MISS BAGEL ApS — Credit Rating and Financial Key Figures

CVR number: 25918371
Aa.Louis-Hansens Alle 2 A, 3060 Espergærde
bogholderi@missbagel.dk
tel: 49223594
www.missbagel.dk

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit15 796.8322 421.2222 858.5124 373.6828 045.45
Employee benefit expenses-11 449.02-13 539.15-14 428.88-15 081.36-19 095.14
Other operating expenses-9.55-89.30
Total depreciation-95.34- 235.53- 816.81- 924.11- 985.15
EBIT4 252.478 636.987 612.838 278.917 965.16
Other financial income56.9150.3421.32104.2782.08
Other financial expenses-71.70-13.99-35.08-5.99- 339.85
Pre-tax profit4 237.688 673.337 599.068 377.197 707.40
Income taxes- 941.88-1 869.12-1 643.67-1 845.39-1 722.86
Net earnings3 295.806 804.215 955.396 531.805 984.53

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings164.19169.63156.46145.66
Machinery and equipment831.883 411.203 538.392 873.482 247.34
Tangible assets total831.883 575.393 708.023 029.952 393.00
Investments total151.30151.30
Non-current other receivables151.30151.30151.30
Long term receivables total151.30151.30151.30
Raw materials and consumables1 320.601 643.141 621.831 586.101 994.85
Finished products/goods2 729.884 423.328 030.287 278.314 072.39
Advance payments1 549.362 853.71970.722 809.95
Inventories total5 599.848 920.1810 622.8311 674.366 067.24
Current trade debtors8 177.2111 072.3010 983.5811 013.328 031.48
Current amounts owed by group member comp.6 223.613 218.503 430.163 656.58
Prepayments and accrued income253.61437.65194.15280.40235.75
Current other receivables230.241 162.51438.97795.22266.85
Current deferred tax assets18.04
Short term receivables total14 884.6815 890.9515 046.8615 745.518 552.12
Cash and bank deposits3 688.331 813.613 642.929 638.5760.44
Cash and cash equivalents3 688.331 813.613 642.929 638.5760.44
Balance sheet total (assets)25 156.0330 351.4333 171.9340 239.6917 224.09

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital135.13135.13135.13135.13135.13
Shares repurchased1 200.003 000.0027 500.005 900.00
Retained earnings13 252.0313 547.8320 352.05-1 192.56- 560.76
Profit of the financial year3 295.806 804.215 955.396 531.805 984.53
Shareholders equity total17 882.9723 487.1826 442.5732 974.3811 458.91
Provisions33.26139.83138.9891.0949.39
Non-current other liabilities338.83
Non-current liabilities total338.83
Current bonds915.29
Current loans from credit institutions184.94
Current trade creditors2 410.253 730.503 988.574 281.424 238.64
Current owed to participating42.00
Short-term deferred tax liabilities916.371 762.551 644.521 893.28
Other non-interest bearing current liabilities3 574.361 231.37999.531 292.21
Current liabilities total6 900.976 724.426 590.387 174.225 715.79
Balance sheet total (liabilities)25 156.0330 351.4333 171.9340 239.6917 224.09
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