Kosmorama6100 ApS — Credit Rating and Financial Key Figures

CVR number: 36943165
Jomfrustien 34, 6100 Haderslev
bio@kosmorama6100.dk
tel: 74522414
www.kosmorama6100.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit3 046.733 358.583 671.543 057.263 785.40
Employee benefit expenses-2 231.71-1 769.91-2 011.29-2 093.22-2 233.22
Total depreciation-1 075.70-1 104.53-1 064.12-1 001.38- 953.87
EBIT- 260.68484.14596.13-37.33598.31
Other financial income17.3011.255.269.6333.34
Other financial expenses- 500.65- 354.19- 276.28- 277.65- 315.85
Pre-tax profit- 744.03141.20325.11- 305.35315.81
Income taxes168.80-32.19- 202.99265.99
Net earnings- 575.23109.01122.12-39.36315.81

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings1 670.571 465.341 264.481 031.97799.46
Machinery and equipment5 577.374 806.293 970.933 202.062 480.70
Tangible assets total7 247.936 271.635 235.414 234.033 280.16
Investments total1 000.001 000.001 000.001 000.001 000.00
Non-current other receivables450.00250.0050.00
Long term receivables total450.00250.0050.00
Finished products/goods201.48258.05246.94157.49242.83
Inventories total201.48258.05246.94157.49242.83
Current trade debtors157.81207.05556.04337.68322.83
Current amounts owed by group member comp.20.00587.671 658.00
Prepayments and accrued income23.53165.74276.20312.67
Current other receivables205.06202.20
Short term receivables total386.40574.99852.241 238.021 980.83
Cash and bank deposits98.87353.34565.54159.82142.02
Cash and cash equivalents98.87353.34565.54159.82142.02
Balance sheet total (assets)9 384.688 708.017 950.136 789.376 645.84

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital100.00100.00100.00100.00100.00
Retained earnings1 053.92478.69587.70709.82670.46
Profit of the financial year- 575.23109.01122.12-39.36315.81
Shareholders equity total578.69687.70809.82770.461 086.26
Provisions30.8163.00265.99
Capital loans940.00400.00
Non-current loans from credit institutions5 328.292 874.172 579.382 323.582 401.01
Non-current owed to group member630.00590.00
Non-current other liabilities33.9034.28
Non-current liabilities total5 362.194 478.453 569.382 323.582 401.01
Current loans from credit institutions1 075.25914.00888.582 046.081 053.37
Advances received425.97
Current trade creditors429.55464.66885.72992.351 155.92
Current owed to participating0.25
Other non-interest bearing current liabilities1 481.972 100.201 530.64656.91949.27
Current liabilities total3 412.993 478.863 304.943 695.333 158.57
Balance sheet total (liabilities)9 384.688 708.017 950.136 789.376 645.84
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