Madklubben 723 ApS — Credit Rating and Financial Key Figures

CVR number: 39224631
Solbjergvej 10, 2000 Frederiksberg

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit10 428.2715 179.0516 930.0012 686.5813 076.99
Employee benefit expenses-7 721.02-10 177.97-11 056.23-9 438.88-11 667.93
Other operating expenses- 698.86
Total depreciation-1 765.46- 744.20- 800.45- 659.13-1 252.53
EBIT941.804 256.885 073.322 588.58- 542.34
Other financial income75.38157.99365.16275.8065.40
Other financial expenses-37.05-47.16- 111.32-48.28- 131.91
Pre-tax profit980.134 367.715 327.152 816.09- 608.85
Income taxes- 215.63- 950.40-1 176.57- 613.04204.08
Net earnings764.503 417.314 150.592 203.06- 404.77

Assets (kDKK)

2020
2021
2022
2023
2024
Goodwill86.33
Intangible assets total86.33
Buildings809.65518.01240.0072.37183.57
Machinery and equipment1 048.691 909.431 483.221 071.82600.33
Tangible assets total1 858.352 427.441 723.221 144.20783.90
Investments total
Long term receivables total
Raw materials and consumables226.86328.25228.71395.36492.64
Inventories total226.86328.25228.71395.36492.64
Current trade debtors25.20272.90292.35329.74304.98
Current amounts owed by group member comp.2 402.638 112.9610 176.313 139.952 634.88
Prepayments and accrued income47.8942.3161.23
Current other receivables796.84219.32150.52239.08356.59
Current deferred tax assets216.18121.2384.6844.28205.29
Short term receivables total3 488.748 726.4010 703.863 795.363 562.98
Cash and bank deposits83.4333.78126.6698.1634.99
Cash and cash equivalents83.4333.78126.6698.1634.99
Balance sheet total (assets)5 657.3811 515.8712 782.455 433.084 960.83

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital50.0050.0050.0050.0060.00
Shares repurchased8 332.402 203.06470.53
Retained earnings0.00764.50-4 150.59-2 203.06404.77
Profit of the financial year764.503 417.314 150.592 203.06- 404.77
Shareholders equity total814.504 231.818 382.402 253.06530.53
Non-current leasing loans54.0129.68
Non-current other liabilities403.11
Non-current liabilities total403.1154.0129.68
Advances received1.7268.96
Current trade creditors927.281 148.301 425.761 052.672 889.23
Current owed to group member536.4718.1356.51
Short-term deferred tax liabilities378.28855.451 140.02572.64
Other non-interest bearing current liabilities2 999.124 790.111 723.751 525.031 534.07
Accruals and deferred income7.00
Current liabilities total4 842.886 880.954 346.043 150.344 430.30
Balance sheet total (liabilities)5 657.3811 515.8712 782.455 433.084 960.83
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