RelyOn Nutec Holding A/S — Credit Rating and Financial Key Figures

CVR number: 19951383
Kalvebod Brygge 45, 1560 København V
info@relyonnutec.com
tel: 76121314
www.relyonnutec.com

Income statement (kDKK)

2019
2020
2021
2022
2023
Fiscal period length1212121212
Net sales
Gross profit-2 582.008 894.005 930.0025 801.0049 038.00
Employee benefit expenses-19 762.00-15 735.00-16 790.00-17 707.00-18 036.00
Total depreciation-1 757.00-3 857.00-3 585.00-4 781.00-5 335.00
EBIT-24 101.00-10 698.00-14 445.003 313.0025 667.00
Other financial income30 683.0038 084.0047 540.0067 382.0057 575.00
Other financial expenses-7 372.00-56 172.00-17 586.00-19 382.00-46 463.00
Net income from associates (fin.)21 386.001 654.006 787.004 505.004 691.00
Pre-tax profit20 596.00-27 132.0022 296.0055 818.0041 470.00
Income taxes-2 161.00-2 501.00-39.00-9 729.00-8 943.00
Net earnings18 435.00-29 633.0022 257.0046 089.0032 527.00

Assets (kDKK)

2019
2020
2021
2022
2023
Development expenditure365.002 955.005 500.006 961.00
Intangible rights11 149.008 668.005 588.002 503.001 722.00
Intangible assets total11 149.009 033.008 543.008 003.008 683.00
Buildings1 260.00958.00656.00353.0051.00
Machinery and equipment2 613.002 601.0019.001 215.00830.00
Tangible assets total3 873.003 559.00675.001 568.00881.00
Holdings in group member companies318 593.00318 593.00318 593.00347 732.00479 746.00
Investments total318 593.00318 593.00318 593.00347 732.00479 746.00
Non-curr. owed by group member comp.500 193.00495 735.00567 462.00722 668.00628 050.00
Non-current loans receivable1 866.001 866.001 866.001 866.001 866.00
Non-current other receivables1 284.002 316.002 302.002 310.00
Long term receivables total502 059.00498 885.00571 644.00726 836.00632 226.00
Inventories total
Current trade debtors2.00445.004 140.003 631.00
Current amounts owed by group member comp.67 028.0077 914.0090 367.00118 942.0056 766.00
Current other receivables2 709.004 701.003 492.005 597.006 363.00
Short term receivables total69 737.0082 617.0094 304.00128 679.0066 760.00
Cash and bank deposits8.0027.0029.0023 746.0020 948.00
Cash and cash equivalents8.0027.0029.0023 746.0020 948.00
Balance sheet total (assets)905 419.00912 714.00993 788.001 236 564.001 209 244.00

Equity and liabilities (kDKK)

2019
2020
2021
2022
2023
Share capital50 142.0050 142.0050 142.0050 142.0050 142.00
Other reserves2 305.004 000.004 530.00
Retained earnings594 359.00612 794.00580 856.00601 418.00646 977.00
Profit of the financial year18 435.00-29 633.0022 257.0046 089.0032 527.00
Shareholders equity total662 936.00633 303.00655 560.00701 649.00734 176.00
Non-current loans from credit institutions39 785.00100 028.00110 252.00
Non-current owed to group member164 574.00205 118.00238 855.00239 498.00259 869.00
Non-current other liabilities1 108.00
Non-current deferred tax liabilities1 068.001 095.001 142.00
Non-current liabilities total164 574.00206 226.00279 708.00340 621.00371 263.00
Current loans from credit institutions69 288.0061 609.0025 292.00118 234.0026 085.00
Current trade creditors2 940.007 842.007 932.006 128.00
Current owed to group member15 944.0049 588.0066 240.00
Short-term deferred tax liabilities1 267.00
Other non-interest bearing current liabilities7 354.008 636.009 442.0018 540.005 352.00
Current liabilities total77 909.0073 185.0058 520.00194 294.00103 805.00
Balance sheet total (liabilities)905 419.00912 714.00993 788.001 236 564.001 209 244.00
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