DYREMOSE A/S

 

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Analyst: XBRLDenmark
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Bankruptcy Risk 
2020
2020/9
2021
2021/9
2022
2022/9
2023
2023/9
2024
2024/9
Bankruptcy risk for industry  2.4% 2.4% 2.4% 2.4% 2.4%  
Bankruptcy risk  1.8% 2.4% 2.9% 1.8% 4.0%  
Credit score (0-100)  72 62 58 70 23  
Credit rating  A BBB BBB A BBB  
Credit limit (kDKK)  1.2 0.0 0.0 1.5 0.0  

How are these values calculated?
 
View the automatically generated explanation of bankruptcy risk

Income statement (kDKK) 
2020
2020/9
2021
2021/9
2022
2022/9
2023
2023/9
2024
2024/9

Net sales  2,283 0 1,822 2,208 3,133  
Gross profit  1,124 1,460 1,110 1,483 1,674  
EBITDA  304 580 -157 443 424  
EBIT  304 580 -157 443 424  
Pre-tax profit (PTP)  279.3 436.7 235.8 311.8 5,418.1  
Net earnings  240.1 340.7 235.8 300.6 5,350.9  
Pre-tax profit without non-rec. items  279 437 236 312 5,418  

 
See the entire income statement

Balance sheet (kDKK) 
2020
2020/9
2021
2021/9
2022
2022/9
2023
2023/9
2024
2024/9

Tangible assets total  0.0 0.0 0.0 0.0 0.0  
Shareholders equity total  1,371 1,601 1,724 2,025 3,048  
Interest-bearing liabilities  1,075 159 0.0 0.0 0.0  
Balance sheet total (assets)  4,671 4,322 4,257 4,485 5,248  

Net Debt  851 81.1 -12.3 -229 -91.2  
 
See the entire balance sheet

Volume 
2020
2020/9
2021
2021/9
2022
2022/9
2023
2023/9
2024
2024/9

Net sales  2,283 0 1,822 2,208 3,133  
Net sales growth  -19.4% -100.0% 0.0% 21.2% 41.9%  
Gross profit  1,124 1,460 1,110 1,483 1,674  
Gross profit growth  -8.3% 29.9% -24.0% 33.5% 12.9%  
Employees  0 0 0 0 2  
Employee growth %  0.0% 0.0% 0.0% 0.0% 0.0%  
Employee expenses  0.0 0.0 0.0 0.0 0.0  
Balance sheet total (assets)  4,671 4,322 4,257 4,485 5,248  
Balance sheet change%  219.0% -7.5% -1.5% 5.3% 17.0%  
Added value  303.7 580.3 -156.9 443.4 424.3  
Added value %  13.3% 0.0% -8.6% 20.1% 13.5%  
Investments  0 0 0 0 0  

Net sales trend  -1.0 -2.0 0.0 1.0 2.0  
EBIT trend  5.0 5.0 -1.0 1.0 2.0  

Profitability 
2020
2020/9
2021
2021/9
2022
2022/9
2023
2023/9
2024
2024/9
EBITDA %  13.3% 0.0% -8.6% 20.1% 13.5%  
EBIT %  13.3% 0.0% -8.6% 20.1% 13.5%  
EBIT to gross profit (%)  27.0% 39.7% -14.1% 29.9% 25.3%  
Net Earnings %  10.5% 0.0% 12.9% 13.6% 170.8%  
Profit before depreciation and extraordinary items %  10.5% 0.0% 12.9% 13.6% 170.8%  
Pre tax profit less extraordinaries %  12.2% 0.0% 12.9% 14.1% 173.0%  
ROA %  13.2% 12.9% 8.0% 10.1% 113.8%  
ROI %  22.0% 27.6% 19.7% 23.7% 218.4%  
ROE %  18.4% 22.9% 14.2% 16.0% 211.0%  

Solidity 
2020
2020/9
2021
2021/9
2022
2022/9
2023
2023/9
2024
2024/9
Equity ratio %  29.4% 37.1% 40.5% 45.1% 58.1%  
Relative indebtedness %  144.6% 0.0% 139.1% 111.4% 70.2%  
Relative net indebtedness %  134.8% 0.0% 138.4% 101.1% 67.3%  
Net int. bear. debt to EBITDA, %  280.4% 14.0% 7.8% -51.5% -21.5%  
Gearing %  78.4% 9.9% 0.0% 0.0% 0.0%  
Net interest  0 0 0 0 0  
Financing costs %  23.6% 23.4% 135.1% 0.0% 0.0%  

Liquidity 
2020
2020/9
2021
2021/9
2022
2022/9
2023
2023/9
2024
2024/9
Quick Ratio  0.1 0.0 0.0 0.1 0.0  
Current Ratio  0.1 0.0 0.0 0.1 0.0  
Cash and cash equivalent  223.6 77.8 12.3 228.6 91.2  

Capital use efficiency 
2020
2020/9
2021
2021/9
2022
2022/9
2023
2023/9
2024
2024/9
Trade debtors turnover (days)  10.7 0.0 0.0 0.0 0.0  
Trade creditors turnover (days)  117.4 0.0 30.6 16.7 25.8  
Current assets / Net sales %  17.7% 0.0% 0.8% 11.0% 3.3%  
Net working capital  -2,896.0 -2,640.9 -2,518.0 -2,217.4 -2,097.7  
Net working capital %  -126.9% 0.0% -138.2% -100.4% -67.0%  

Employee efficiency 
2020
2020/9
2021
2021/9
2022
2022/9
2023
2023/9
2024
2024/9
Net sales / employee  0 0 0 0 1,566  
Added value / employee  0 0 0 0 212  
Employee expenses / employee  0 0 0 0 0  
EBITDA / employee  0 0 0 0 212  
EBIT / employee  0 0 0 0 212  
Net earnings / employee  0 0 0 0 2,675