00
Non-current liabilities total637.74626.90640.06662.47683.00
Current loans from credit institutions33.6621.203 140.254 738.845 207.59
Advances received45.84
Current trade creditors1 936.401 336.36797.32357.23864.63
Current owed to group member10 069.839 576.7710 552.157 960.094 422.84
Short-term deferred tax liabilities51.00
Other non-interest bearing current liabilities2 431.231 762.701 218.41808.32617.42
Current liabilities total14 522.1312 697.0215 708.1413 864.4811 158.32
Balance sheet total (liabilities)30 981.4529 116.3321 262.0614 838.377 733.10
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