SPIO Systems ApS — Credit Rating and Financial Key Figures

CVR number: 41713992
Hørmarken 2, 3520 Farum

Income statement (kDKK)

2021
2022
2023
2024
Fiscal period length12121212
Net sales
Gross profit-97.94- 340.69- 115.391 227.16
Employee benefit expenses-1 027.73- 911.09-1 448.61-2 228.81
Total depreciation-45.82-60.00-62.05-87.13
EBIT-1 171.49-1 311.78-1 626.05-1 088.78
Other financial expenses- 102.36- 111.98- 192.38- 213.20
Income from other inv. held as non-curr. assets0.0319.88
Pre-tax profit-1 273.86-1 423.76-1 818.40-1 282.11
Income taxes418.52458.31448.67960.12
Net earnings- 855.34- 965.45-1 369.73- 321.98

Assets (kDKK)

2021
2022
2023
2024
Development expenditure2 137.434 335.697 102.3011 759.60
Intangible assets total2 137.434 335.697 102.3011 759.60
Buildings103.11128.10171.43244.01
Machinery and equipment80.1866.0744.5423.02
Tangible assets total183.29194.17215.97267.02
Investments total43.3378.70203.78205.78
Deferred tax assets406.60371.65723.12
Long term receivables total406.60371.65723.12
Inventories total
Current trade debtors32.81865.39490.69
Prepayments and accrued income44.1262.45189.5026.34
Current other receivables2 834.8429.55151.592.82
Current deferred tax assets470.24608.65
Short term receivables total3 349.19124.811 206.481 128.51
Cash and bank deposits318.26176.278 050.402 389.25
Cash and cash equivalents318.26176.278 050.402 389.25
Balance sheet total (assets)6 031.505 316.2317 150.5916 473.29

Equity and liabilities (kDKK)

2021
2022
2023
2024
Share capital258.92258.92477.81477.81
Share premium account4 115.144 115.1416 492.8816 492.88
Other reserves1 667.203 381.845 539.799 172.49
Retained earnings-1 667.20-4 237.17-7 360.58-12 363.01
Profit of the financial year- 855.34- 965.45-1 369.73- 321.98
Shareholders equity total3 518.722 553.2713 780.1713 458.19
Provisions51.71
Non-current other liabilities2 163.472 269.14
Non-current deferred tax liabilities1 848.061 252.34
Non-current liabilities total2 163.472 269.141 848.061 252.34
Current loans from credit institutions600.81804.00
Advances received16.3216.54
Current trade creditors80.1876.87424.10230.55
Current owed to participating0.59252.3413.4114.26
Other non-interest bearing current liabilities216.82164.61467.72697.40
Current liabilities total297.60493.821 522.351 762.75
Balance sheet total (liabilities)6 031.505 316.2317 150.5916 473.29
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