PFA German Real Estate Low I ApS — Credit Rating and Financial Key Figures

CVR number: 39756501
Sundkrogsgade 4, 2100 København Ø

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales8 731.009 707.619 174.2910 321.63
Other operating income9 888.00
Costs of manufacturing-6 214.65-2 390.27-3 794.50
Rents-2 107.00-2 548.00
Gross profit8 731.009 888.003 492.966 784.026 527.14
Costs of management-1 201.00- 499.00-1 062.66- 999.97-1 114.92
Reduction in value of non-current assets10 253.0017 060.00-9 854.75-45 970.48-2 144.07
EBIT15 675.0023 901.00-7 424.45-40 186.433 268.14
Other financial income678.009 560.7815.55274.72
Other financial expenses-5 751.00-2 757.00-2 879.88-3 167.72-3 321.22
Pre-tax profit10 603.0021 144.00- 743.55-43 338.61221.65
Income taxes- 240.28-96.96-47.37
Net earnings10 603.0021 144.00- 983.83-43 435.57174.28

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings227 398.00245 607.00236 824.57211 192.92209 330.25
Advance payments and construction in progress2 027.007 669.0011 918.12
Tangible assets total229 425.00253 276.00248 742.69211 192.92209 330.25
Investments total-1.00-1.00
Long term receivables total
Inventories total
Current amounts owed by group member comp.98.00
Current other receivables6 301.009 861.0013 676.222 057.302 708.39
Short term receivables total6 399.009 861.0013 676.222 057.302 708.39
Cash and bank deposits8 948.007 487.008 359.916 408.4811 189.28
Cash and cash equivalents8 948.007 487.008 359.916 408.4811 189.28
Balance sheet total (assets)244 771.00270 623.00270 778.82219 658.70223 227.92

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital50.0050.0050.0050.0050.00
Other reserves- 448.0088 281.00- 604.01
Retained earnings56 534.00-21 965.0088 281.7277 144.1633 721.00
Profit of the financial year10 603.0021 144.00- 983.83-43 435.57174.28
Shareholders equity total66 739.0087 510.0086 743.8833 758.5933 945.28
Non-current loans from credit institutions89 619.0079 975.1189 753.0289 785.41
Non-current owed to group member79 785.0082 738.0085 549.9987 925.3490 949.13
Non-current other liabilities1.0089 528.00
Non-current liabilities total169 405.00172 266.00165 525.10177 678.36180 734.54
Current owed to group member1 969.005 948.577 394.507 980.54
Short-term deferred tax liabilities240.24337.9654.64
Other non-interest bearing current liabilities8 627.008 878.0012 321.03489.29512.92
Current liabilities total8 627.0010 847.0018 509.858 221.758 548.11
Balance sheet total (liabilities)244 771.00270 623.00270 778.82219 658.70223 227.92
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