Faxe-Orup El-Installation ApS — Credit Rating and Financial Key Figures

CVR number: 46507711
Rådhusvej 51, 4640 Faxe
el@faxe-orup.dk
tel: 56713160
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit2 668.472 450.702 366.362 407.772 988.42
Employee benefit expenses-2 412.59-2 228.51-2 397.61-2 143.55-2 728.16
Other operating expenses-81.99-66.60-66.17-54.56-8.56
Total depreciation-70.37-58.80-61.17-62.81-55.63
Reduction in value of non-current assets42.69270.00100.00- 502.18
EBIT146.22366.79-58.60- 355.34213.20
Other financial income1.6824.0820.11483.740.52
Other financial expenses- 250.14- 271.21- 211.18- 352.60- 206.17
Pre-tax profit- 102.24119.66- 249.67- 224.197.55
Net earnings- 102.24119.66- 249.67- 224.197.55

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters2 085.252 042.992 000.731 958.471 916.21
Buildings3 661.083 920.724 038.2421.3214.76
Machinery and equipment14.368.184.550.9151.18
Other tangible assets0.000.000.000.000.00
Tangible assets total5 760.695 971.896 043.521 980.701 982.15
Investments total-0.0014.0014.00
Long term receivables total
Raw materials and consumables1 352.291 159.971 342.971 362.081 691.42
Inventories total1 352.291 159.971 342.971 362.081 691.42
Current trade debtors315.78479.24253.54415.3199.73
Prepayments and accrued income64.4743.7285.1129.2463.71
Current other receivables248.01468.58409.88456.21569.18
Current deferred tax assets330.00330.00330.00330.00330.00
Short term receivables total958.261 321.541 078.531 230.761 062.63
Cash and bank deposits1.43240.590.091.090.38
Cash and cash equivalents1.43240.590.091.090.38
Balance sheet total (assets)8 072.688 693.998 465.114 588.634 750.57

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital200.00200.00200.00200.00200.00
Retained earnings1 281.661 179.411 299.071 049.40825.21
Profit of the financial year- 102.24119.66- 249.67- 224.197.55
Shareholders equity total1 379.411 499.071 249.401 025.211 032.75
Provisions0.00-0.00
Non-current loans from credit institutions2 461.013 406.993 587.16579.40539.91
Non-current owed to group member1 345.001 249.431 261.181 178.811 088.49
Non-current other liabilities55.90515.81156.1359.7361.58
Non-current liabilities total3 861.905 172.235 004.471 817.941 689.98
Current loans from credit institutions1 066.68190.42705.89349.35812.32
Current trade creditors266.46344.59275.54289.09204.27
Current owed to participating246.42236.81354.51376.78414.75
Other non-interest bearing current liabilities1 251.811 250.88875.31730.26596.51
Current liabilities total2 831.362 022.702 211.251 745.482 027.84
Balance sheet total (liabilities)8 072.688 693.998 465.114 588.634 750.57
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