SLAGELSE AUTOOPHUG ApS — Credit Rating and Financial Key Figures

CVR number: 21809373
Skovsødalen 3, Skovsø 4200 Slagelse
tel: 58544313
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit970.06135.41461.14763.71389.53
Employee benefit expenses-1 332.50-1 083.73-1 051.15- 762.10-1 051.87
Other operating expenses- 952.65
Total depreciation-88.77- 270.05- 261.19- 221.62-60.73
EBIT- 451.20-1 218.37- 851.20- 220.00-1 675.72
Other financial income57.5494.1287.6193.1172.19
Other financial expenses- 459.25- 723.87- 587.58- 615.32- 415.70
Pre-tax profit- 852.91-1 848.11-1 351.17- 742.22-2 019.23
Income taxes184.66405.3374.89- 304.65
Net earnings- 668.26-1 442.79-1 276.28- 742.22-2 323.88

Assets (kDKK)

2020
2021
2022
2023
2024
Goodwill96.6776.6756.6736.6716.67
Intangible assets total96.6776.6756.6736.6716.67
Buildings14.478.414.680.94
Machinery and equipment679.33435.33197.88
Tangible assets total693.80443.74202.550.94
Investments total46.0045.0045.0045.0045.00
Non-current loans receivable15.8715.87
Non-current other receivables1 047.231 052.231 052.231 052.2399.58
Long term receivables total1 063.101 068.101 052.231 052.2399.58
Finished products/goods8 421.398 371.928 465.608 531.357 649.82
Inventories total8 421.398 371.928 465.608 531.357 649.82
Current trade debtors166.62139.08129.10122.3059.88
Current amounts owed by group member comp.2 285.052 381.162 496.812 630.561 837.46
Current other receivables253.75119.0444.0024.2230.08
Current deferred tax assets154.80493.53438.38438.38
Short term receivables total2 860.213 132.813 108.293 215.451 927.42
Cash and bank deposits13.368.5015.3210.1230.46
Cash and cash equivalents13.368.5015.3210.1230.46
Balance sheet total (assets)13 194.5313 146.7412 945.6512 891.759 768.95

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital897.10897.10897.10897.10897.10
Retained earnings356.491 688.23916.545 304.634 562.41
Profit of the financial year- 668.26-1 442.79-1 276.28- 742.22-2 323.88
Shareholders equity total585.331 142.54537.365 459.513 135.64
Non-current loans from credit institutions2 660.272 357.422 139.59
Non-current owed to group member2 239.33309.291 774.68
Non-current other liabilities16.0048.70
Non-current deferred tax liabilities23.78
Non-current liabilities total4 915.612 715.412 163.371 774.68
Current loans from credit institutions4 931.345 195.045 639.335 352.646 270.44
Advances received35.5719.0827.0819.00
Current trade creditors257.44331.63119.34167.15
Current owed to participating0.08440.08390.080.65
Current owed to group member2 357.643 137.183 696.7644.4094.63
Other non-interest bearing current liabilities368.96239.98160.03122.19100.45
Current liabilities total7 693.599 288.7910 244.925 657.566 633.31
Balance sheet total (liabilities)13 194.5313 146.7412 945.6512 891.759 768.95
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