JMS DANMARK ApS — Credit Rating and Financial Key Figures

CVR number: 27235042
Tolderlundsvej 115, Lindved 5000 Odense C
b.pedersen@jmsdanmark.dk
tel: 61194036
www.jmsdanmark.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit1 558.822 698.224 442.522 524.27542.95
Employee benefit expenses-2 285.45-2 356.32-3 140.83-3 012.18-3 253.79
Total depreciation-3.55-5.54-7.24-9.60- 128.07
EBIT- 730.18336.351 294.45- 497.51-2 838.91
Other financial income13.558.6940.9020.0925.26
Other financial expenses- 130.18- 225.10- 240.90- 155.86- 113.80
Net income from associates (fin.)- 279.51
Pre-tax profit- 846.81119.941 094.45- 633.28-3 206.96
Income taxes479.70136.80620.50
Net earnings- 846.81119.941 574.15- 496.48-2 586.47

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings840.34
Machinery and equipment5.1213.5615.9032.198 067.73
Tangible assets total5.1213.5615.9032.198 908.06
Investments total21.6512.1812.1831.26838.11
Long term receivables total
Semifinished products123.36
Raw materials and consumables3 844.12
Finished products/goods205.97765.58155.88266.24268.82
Inventories total205.97765.58155.88266.244 236.30
Current trade debtors2 552.289 379.305 535.671 797.202 550.20
Prepayments and accrued income57.07693.1368.6765.78465.55
Current other receivables25.4825.4889.10276.37
Current deferred tax assets479.70616.501 237.00
Short term receivables total2 609.3510 097.916 109.532 568.594 529.12
Cash and bank deposits3 959.52298.552 344.122 847.30533.45
Cash and cash equivalents3 959.52298.552 344.122 847.30533.45
Balance sheet total (assets)6 801.6211 187.778 637.615 745.5819 045.04

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital260.10260.104 709.524 709.524 709.52
Share premium account1 190.001 190.001 190.00
Retained earnings-4 168.82-5 015.63-4 895.68-2 131.534 385.61
Profit of the financial year- 846.81119.941 574.15- 496.48-2 586.47
Shareholders equity total-3 565.53-3 445.582 577.992 081.516 508.67
Non-current deferred tax liabilities5 159.683 653.41
Non-current liabilities total5 159.683 653.41
Current loans from credit institutions3 664.0712 536.38
Advances received261.27
Current trade creditors2 436.964 757.182 406.21935.983 290.09
Current owed to group member2 521.954 455.23658.608 469.11
Other non-interest bearing current liabilities5 408.245 159.682 069.49777.18
Current liabilities total10 367.1414 633.362 406.217 328.1325 072.75
Balance sheet total (liabilities)6 801.6216 347.458 637.619 409.6431 581.42
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