MAJ ISENKRAM ApS — Credit Rating and Financial Key Figures

CVR number: 19353931
Rude Havvej 17, 8300 Odder
brian@maj-isenkram.dk
tel: 86560433

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit4 799.376 295.145 784.666 467.466 837.02
Employee benefit expenses-4 252.03-4 500.52-4 931.63-5 465.07-5 603.75
Total depreciation- 157.12- 143.86-30.48-30.48-30.00
EBIT390.221 650.77822.55971.911 203.26
Other financial income122.04207.8054.05118.82117.96
Other financial expenses- 298.18- 256.93- 238.05- 407.11- 389.75
Pre-tax profit214.081 601.64638.55683.62931.46
Income taxes-52.26- 353.19- 141.97- 127.97- 206.06
Net earnings161.821 248.46496.58555.65725.41

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters5 771.355 638.97
Buildings2.1134.1022.5711.05
Machinery and equipment85.9066.9447.9929.03
Tangible assets total5 773.465 758.9789.5259.0329.03
Investments total
Long term receivables total
Raw materials and consumables8 276.948 409.838 750.148 789.678 522.15
Inventories total8 276.948 409.838 750.148 789.678 522.15
Current trade debtors1 035.031 962.431 441.581 847.662 345.20
Prepayments and accrued income116.94438.29445.44375.00606.95
Current other receivables24.8524.8552.4936.75200.98
Current deferred tax assets0.283.56
Short term receivables total1 176.822 425.571 939.512 259.703 156.69
Other current investments4.666.749.039.6810.20
Cash and bank deposits4.7324.73160.12257.5356.34
Cash and cash equivalents9.3931.46169.14267.2166.54
Balance sheet total (assets)15 236.6116 625.8310 948.3211 375.6111 774.41

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital125.00125.00125.00156.25156.25
Share premium account12.50
Shares repurchased800.00370.00500.00
Retained earnings3 713.993 888.311 808.812 704.142 759.79
Profit of the financial year161.821 248.46496.58555.65725.41
Shareholders equity total4 013.315 261.763 230.393 786.044 141.45
Provisions678.00704.512.00
Non-current loans from credit institutions2 432.402 033.99
Non-current liabilities total2 432.402 033.99
Current loans from credit institutions2 132.561 946.733 024.121 618.272 179.73
Current trade creditors138.47493.19290.61220.41314.50
Current owed to group member2 888.772 901.852 985.794 037.063 737.85
Other non-interest bearing current liabilities2 953.123 283.801 415.401 713.831 400.90
Current liabilities total8 112.918 625.577 715.937 589.577 632.97
Balance sheet total (liabilities)15 236.6116 625.8310 948.3211 375.6111 774.41
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