RYSLINGE TAGDÆKNING A/S — Credit Rating and Financial Key Figures

CVR number: 30554124
Korsvangen 15, 5750 Ringe
info@ryslingetag.dk
tel: 62272540
www.ryslingetag.dk

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit12 858.9017 326.2618 342.1428 082.3635 006.30
Employee benefit expenses-10 193.68-11 098.99-13 523.76-17 982.64-27 619.90
Total depreciation- 263.49- 182.59- 349.75- 453.74- 529.48
EBIT2 401.736 044.684 468.639 645.986 856.92
Other financial income10.107.5131.65
Other financial expenses-93.15-89.72- 253.42- 139.17- 159.12
Pre-tax profit2 318.685 954.964 215.219 514.326 729.44
Income taxes- 525.94-1 315.21- 956.38-2 106.80-1 458.30
Net earnings1 792.754 639.753 258.837 407.535 271.14

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters1 115.581 082.061 048.531 052.691 015.36
Buildings59.3153.28
Machinery and equipment174.93638.60745.32636.581 002.66
Tangible assets total1 290.511 720.651 793.851 748.582 071.31
Investments total
Long term receivables total
Raw materials and consumables1 710.371 858.311 777.071 875.462 245.84
Inventories total1 710.371 858.311 777.071 875.462 245.84
Current trade debtors8 211.9410 827.286 868.638 620.2413 132.12
Current amounts owed by group member comp.533.36570.281 963.82
Prepayments and accrued income288.62141.48800.59491.241 064.99
Current other receivables803.39906.172 679.833 558.841 838.06
Short term receivables total9 837.3112 445.2010 349.0414 634.1416 035.17
Cash and bank deposits336.22759.54995.464 582.031 269.79
Cash and cash equivalents336.22759.54995.464 582.031 269.79
Balance sheet total (assets)13 174.4116 783.7014 915.4322 840.2021 622.10

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00520.00
Shares repurchased1 000.003 000.003 000.004 000.005 000.00
Retained earnings493.41- 713.84925.91184.733 760.40
Profit of the financial year1 792.754 639.753 258.837 407.535 271.14
Shareholders equity total3 786.167 425.917 684.7312 092.2614 551.54
Provisions113.67140.94140.03117.1478.91
Non-current deferred tax liabilities199.34178.48
Non-current liabilities total199.34178.48
Current trade creditors1 536.942 856.071 890.301 727.611 084.22
Current owed to group member947.02905.01270.221 227.51588.94
Short-term deferred tax liabilities525.131 287.94957.292 129.691 496.53
Other non-interest bearing current liabilities2 915.432 936.512 231.623 875.462 620.11
Accruals and deferred income3 350.071 231.311 541.891 492.061 201.85
Current liabilities total9 274.589 216.856 891.3210 452.326 991.65
Balance sheet total (liabilities)13 174.4116 783.7014 915.4322 840.2021 622.10
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