UNIKA HUSE ApS — Credit Rating and Financial Key Figures

CVR number: 25469763
Rosenvangsvej 87 A, 2670 Greve
Fc@unikahuse.dk
tel: 70277712
Www.unikahuse.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit1 364.431 567.901 717.662 042.691 846.75
Employee benefit expenses- 433.72- 404.02- 683.69- 544.96- 549.40
Total depreciation- 105.32
Reduction in value of non-current assets8 203.74- 283.25- 910.00- 830.00
EBIT9 134.45880.63123.97667.721 192.04
Other financial income2 928.43110.8934.09
Other financial expenses- 618.57- 870.57-1 107.38-1 628.97-1 556.82
Pre-tax profit8 515.8810.061 945.02- 850.36- 330.69
Income taxes-1 874.32-2.93- 429.22186.4671.56
Net earnings6 641.567.131 515.79- 663.90- 259.14

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters2 895.67
Buildings45 300.0045 740.0044 830.0044 000.0044 000.00
Machinery and equipment288.34
Tangible assets total45 300.0045 740.0044 830.0044 000.0047 184.01
Investments total32.5032.5032.501.60
Long term receivables total
Raw materials and consumables5 848.821 982.40
Inventories total5 848.821 982.40
Current trade debtors83.9826.2536.91
Current amounts owed by group member comp.4 161.371 322.56294.00
Prepayments and accrued income36.3548.8556.1153.0549.36
Current other receivables1.7294.99
Short term receivables total36.3550.584 301.461 401.86475.27
Cash and bank deposits139.78750.32401.95399.6212.17
Cash and cash equivalents139.78750.32401.95399.6212.17
Balance sheet total (assets)51 357.4548 555.8049 565.9145 801.4747 673.05

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Shares repurchased1 000.004 000.00
Retained earnings6 300.0012 941.568 948.6910 464.489 800.58
Profit of the financial year6 641.567.131 515.79- 663.90- 259.14
Shareholders equity total14 441.5613 448.6914 964.4910 300.5810 041.45
Provisions2 701.122 704.042 631.242 444.782 373.23
Non-current loans from credit institutions25 706.0925 318.9929 576.9329 428.2629 185.49
Non-current advances received738.40804.90833.98835.45841.52
Non-current owed to group member3 810.392 251.22
Non-current deferred tax liabilities402.02
Non-current liabilities total30 254.8828 375.1130 812.9330 263.7130 027.00
Current loans from credit institutions3 552.443 489.59227.001 703.801 486.74
Advances received93.20
Current trade creditors109.44203.25244.0069.7864.15
Current owed to participating78.89276.55362.17543.813 606.82
Short-term deferred tax liabilities402.02
Other non-interest bearing current liabilities125.9258.56324.0972.9973.66
Current liabilities total3 959.904 027.951 157.262 792.405 231.37
Balance sheet total (liabilities)51 357.4548 555.8049 565.9145 801.4747 673.05
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