REEFORM PILATES STUDIOS ApS

CVR number: 34626324
Vasevej 125, 3460 Birkerød
jens@reeform.dk
tel: 31111701

Credit rating

Company information

Official name
REEFORM PILATES STUDIOS ApS
Established
2012
Company form
Private limited company
Industry
  • Expand more icon93Sports activities and amusement and recreation activities

About REEFORM PILATES STUDIOS ApS

REEFORM PILATES STUDIOS ApS (CVR number: 34626324) is a company from RUDERSDAL. The company recorded a gross profit of 489.8 kDKK in 2023, demonstrating a growth of 8.5 % compared to the previous year. The operating profit was 3 kDKK, while net earnings were 2.3 kDKK. The profitability of the company measured by Return on Assets (ROA) was 1.4 %, which can be considered weak and Return on Equity (ROE) was 1.7 %, which can be considered weak. The equity ratio, a key indicator for solidity, stood at 64.8 %, a level that can be considered to be good. This shows that a large part of the company's assets are funded by shareholders' equity, reducing financial risk. REEFORM PILATES STUDIOS ApS's liquidity measured by quick ratio was 0 which is at a very low level. Thus, the company is in an unstable financial position, with its liquid assets significantly undermatching its current liabilities. This severe liquidity deficiency may lead to financial distress and threaten the company's operational continuity.

Financial information

See financials

Net sales (kDKK)

EBIT (kDKK)

Profitability

Solidity

Key figures (kDKK)

See financials
20192020202120222023
Volume
Net sales1 379.811 312.931 472.20
Gross profit669.10464.69364.25451.40489.77
EBIT50.8128.0155.6535.782.97
Net earnings40.1421.8426.9427.912.31
Shareholders equity total120.1480.00106.94134.85137.17
Balance sheet total (assets)208.30197.93169.91197.95211.64
Net debt-14.75-35.70-7.67-13.91-27.61
Profitability
EBIT-%3.7 %4.2 %2.4 %
ROA29.3 %13.8 %30.3 %19.5 %1.4 %
ROE38.3 %21.8 %28.8 %23.1 %1.7 %
ROI48.4 %28.0 %59.5 %29.6 %2.2 %
Economic value added (EVA)36.9816.5541.1822.92-3.11
Solvency
Equity ratio57.7 %40.4 %62.9 %68.1 %64.8 %
Gearing
Relative net indebtedness %5.3 %4.2 %3.3 %
Liquidity
Quick ratio0.5
Current ratio0.5
Cash and cash equivalents14.7535.707.6713.9127.61
Capital use efficiency
Trade debtors turnover (days)8.3
Net working capital %3.3 %-0.7 %0.9 %
Credit risk
Credit ratingBBBBBB

Variable visualization

ROA:1.45%
Rating: 27/100
-20%
0%
4%
11%
24%
60%
Graph showing the distribution of the variable
Equity ratio:64.8%
Rating: 50/100
-1%
21%
50%
81%
99%
100%
Graph showing the distribution of the variable

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