ReVision+ Brøndby ApS — Credit Rating and Financial Key Figures

CVR number: 20251883
Maglebæk Søpark 12, 2660 Brøndby Strand
kontakt@revision-plus.dk
tel: 88447799
www.revision-plus.com
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit210.976 502.262 671.214 047.335 116.30
Employee benefit expenses- 197.52-4 159.33-1 456.73-3 283.08-4 285.37
Total depreciation- 550.00- 329.45- 417.33- 417.33
EBIT13.461 792.93885.03346.91413.59
Other financial income6.809.127.26
Other financial expenses-0.36-16.44-84.37- 246.22- 142.63
Net income from associates (fin.)-40.00- 199.06
Pre-tax profit13.091 776.49807.46109.8279.16
Income taxes-0.13- 391.52- 173.15-54.70-78.08
Net earnings12.961 384.97634.3255.121.09

Assets (kDKK)

2020
2021
2022
2023
2024
Goodwill2 327.501 472.501 452.501 132.50
Intangible assets total2 327.501 472.501 452.501 132.50
Buildings296.09228.76161.42
Machinery and equipment122.5077.5047.5017.50
Tangible assets total122.50373.59276.26178.92
Holdings in group member companies16.00
Investments total224.1937.0023.6823.68
Long term receivables total
Inventories total
Current trade debtors215.351 082.801 359.811 139.39882.33
Current amounts owed by group member comp.636.10475.99714.82
Prepayments and accrued income3.2037.00
Current other receivables1 001.43324.00924.952 095.82
Current deferred tax assets23.1891.25158.3134.00
Short term receivables total218.542 743.512 251.052 974.483 012.15
Cash and bank deposits17.58300.65393.44176.00427.87
Cash and cash equivalents17.58300.65393.44176.00427.87
Balance sheet total (assets)236.125 718.354 527.584 902.914 775.12

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital125.00125.00125.00379.59379.59
Shares repurchased226.00800.00
Other reserves- 800.00
Retained earnings-18.57- 231.61210.10783.42838.54
Profit of the financial year12.961 384.97634.3255.121.09
Shareholders equity total119.391 504.36969.421 218.131 219.21
Provisions- 900.9430.5141.52
Non-current loans from credit institutions165.17
Non-current other liabilities18.791 048.64900.94850.64
Non-current liabilities total18.791 048.64900.941 015.81
Current loans from credit institutions240.00159.0512.90
Current trade creditors9.83308.05576.661 057.65262.99
Current owed to participating0.1312.95526.00483.41438.72
Current owed to group member640.501 211.87
Short-term deferred tax liabilities0.13414.70
Other non-interest bearing current liabilities87.862 189.652 455.501 313.671 587.92
Current liabilities total97.953 165.353 558.163 654.283 514.39
Balance sheet total (liabilities)236.125 718.354 527.585 918.724 775.12
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