RENDER MARK 1 ApS — Credit Rating and Financial Key Figures

CVR number: 30823478
Hasserisvej 174, 9000 Aalborg
lv@abnlaw.dk

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit203.71205.50811.591 832.56- 138.88
Employee benefit expenses-0.30-1.00- 162.72
Total depreciation- 183.29-22.64-7.39
EBIT20.72181.85804.201 669.84- 138.88
Other financial income1.438.5894.37936.52
Other financial expenses- 183.14- 171.44- 148.11- 162.48- 178.08
Reduction non-current investment assets- 700.00-4 569.94-46.06
Income from other inv. held as non-curr. assets992.62989.072 721.2222 480.850.00
Pre-tax profit130.201 000.903 385.8919 512.64573.50
Income taxes- 100.12- 135.22-10.27-4 054.57- 136.52
Net earnings30.08865.693 375.6215 458.07436.98

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters1 030.041 007.401 000.01
Tangible assets total1 030.041 007.401 000.01
Investments total
Non-current loans receivable5 917.565 923.275 923.271 353.331 307.27
Non-current other receivables110.00100.0090.00
Long term receivables total6 027.566 023.276 013.271 353.331 307.27
Inventories total
Current trade debtors52.6294.97101.74
Current amounts owed by group member comp.73.6681.2889.41130.07
Prepayments and accrued income15.2015.0815.90
Current other receivables17.54441.95450.1649.3538.35
Current deferred tax assets49.3849.38128.47
Short term receivables total208.40682.66785.68179.4238.35
Cash and bank deposits232.922 626.3027 950.5527 583.42
Cash and cash equivalents232.922 626.3027 950.5527 583.42
Balance sheet total (assets)7 266.007 946.2510 425.2629 483.3028 929.04

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital125.00125.00125.00125.00125.00
Shares repurchased1 000.00
Retained earnings1 337.541 367.621 233.304 608.9220 066.99
Profit of the financial year30.08865.693 375.6215 458.07436.98
Shareholders equity total1 492.622 358.315 733.9220 191.9920 628.97
Non-current loans from credit institutions5 016.274 996.724 665.34
Non-current liabilities total5 016.274 996.724 665.34
Current loans from credit institutions693.57543.315 335.114 554.45
Current trade creditors57.6936.1326.0090.95201.88
Current owed to group member24.21
Short-term deferred tax liabilities3 828.403 519.53
Other non-interest bearing current liabilities5.8511.7936.84
Current liabilities total757.11591.2226.009 291.318 300.07
Balance sheet total (liabilities)7 266.007 946.2510 425.2629 483.3028 929.04
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