JM Band ApS — Credit Rating and Financial Key Figures

CVR number: 41840943
Axel Gruhns Vej 10 M, 8270 Højbjerg
info@jmband.dk
tel: 53765366
https://jmband.dk/
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit1 253.963 169.693 956.145 022.386 711.22
Employee benefit expenses- 342.34- 827.52-2 053.91-2 278.45-2 730.12
Total depreciation- 265.83- 296.40- 381.58- 381.58- 381.58
EBIT645.792 045.771 520.652 362.343 599.52
Other financial income23.7034.2024.0046.27
Other financial expenses-51.14- 135.77-9.10-23.56-20.14
Pre-tax profit594.651 933.701 545.742 362.793 625.64
Income taxes- 133.58- 427.61- 344.78- 539.95- 801.91
Net earnings461.081 506.091 200.961 822.842 823.74

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible rights338.40253.80169.20
Goodwill1 102.50832.50562.50292.5022.50
Intangible assets total1 102.50832.50900.90546.30191.70
Machinery and equipment81.6790.1763.1936.219.23
Tangible assets total81.6790.1763.1936.219.23
Investments total120.00120.00120.00
Long term receivables total
Finished products/goods305.37889.921 013.611 202.051 193.68
Inventories total305.37889.921 013.611 202.051 193.68
Current trade debtors372.78381.46452.36753.571 277.78
Current amounts owed by group member comp.12.21
Current other receivables40.1157.78
Current deferred tax assets9.16106.7673.65
Short term receivables total372.78390.61452.36900.441 421.42
Cash and bank deposits881.632 098.721 057.262 656.444 146.61
Cash and cash equivalents881.632 098.721 057.262 656.444 146.61
Balance sheet total (assets)2 743.944 301.923 607.335 461.437 082.64

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00500.00500.00500.00
Shares repurchased1 500.00700.001 500.002 500.00
Other reserves- 200.00
Retained earnings-1 173.92- 367.83- 666.87-1 344.03
Profit of the financial year461.081 506.091 200.961 822.842 823.74
Shareholders equity total961.082 332.171 833.133 155.984 479.71
Provisions5.9442.380.87
Non-current owed to group member842.00
Non-current other liabilities419.09
Non-current deferred tax liabilities127.63430.40909.94876.42
Non-current liabilities total969.63419.09430.40909.94876.42
Current loans from credit institutions150.00
Current trade creditors68.67446.50470.86260.32354.57
Current owed to group member34.1118.41460.91390.65
Short-term deferred tax liabilities442.71235.94407.92
Other non-interest bearing current liabilities588.63627.33576.19673.42573.36
Current liabilities total807.291 550.651 301.401 394.651 726.50
Balance sheet total (liabilities)2 743.944 301.923 607.335 461.437 082.64
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