TH Malerforretning ApS

Select financial year:
Profitability
ROA %:-19.7%
ROI %:-22.5%
ROE %:-22.6%
Gross profit:-64.8 kDKK
EBIT:-64.8 kDKK
Solidity
Equity ratio %:94.8%
Net gearing % (Reverse scale):-104%
Liquidity
Quick Ratio:19.1
Current Ratio:19.1
Size
Net sales:0.00 kDKK
Balance sheet total (assets):209 kDKK
Bankruptcy risk
Bankruptcy risk:30.6%