SEPHORA DANMARK ApS — Credit Rating and Financial Key Figures

CVR number: 33863225
Kampmannsgade 2, 1604 København V
infoscandinavia@sephora.dk
tel: 38413881
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit6 435.1413 414.7121 037.8238 729.4140 856.17
Employee benefit expenses-17 583.94-16 845.69-22 149.58-24 708.76-25 657.28
Other operating expenses-77.18- 426.37- 317.74-93.67
Total depreciation-4 837.63-4 869.98-3 938.07-3 219.80-3 460.02
EBIT-15 986.43-8 378.15-5 476.2110 483.1011 645.20
Other financial income42.6233.4444.41117.9340.98
Other financial expenses- 592.01- 321.49- 568.14-2 303.22-1 985.26
Pre-tax profit-16 535.82-8 666.19-5 999.948 297.819 700.93
Income taxes3 636.931 913.921 098.35-1 731.31-1 960.29
Net earnings-12 898.89-6 752.27-4 901.606 566.497 740.64

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure387.07
Intangible rights520.251 315.711 056.50791.37564.91
Intangible assets total907.311 315.711 056.50791.37564.91
Buildings5 870.322 913.366 924.406 762.248 844.60
Machinery and equipment3 523.462 968.061 876.892 025.652 532.82
Advance payments and construction in progress215.193.79246.81443.42165.53
Tangible assets total9 608.975 885.209 048.109 231.3011 542.94
Investments total5 555.365 631.265 781.255 247.855 398.75
Long term receivables total
Finished products/goods13 175.0012 573.8813 672.2316 827.4021 566.57
Inventories total13 175.0012 573.8813 672.2316 827.4021 566.57
Current trade debtors7 101.578 485.7913 672.7121 582.4625 155.65
Current amounts owed by group member comp.2 409.151 860.952 250.26832.177 691.30
Prepayments and accrued income3 461.283 575.78284.92102.862 314.50
Current other receivables799.891 226.564 634.51791.892 424.16
Current deferred tax assets3 905.132 393.171 875.34360.41
Short term receivables total17 677.0217 542.2522 717.7423 669.7937 585.60
Cash and bank deposits1 077.583 925.47130.073 390.082 525.08
Cash and cash equivalents1 077.583 925.47130.073 390.082 525.08
Balance sheet total (assets)48 001.2446 873.7852 405.8959 157.8079 183.85

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital80.0080.0080.0080.0080.00
Retained earnings-1 191.42-14 090.30-20 863.28-25 764.87-19 198.38
Profit of the financial year-12 898.89-6 752.27-4 901.606 566.497 740.64
Shareholders equity total-14 010.30-20 762.57-25 684.87-19 118.38-11 377.74
Provisions502.29145.262.9278.01
Non-current liabilities total
Advances received1 209.26774.941 017.363 244.073 150.19
Current trade creditors9 191.729 488.395 991.957 407.6810 945.53
Current owed to group member43 384.1752 631.9165 435.1658 349.7162 987.84
Short-term deferred tax liabilities1 245.051 635.06
Other non-interest bearing current liabilities6 418.413 676.965 643.378 029.6811 764.97
Accruals and deferred income1 305.69918.90
Current liabilities total61 509.2667 491.0978 087.8578 276.1890 483.59
Balance sheet total (liabilities)48 001.2446 873.7852 405.8959 157.8079 183.85
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