T.J. KARROSSERI A/S — Credit Rating and Financial Key Figures

CVR number: 20190531
Brogrenen 6, 2635 Ishøj
tel: 43543260

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit5 599.044 211.794 395.064 226.894 144.63
Employee benefit expenses-5 424.19-4 190.66-3 868.80-3 941.90-4 646.15
Total depreciation- 128.88-92.51- 130.87- 133.42- 141.95
EBIT45.98-71.38395.39151.57- 643.46
Other financial income6.006.5010.2910.1613.83
Other financial expenses-18.57-18.30-17.62-55.66- 110.42
Pre-tax profit33.40-83.18388.06106.06- 740.05
Income taxes-9.4735.29-87.63-42.79161.07
Net earnings23.93-47.89300.4363.28- 578.98

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure16.14
Intangible assets total16.14
Buildings274.23219.27152.18117.9448.46
Machinery and equipment110.60206.39170.61360.49456.65
Tangible assets total384.83425.67322.80478.43505.11
Investments total511.12530.29542.22
Non-current other receivables487.21498.17
Long term receivables total487.21498.17
Semifinished products69.69372.50
Raw materials and consumables3 116.892 893.493 435.534 772.124 855.70
Inventories total3 186.573 265.993 435.534 772.124 855.70
Current trade debtors1 697.03887.601 224.431 361.951 257.30
Current amounts owed by group member comp.2.552.5597.04
Prepayments and accrued income39.85105.4890.3729.14119.39
Current other receivables2.5023.98116.4242.41211.92
Current deferred tax assets29.65119.26
Short term receivables total1 741.931 049.251 431.221 433.511 804.91
Cash and bank deposits1 653.81617.11252.8713.9812.28
Cash and cash equivalents1 653.81617.11252.8713.9812.28
Balance sheet total (assets)7 454.355 856.185 953.537 228.327 736.36

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Shares repurchased240.00
Retained earnings3 253.473 277.402 989.513 289.943 353.22
Profit of the financial year23.93-47.89300.4363.28- 578.98
Shareholders equity total3 777.403 729.514 029.943 853.223 274.24
Provisions31.6545.9341.81
Non-current deferred tax liabilities287.97249.95257.70
Non-current liabilities total287.97249.95257.70
Current loans from credit institutions463.882 388.71
Advances received185.73
Current trade creditors805.05594.49797.011 695.881 104.50
Current owed to participating3.893.89
Current owed to group member31.64
Short-term deferred tax liabilities38.0631.64
Other non-interest bearing current liabilities2 840.251 532.17568.90888.05675.69
Current liabilities total3 645.302 126.671 589.703 083.344 204.42
Balance sheet total (liabilities)7 454.355 856.185 953.537 228.327 736.36
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