Hymeth ApS — Credit Rating and Financial Key Figures

CVR number: 37402729
Maskinvej 5, 2860 Søborg
je@hymeth.com
tel: 25101616
www.hymeth.com
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit-2 385.08-15.21849.47- 168.69- 787.61
Employee benefit expenses- 363.72-3 965.76-3 268.50-2 018.39-1 788.26
Total depreciation-25.15-25.15-25.15-25.15-5.19
EBIT-2 773.95-4 006.11-2 444.19-2 212.23-2 581.06
Other financial income6.192.0022.488.72
Other financial expenses-10.33-8.12- 389.12- 423.71- 460.24
Pre-tax profit-2 784.27-4 008.04-2 831.30-2 613.45-3 032.57
Income taxes817.211 290.23798.89648.59742.97
Net earnings-1 967.06-2 717.81-2 032.41-1 964.86-2 289.61

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure9 173.7515 362.5021 713.9525 926.6530 233.55
Intangible assets total9 173.7515 362.5021 713.9525 926.6530 233.55
Buildings5.19
Machinery and equipment80.6555.5030.34
Tangible assets total80.6555.5030.345.19
Holdings in group member companies18.1518.1518.1518.15
Investments total18.1518.1518.1518.15
Long term receivables total
Inventories total
Current amounts owed by group member comp.80.4336.27
Prepayments and accrued income1.5037.685.2817.491.56
Current other receivables297.45424.52523.48155.1062.09
Current deferred tax assets1 140.271 361.531 156.33926.79945.86
Short term receivables total1 439.211 904.161 721.361 099.391 009.52
Cash and bank deposits2 101.597 636.462 153.801 867.741 455.52
Cash and cash equivalents2 101.597 636.462 153.801 867.741 455.52
Balance sheet total (assets)12 795.2024 976.7625 637.6028 917.1132 716.74

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital103.34112.29112.29155.56544.72
Other reserves7 155.5211 982.7516 936.8820 222.7823 582.17
Retained earnings5 012.534 017.66-3 654.29-5 793.251 548.00
Profit of the financial year-1 967.06-2 717.81-2 032.41-1 964.86-2 289.61
Shareholders equity total10 304.3413 394.8911 362.4812 620.2323 385.28
Provisions877.9310 643.016 529.971 584.871 787.76
Capital loans6 098.20
Non-current loans from credit institutions396.169 693.795 223.30
Non-current liabilities total396.169 693.795 223.306 098.20
Current loans from credit institutions6 566.5913 235.17
Current trade creditors318.621 122.73487.76687.11
Current owed to participating246.95
Current owed to group member543.81236.38
Other non-interest bearing current liabilities1 216.78620.2455.84445.28275.06
Current liabilities total1 216.78938.867 745.1614 712.021 445.50
Balance sheet total (liabilities)12 795.2034 670.5430 860.9028 917.1132 716.74
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