LARS PEDERSEN FOTO ApS — Credit Rating and Financial Key Figures

CVR number: 82409416
Brødregade 28, 8900 Randers C
mail@fotomax.dk
tel: 86434322
www.fotomax.dk

Income statement (kDKK)

2019
2020
2021
2022
2023
Fiscal period length1212121212
Net sales
Gross profit424.38347.08340.73480.68275.29
Employee benefit expenses- 229.00- 215.71- 288.76- 236.02- 254.85
Total depreciation-25.00
EBIT170.39131.3751.96244.6520.44
Other financial expenses-7.90-3.53-3.55-3.34-9.12
Pre-tax profit162.48127.8448.41241.3111.32
Income taxes-41.47-3.17
Net earnings162.48127.8448.41199.848.16

Assets (kDKK)

2019
2020
2021
2022
2023
Intangible assets total
Tangible assets total
Investments total38.4783.4745.5046.0045.50
Non-current loans receivable63.1668.83
Long term receivables total63.1668.83
Finished products/goods831.51849.72867.55873.99812.42
Inventories total831.51849.72867.55873.99812.42
Current trade debtors1.885.494.463.623.96
Current amounts owed by group member comp.62.16
Short term receivables total1.8867.664.463.623.96
Cash and bank deposits40.9730.9027.5662.0646.10
Cash and cash equivalents40.9730.9027.5662.0646.10
Balance sheet total (assets)975.991 100.58945.07985.66907.97

Equity and liabilities (kDKK)

2019
2020
2021
2022
2023
Share capital125.00125.00125.00125.00125.00
Retained earnings- 881.30- 718.82- 590.98- 542.57- 342.73
Profit of the financial year162.48127.8448.41199.848.16
Shareholders equity total- 593.82- 465.98- 417.57- 217.73- 209.57
Non-current loans from credit institutions750.00670.00534.15444.15370.75
Non-current owed to group member7.88
Non-current owed to participating300.18402.54219.96118.06193.17
Non-current liabilities total1 058.061 072.54754.11562.21563.92
Current loans from credit institutions302.17284.52359.73375.40342.42
Advances received2.633.083.96
Current trade creditors89.66100.2187.1376.7996.73
Short-term deferred tax liabilities41.473.17
Other non-interest bearing current liabilities117.29106.22157.72147.52111.31
Current liabilities total511.75494.02608.54641.18553.63
Balance sheet total (liabilities)975.991 100.58945.07985.66907.97
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