MULTI-TEK BRANDDØRE AF 1988 A/S — Credit Rating and Financial Key Figures

CVR number: 11573975
Holger Danskes Vej 17, 8960 Randers SØ
bogholderi@multitek.dk
tel: 87110090
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit36 393.0437 532.7842 655.2640 743.3735 242.78
Employee benefit expenses-32 812.60-32 150.06-34 063.50-34 962.35-33 307.09
Total depreciation- 753.52- 696.08- 644.71- 644.32- 462.25
EBIT2 826.914 686.647 947.055 136.701 473.44
Other financial income120.74123.65121.32362.42244.86
Other financial expenses- 135.14- 146.78- 131.62-80.45- 113.77
Pre-tax profit2 812.514 663.507 936.755 418.681 604.54
Income taxes- 619.19-1 013.32-1 748.86-1 184.09- 356.22
Net earnings2 193.333 650.186 187.894 234.581 248.32

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters3 548.763 416.423 284.083 151.743 019.40
Machinery and equipment1 288.401 058.66634.691 149.811 114.72
Tangible assets total4 837.154 475.083 918.774 301.554 134.12
Investments total
Non-current other receivables126.50130.25135.06140.11144.20
Long term receivables total126.50130.25135.06140.11144.20
Semifinished products996.701 099.641 008.601 128.18774.27
Raw materials and consumables6 319.607 173.996 773.396 666.016 559.51
Finished products/goods485.371 304.53741.23732.69453.68
Advance payments202.57
Inventories total7 801.689 578.178 523.218 526.887 990.02
Current trade debtors10 621.6412 648.7815 355.109 900.659 807.96
Current amounts owed by group member comp.73.591 468.783 049.535 455.197 504.55
Prepayments and accrued income474.76572.02671.43608.24612.54
Current other receivables2 697.742 683.063 017.193 206.98406.25
Current deferred tax assets179.42209.00
Short term receivables total13 867.7317 372.6322 272.6719 380.0518 331.31
Other current investments173.52230.11283.13335.20394.80
Cash and bank deposits9 666.999 363.765 605.496 131.236 651.51
Cash and cash equivalents9 840.519 593.875 888.626 466.437 046.31
Balance sheet total (assets)36 473.5841 150.0040 738.3438 815.0337 645.96

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Shares repurchased3 000.003 000.006 000.004 000.001 000.00
Other reserves2 579.582 678.552 779.622 945.01
Retained earnings11 928.6711 023.028 572.1410 594.6416 774.23
Profit of the financial year2 193.333 650.186 187.894 234.581 248.32
Shareholders equity total20 201.5820 851.7624 039.6522 274.2319 522.56
Provisions304.16314.24138.94
Non-current loans from credit institutions2 337.832 214.102 063.551 962.161 834.94
Non-current deferred tax liabilities420.691 012.632 239.051 207.352.71
Non-current liabilities total2 758.523 226.744 302.603 169.511 837.65
Current loans from credit institutions124.00124.00150.00126.53127.49
Advances received64.731 159.92
Current trade creditors3 680.714 750.523 997.543 933.163 057.06
Current owed to group member3 627.386 204.3261.96405.794 962.43
Short-term deferred tax liabilities202.36906.791 012.632 239.051 207.35
Other non-interest bearing current liabilities5 574.874 771.647 173.966 602.025 632.54
Current liabilities total13 209.3216 757.2712 396.0913 371.2816 146.80
Balance sheet total (liabilities)36 473.5841 150.0040 738.3438 815.0337 645.96
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