Reapplix A/S — Credit Rating and Financial Key Figures

CVR number: 31261570
Bregnerødvej 133, 3460 Birkerød
info@reapplix.com
tel: 88168066

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales733.001 611.004 384.007 190.0014 696.00
Costs of manufacturing- 296.00- 671.00-4 632.00-2 982.00-3 267.00
Gross profit437.00940.00- 248.004 208.0011 429.00
Costs of management-5 491.00-4 994.00-5 822.00
Costs of distribution-37 723.00-35 175.00-44 759.00
Other operating expenses-8 565.00-7 774.00-5 876.00
EBIT437.00940.00-52 027.00-43 735.00-45 028.00
Other financial income5 656.001 083.006 525.00
Other financial expenses- 227.00-4 486.00- 266.00
Pre-tax profit-35 384.00-31 416.00-46 598.00-47 138.00-38 769.00
Income taxes1 580.001 268.001 007.00
Net earnings-35 384.00-31 416.00-45 018.00-45 870.00-37 762.00

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure874.00663.00452.00
Intangible assets total874.00663.00452.00
Buildings6 585.005 831.004 581.00
Machinery and equipment412.00294.00188.00
Other tangible assets4 861.00245.00747.00438.00
Tangible assets total4 861.007 242.006 872.005 207.00
Other non-current investments6 598.00979.00
Investments total6 598.00979.00322.00688.00717.00
Long term receivables total
Raw materials and consumables475.00615.00600.00
Finished products/goods463.00874.00417.00109.00144.00
Inventories total463.00874.00892.00724.00744.00
Current trade debtors2 056.002 421.005 321.00
Prepayments and accrued income702.001 229.001 837.00
Current other receivables4 008.003 119.00504.00427.00347.00
Current deferred tax assets1 598.001 286.001 016.00
Short term receivables total4 008.003 119.004 860.005 363.008 521.00
Cash and bank deposits47 622.0071 890.0020 641.0055 592.0010 714.00
Cash and cash equivalents47 622.0071 890.0020 641.0055 592.0010 714.00
Balance sheet total (assets)58 691.0081 723.0034 831.0069 902.0026 355.00

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital6 062.007 746.007 746.00
Other reserves6 693.004 753.00-3 007.00222.00-4 569.00
Retained earnings72 182.0099 403.0067 992.0098 546.0052 482.00
Profit of the financial year-35 384.00-31 416.00-45 018.00-45 870.00-37 762.00
Shareholders equity total43 491.0072 740.0026 029.0060 644.0017 897.00
Non-current leasing loans910.00846.00290.00
Non-current liabilities total910.00846.00290.00
Current loans from credit institutions56.00
Current trade creditors905.001 940.001 552.00
Short-term deferred tax liabilities38.0036.003.00
Other non-interest bearing current liabilities6 893.006 436.006 613.00
Current liabilities total7 892.008 412.008 168.00
Balance sheet total (liabilities)43 491.0072 740.0034 831.0069 902.0026 355.00
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