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KENKA Invest ApS — Credit Rating and Financial Key Figures

CVR number: 42341002
Vægtens Kvarter 13, 6710 Esbjerg V
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales5 000.005 000.005 000.00
External services-2.90-36.70-39.25-13.25-21.31
Gross profit-2.904 963.294 960.75-13.254 978.69
EBIT-2.904 963.294 960.75-13.254 978.69
Other financial income2.25246.691 123.161 885.18
Other financial expenses-0.09-5.54-1 281.40-0.96-1.45
Pre-tax profit-0.735 204.453 679.351 108.956 862.43
Income taxes-50.86- 364.10
Net earnings-0.735 153.583 679.351 108.956 498.33

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Tangible assets total
Participating interests25 000.0025 000.0025 000.0025 000.0025 000.00
Investments total25 000.0025 000.0025 000.0025 000.0025 000.00
Long term receivables total
Inventories total
Current owed by particip. interest comp.58.4953.7553.7553.7553.75
Current other receivables26.84
Current deferred tax assets12.00
Short term receivables total58.4953.7553.7592.5953.75
Other current investments4 118.166 841.577 774.3214 365.08
Cash and bank deposits86.32169.5130.46161.21
Cash and cash equivalents4 204.487 011.087 804.7914 526.29
Balance sheet total (assets)25 058.4929 258.2332 064.8332 897.3839 580.04

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital40.0040.0040.0040.0040.00
Shares repurchased2 000.00117.80122.00537.52
Other reserves-1 000.00-37.52
Retained earnings25 002.6423 001.9128 037.6931 595.0432 166.46
Profit of the financial year-0.735 153.583 679.351 108.956 498.33
Shareholders equity total25 041.9129 195.4931 874.8432 865.9839 204.79
Non-current liabilities total
Current trade creditors8.008.0015.0015.0015.00
Current owed to participating0.28
Short-term deferred tax liabilities50.86356.10
Other non-interest bearing current liabilities8.593.88175.0016.393.88
Current liabilities total16.5962.74190.0031.39375.25
Balance sheet total (liabilities)25 058.4929 258.2332 064.8332 897.3839 580.04
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