NORLASE ApS — Credit Rating and Financial Key Figures

CVR number: 35644547
Brydehusvej 13, 2750 Ballerup
contact@norlase.com
tel: 93977472
www.norlase.com

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit-13 995.47-11 282.02-4 442.0016 654.0317 174.13
Employee benefit expenses-14 270.22-14 795.19-19 945.44-24 771.53-26 754.45
Other operating expenses-13 286.47-17 362.29-6 377.10
Total depreciation-68.45-66.77-40.88- 950.28-2 131.58
EBIT-28 334.14-26 143.99-37 714.78-26 430.06-18 089.01
Other financial income24.24989.024 004.541 436.654 175.00
Other financial expenses- 160.24- 897.64-1 491.95-2 578.83-1 603.68
Pre-tax profit-28 470.13-26 052.61-35 202.19-27 572.24-15 517.68
Income taxes2 205.231 812.892 483.033 064.423 083.19
Net earnings-26 264.90-24 239.72-32 719.16-24 507.82-12 434.49

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure11 286.4924 697.1537 069.45
Intangible assets total11 286.4924 697.1537 069.45
Buildings80.0338.631 643.391 688.291 632.29
Tangible assets total80.0338.631 643.391 688.291 632.29
Holdings in group member companies6.436.436.436.436.43
Investments total6.43575.74749.34857.641 066.17
Non-current other receivables569.31
Long term receivables total569.31
Semifinished products172.871 806.521 881.43
Raw materials and consumables9 496.9113 022.0811 659.31
Finished products/goods4 818.536 074.491 853.881 896.003 075.25
Inventories total4 818.536 074.4911 523.6516 724.6116 615.99
Current trade debtors348.69339.791 613.434 147.333 188.27
Current amounts owed by group member comp.2 640.857 194.895 483.4613 608.03
Prepayments and accrued income581.93696.631 134.82899.20
Current other receivables1 312.85789.70953.121 198.17649.98
Current deferred tax assets2 205.231 812.892 483.033 064.423 083.19
Short term receivables total6 507.6210 719.205 746.2015 028.2021 428.67
Cash and bank deposits14 317.9652 967.518 963.6531 110.571 782.50
Cash and cash equivalents14 317.9652 967.518 963.6531 110.571 782.50
Balance sheet total (assets)26 299.8970 375.5739 912.7290 106.4679 595.07

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital144.51174.51174.51203.08203.08
Share premium account23 527.3568 662.74
Other reserves8 803.4619 263.7728 914.17
Retained earnings9 144.163 608.9339 228.4965 571.0431 412.82
Profit of the financial year-26 264.90-24 239.72-32 719.16-24 507.82-12 434.49
Shareholders equity total6 551.1348 206.4715 487.3160 530.0748 095.58
Non-current other liabilities16 360.49
Non-current deferred tax liabilities16 958.7617 434.1113 217.8610 887.33
Non-current liabilities total16 360.4916 958.7617 434.1113 217.8610 887.33
Current loans from credit institutions605.955 572.295 956.82
Current trade creditors1 924.102 546.721 578.523 343.843 696.27
Other non-interest bearing current liabilities1 464.172 663.621 588.922 036.341 148.56
Accruals and deferred income3 217.915 406.059 810.50
Current liabilities total3 388.275 210.346 991.3016 358.5220 612.15
Balance sheet total (liabilities)26 299.8970 375.5739 912.7290 106.4679 595.07
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