ForMotion Denmark A/S — Credit Rating and Financial Key Figures

CVR number: 30703502
Børstenbindervej 12 A, 5230 Odense M
denmark@formotion.com
tel: 63150505

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit35 442.8132 685.3831 912.7936 527.1241 951.00
Employee benefit expenses-32 500.31-29 162.81-33 587.91-39 199.76-39 133.68
Total depreciation-1 200.69-2 080.13- 829.57- 914.63- 886.79
EBIT1 741.811 442.45-2 504.69-3 587.281 930.53
Other financial income91.0032.2346.09101.950.01
Other financial expenses-61.91- 325.96-89.87- 178.85- 196.71
Pre-tax profit1 770.901 148.72-2 548.47-3 664.171 733.83
Income taxes- 441.67- 213.59559.14806.35- 421.51
Net earnings1 329.23935.13-1 989.33-2 857.831 312.33

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure209.14
Intangible rights2.89
Intangible assets total209.142.89
Buildings2 031.941 244.551 005.23976.47946.92
Machinery and equipment1 175.091 214.791 354.82883.82622.94
Tangible assets total3 207.032 459.342 360.041 860.281 569.86
Investments total1 135.741 172.441 193.131 193.131 193.13
Long term receivables total
Semifinished products3 555.223 723.852 902.574 331.08
Raw materials and consumables3 494.043 766.224 236.353 473.371 983.88
Inventories total3 494.047 321.447 960.206 375.946 314.96
Current trade debtors8 728.9610 702.0113 578.0410 641.3712 348.50
Current amounts owed by group member comp.4 115.421 789.271 989.524 591.194 158.36
Prepayments and accrued income725.14749.52931.551 166.491 351.73
Current other receivables3 133.0150.0011.0711.40216.25
Current deferred tax assets512.09763.0714.02
Short term receivables total16 702.5313 290.8117 022.2717 173.5318 088.86
Cash and bank deposits10 114.566 873.046 751.632 725.5111 168.26
Cash and cash equivalents10 114.566 873.046 751.632 725.5111 168.26
Balance sheet total (assets)34 863.0431 117.0735 290.1629 328.4038 335.07

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital5 000.005 000.005 000.005 000.005 000.00
Other reserves163.13
Retained earnings14 188.2415 680.6016 615.7314 626.4011 768.57
Profit of the financial year1 329.23935.13-1 989.33-2 857.831 312.33
Shareholders equity total20 680.6021 615.7319 626.4016 768.5718 080.89
Provisions715.6561.28
Non-current liabilities total
Current trade creditors2 288.492 911.463 791.393 523.653 391.06
Current owed to group member150.916.756 532.992 570.048 365.56
Short-term deferred tax liabilities355.13556.56431.62
Other non-interest bearing current liabilities10 672.265 965.315 339.386 466.148 065.94
Current liabilities total13 466.799 440.0715 663.7612 559.8320 254.18
Balance sheet total (liabilities)34 863.0431 117.0735 290.1629 328.4038 335.07
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