PAN EU KØBMAGERGADE 39 ApS — Credit Rating and Financial Key Figures

CVR number: 35825142
Gothersgade 49, 1123 København K
kristian.skovgaard@dk.dlapiper.com

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit-22 015.0016 873.00-22 001.00-45 395.38-19 496.42
Reduction in value of non-current assets-27 118.00904.00-21 400.00-45 754.40-19 000.00
EBIT-49 133.0017 777.00-43 401.00-91 149.78-38 496.42
Other financial income29.3416.86
Other financial expenses-4 098.00-4 177.00-4 164.00-4 056.01-4 062.80
Pre-tax profit-26 113.0012 696.00-26 165.00-49 422.04-23 542.36
Income taxes5 756.00-2 793.005 756.0010 866.925 179.32
Net earnings-20 357.009 903.00-20 409.00-38 555.12-18 363.04

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings233 402.00234 399.00213 000.00168 000.00149 000.00
Tangible assets total233 402.00234 399.00213 000.00168 000.00149 000.00
Investments total
Long term receivables total
Inventories total
Current trade debtors1 772.002 098.00146.0069.75224.79
Prepayments and accrued income8.0053.00110.00101.70101.78
Current other receivables77.0810.21
Current deferred tax assets12.006.00
Short term receivables total1 780.002 151.00256.00260.52342.77
Cash and bank deposits6 383.0015 965.009 541.005 404.719 758.26
Cash and cash equivalents6 383.0015 965.009 541.005 404.719 758.26
Balance sheet total (assets)241 565.00252 515.00222 797.00173 665.24159 101.04

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital50.0050.0050.0050.00100.00
Retained earnings106 096.0085 739.0095 641.0075 232.1242 966.13
Profit of the financial year-20 357.009 903.00-20 409.00-38 555.12-18 363.04
Shareholders equity total85 789.0095 692.0075 282.0036 727.0024 703.08
Provisions25 224.0027 940.0022 177.0011 310.556 131.23
Non-current owed to group member122 898.00122 898.00122 898.00122 898.07
Non-current other liabilities3 442.003 755.00441.00711.49771.79
Non-current liabilities total126 340.00126 653.00123 339.00123 609.55771.79
Advances received76.0049.0044.0025.0986.58
Current trade creditors737.0061.00607.00970.80454.65
Current owed to group member323.00323.00323.001 022.24126 953.70
Short-term deferred tax liabilities77.00
Other non-interest bearing current liabilities3 076.001 720.00- 651.00
Current liabilities total4 212.002 230.00323.002 018.14127 494.93
Balance sheet total (liabilities)241 565.00252 515.00221 121.00173 665.24159 101.04
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