JAKSLAND Capital & More ApS — Credit Rating and Financial Key Figures

CVR number: 27985726
Gammel Strandvej 193 A, 3060 Espergærde
jaksland@me.com
tel: 40204645
Free credit report Annual report

Income statement (kDKK)

2019
2020
2021
2022
2023
Fiscal period length1212121212
Net sales
Gross profit- 909.08- 428.50- 562.29- 502.14- 706.46
Employee benefit expenses- 781.39-1 214.77- 802.72- 710.78- 710.26
EBIT-1 690.47-1 643.27-1 365.01-1 212.92-1 416.71
Other financial income11 140.214 735.329 094.151 554.8217 329.58
Other financial expenses-9 927.23-4 109.97- 398.19-17 378.66- 521.14
Net income from associates (fin.)-29.88130.67- 738.2136 517.41-1 289.21
Pre-tax profit- 507.38- 887.256 592.7419 480.6414 102.52
Income taxes91.33- 157.15-1 628.403 476.27-3 416.23
Net earnings- 416.05-1 044.404 964.3422 956.9110 686.28

Assets (kDKK)

2019
2020
2021
2022
2023
Intangible assets total
Tangible assets total
Holdings in group member companies25.8625.86
Participating interests1 324.801 044.811 650.005 542.196 060.03
Investments total1 324.801 044.811 650.005 568.056 085.89
Non-current loans receivable8 492.349 562.956 838.814 000.00
Non-current other receivables8.31
Long term receivables total8 500.659 562.956 838.814 000.00
Finished products/goods1 368.001 368.001 368.001 368.001 368.00
Inventories total1 368.001 368.001 368.001 368.001 368.00
Current trade debtors5.8224.09
Current amounts owed by group member comp.6.25
Current owed by particip. interest comp.1 846.181 846.182 182.78
Prepayments and accrued income1.203.99
Current other receivables3 561.765 596.083 097.292 150.247 777.35
Current deferred tax assets565.30441.233 610.59467.39
Short term receivables total5 979.077 884.695 284.065 784.928 251.00
Other current investments61 722.3950 909.3464 934.3868 447.9574 959.62
Cash and bank deposits11 283.534 539.201 528.4312 979.492 722.42
Cash and cash equivalents73 005.9255 448.5466 462.8181 427.4477 682.04
Balance sheet total (assets)90 178.4475 308.9981 603.6894 148.4197 386.93

Equity and liabilities (kDKK)

2019
2020
2021
2022
2023
Share capital125.00125.00125.00125.00125.00
Shares repurchased3 000.004 000.004 500.007 000.00
Retained earnings86 433.9876 017.9370 973.5366 437.8879 394.79
Profit of the financial year- 416.05-1 044.404 964.3422 956.9110 686.28
Shareholders equity total89 142.9375 098.5380 062.8894 019.7997 206.07
Non-current liabilities total
Current bonds74.9787.76
Current loans from credit institutions2.33239.833.64
Current trade creditors439.0015.1133.7349.0152.14
Current owed to participating555.191.4225.071.0140.96
Short-term deferred tax liabilities1 157.97
Other non-interest bearing current liabilities38.98193.9384.20
Current liabilities total1 035.51210.451 540.80128.63180.86
Balance sheet total (liabilities)90 178.4475 308.9981 603.6894 148.4197 386.93
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