Maskinstation Martin Børsting A/S — Credit Rating and Financial Key Figures

CVR number: 40638482
Ballingvej 98, Hem 7800 Skive

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit34 379.4235 229.5047 246.7351 278.6850 804.42
Employee benefit expenses-16 134.77-17 756.19-19 954.07-23 791.06-26 611.81
Other operating expenses- 115.41- 129.05- 535.32- 713.63- 521.90
Total depreciation-11 159.74-11 671.06-16 149.15-14 958.89-18 317.03
EBIT6 969.505 673.1910 608.1911 815.115 353.68
Other financial income1.020.442.4012.59
Other financial expenses-1 192.74-1 120.52-1 403.90-3 663.60-4 012.55
Pre-tax profit5 777.784 553.129 204.298 153.911 353.72
Income taxes-1 122.51-1 017.69-2 058.32-1 141.41- 670.17
Net earnings4 655.273 535.437 145.977 012.50683.55

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights49.1738.44
Goodwill627.72490.76353.81216.8579.89
Intangible assets total676.88529.20353.81216.8579.89
Land and waters32 017.2041 573.6939 804.1139 416.1439 026.32
Buildings52 513.6160 863.7972 379.5784 907.99100 342.24
Machinery and equipment1 138.44988.08837.71750.00750.00
Tangible assets total85 669.26103 425.56113 021.40125 074.13140 118.56
Investments total575.001 000.00800.00847.00880.52
Non-current loans receivable25.0025.00
Long term receivables total25.0025.00
Finished products/goods1 541.861 631.011 878.961 395.101 944.52
Inventories total1 541.861 631.011 878.961 395.101 944.52
Current trade debtors6 973.845 246.179 907.3310 026.7810 666.39
Current owed by particip. interest comp.7.9313.1913.85
Prepayments and accrued income341.42110.681 000.77
Current other receivables401.0027.822 072.871 656.22688.47
Current deferred tax assets39.87376.73498.00
Short term receivables total7 374.845 313.8512 329.5512 183.5912 867.48
Cash and bank deposits3 831.913 401.152 820.2210 130.553 184.93
Cash and cash equivalents3 831.913 401.152 820.2210 130.553 184.93
Balance sheet total (assets)99 669.76115 300.78131 203.94149 872.22159 100.90

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital800.00800.00800.00800.00800.00
Share premium account16 700.00
Shares repurchased2 000.002 000.00
Retained earnings-2 000.0017 355.2620 890.7028 036.6635 049.16
Profit of the financial year4 655.273 535.437 145.977 012.50683.55
Shareholders equity total22 155.2623 690.7028 836.6635 849.1636 532.71
Provisions4 675.015 232.576 066.356 563.497 233.66
Non-current loans from credit institutions22 800.9128 001.5230 581.5029 587.7626 676.21
Non-current leasing loans26 756.4431 116.1838 010.1444 690.3456 067.69
Non-current liabilities total49 557.3559 117.7068 591.6474 278.1082 743.90
Current loans from credit institutions11 753.0915 756.3313 820.4815 417.9819 309.39
Current trade creditors2 614.773 527.074 277.887 830.934 861.68
Current owed to participating2 730.455 751.15
Short-term deferred tax liabilities1 419.09570.54
Other non-interest bearing current liabilities4 764.732 225.268 650.389 932.558 419.56
Accruals and deferred income390.00
Current liabilities total23 282.1327 259.8127 709.2833 181.4732 590.63
Balance sheet total (liabilities)99 669.76115 300.78131 203.94149 872.22159 100.90
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