IPOOL.DK A/S — Credit Rating and Financial Key Figures

CVR number: 35027882
Svalehøjvej 9 A, 3650 Ølstykke
bogholderi@ipool.dk
tel: 44209118
www.ipool.dk

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit5 609.878 664.879 258.405 921.265 574.07
Employee benefit expenses-3 480.53-4 273.03-4 488.81-4 022.95-4 256.38
Total depreciation- 102.80- 208.61- 268.31- 326.19- 354.56
EBIT2 026.544 183.234 501.281 572.12963.12
Other financial income6.764.80129.06130.51255.30
Other financial expenses-15.39-13.33- 106.89-47.23- 139.04
Pre-tax profit2 017.904 174.714 523.461 655.401 079.39
Income taxes- 430.44- 933.03-1 080.38- 372.90- 296.05
Net earnings1 587.463 241.683 443.071 282.50783.34

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Machinery and equipment497.07963.25897.63831.451 241.09
Tangible assets total497.07963.25897.63831.451 241.09
Investments total
Non-current other receivables168.00168.00
Long term receivables total168.00168.00
Finished products/goods1 259.501 283.793 935.804 106.074 544.59
Advance payments94.74
Inventories total1 259.501 283.793 935.804 200.814 544.59
Current trade debtors1 360.861 395.191 228.221 469.583 659.31
Current amounts owed by group member comp.2 663.683 205.977 105.275 515.706 570.94
Prepayments and accrued income27.1250.4440.9430.8928.22
Current other receivables94.18316.99265.381 682.90102.28
Short term receivables total4 145.844 968.598 639.818 699.0810 360.75
Cash and bank deposits922.382 260.1115.755.369.77
Cash and cash equivalents922.382 260.1115.755.369.77
Balance sheet total (assets)6 824.799 475.7513 488.9913 904.6916 324.21

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital400.00400.00400.00400.00400.00
Shares repurchased600.001 500.003 000.00
Retained earnings1 168.841 256.311 497.994 941.066 223.56
Profit of the financial year1 587.463 241.683 443.071 282.50783.34
Shareholders equity total3 756.316 397.998 341.066 623.567 406.90
Provisions834.90918.50889.90
Non-current other liabilities244.25
Non-current liabilities total244.25
Current loans from credit institutions945.1737.371 611.70
Advances received275.38105.065.8522.33
Current trade creditors522.1340.55927.361 016.111 094.61
Current owed to group member506.662 643.982 257.56
Short-term deferred tax liabilities465.54933.03245.49289.30324.65
Other non-interest bearing current liabilities1 836.571 828.801 583.292 370.032 716.56
Current liabilities total2 824.233 077.754 313.026 362.648 027.41
Balance sheet total (liabilities)6 824.799 475.7513 488.9913 904.6916 324.21
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