EFFEKT ARKITEKTER ApS — Credit Rating and Financial Key Figures

CVR number: 33771304
Blågårdsgade 8, 2200 København N

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit28 002.0626 862.7030 936.5229 040.3627 403.92
Employee benefit expenses-24 233.08-23 960.81-30 248.87-28 605.44-27 070.37
Total depreciation- 116.09- 167.39- 147.50- 132.33- 115.29
EBIT3 652.892 734.50540.14302.59218.26
Other financial income-0.400.0522.19
Other financial expenses-55.71- 442.44- 106.58-98.14- 130.88
Pre-tax profit3 596.782 292.05433.57204.49109.57
Income taxes- 794.62- 505.41- 108.94-68.45-39.68
Net earnings2 802.161 786.64324.63136.0469.89

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings184.60155.18115.7876.3737.94
Machinery and equipment421.02332.04223.94131.0154.15
Tangible assets total605.61487.22339.72207.3992.09
Investments total139.81185.03209.34289.85283.35
Long term receivables total
Inventories total
Current trade debtors16 267.378 623.5311 394.027 768.138 046.30
Prepayments and accrued income394.46655.531 015.791 183.95766.69
Current other receivables176.41459.212 378.593 282.473 369.91
Current deferred tax assets45.0231.69229.32189.65
Short term receivables total16 883.259 738.2814 820.0912 463.8612 372.56
Cash and bank deposits3 946.852 618.703 129.691 769.2177.33
Cash and cash equivalents3 946.852 618.703 129.691 769.2177.33
Balance sheet total (assets)21 575.5213 029.2318 498.8414 730.3112 825.33

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital80.0080.0080.0080.0080.00
Shares repurchased2 000.00114.40162.00136.00
Retained earnings954.253 642.015 266.655 455.275 591.31
Profit of the financial year2 802.161 786.64324.63136.0469.89
Shareholders equity total5 836.415 623.055 833.275 807.315 741.21
Provisions18.53
Non-current liabilities total
Current loans from credit institutions4.575.8352.24
Advances received2 962.401 060.00200.00415.40
Current trade creditors990.881 363.565 487.511 677.241 649.04
Current owed to participating72.54157.36628.43652.3452.34
Current owed to group member264.48863.861 938.751 991.861 775.72
Short-term deferred tax liabilities806.97441.86159.16266.09
Other non-interest bearing current liabilities10 637.284 555.173 391.724 135.473 139.37
Current liabilities total15 739.127 387.6512 665.578 923.007 084.12
Balance sheet total (liabilities)21 575.5213 029.2318 498.8414 730.3112 825.33
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