BUILD-A-BEAR WORKSHOP DENMARK ApS

 

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Analyst: XBRLDenmark
 
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Bankruptcy Risk 
2018
2019/1
2019
2020/1
2020
2021/1
2021
2022/1
2022
2023/1
Bankruptcy risk for industry  1.5% 1.5% 1.5% 1.5% 1.5%  
Bankruptcy risk  12.1% 13.7% 9.8% 25.4% 12.7%  
Credit score (0-100)  21 17 25 2 17  
Credit rating  BB BB BB B BB  
Credit limit (kDKK)  -0.0 -0.0 -0.0 0.0 0.0  

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

Income statement (kDKK) 
2018
2019/1
2019
2020/1
2020
2021/1
2021
2022/1
2022
2023/1

Net sales  0 0 0 0 0  
Gross profit  6,280 6,334 2,011 168 0.0  
EBITDA  -3,230 -1,411 -2,255 -251 -12.0  
EBIT  -3,230 -1,411 -2,255 -251 -12.0  
Pre-tax profit (PTP)  -3,849.0 -2,252.7 -1,441.0 -426.0 -12.0  
Net earnings  -3,849.0 -2,252.7 -1,441.0 -426.0 -12.0  
Pre-tax profit without non-rec. items  -3,849 -2,253 -1,441 -426 -12.0  

 
See the entire income statement

Balance sheet (kDKK) 
2018
2019/1
2019
2020/1
2020
2021/1
2021
2022/1
2022
2023/1

Tangible assets total  140 116 0.0 0.0 0.0  
Shareholders equity total  -7,174 -9,427 -10,868 47.0 35.6  
Interest-bearing liabilities  10,730 10,534 11,339 0.0 0.0  
Balance sheet total (assets)  4,557 2,539 1,523 96.0 73.1  

Net Debt  7,966 9,881 9,816 -86.0 -59.3  
 
See the entire balance sheet

Volume 
2018
2019/1
2019
2020/1
2020
2021/1
2021
2022/1
2022
2023/1

Net sales  0 0 0 0 0  
Net sales growth  0.0% 0.0% 0.0% 0.0% 0.0%  
Gross profit  6,280 6,334 2,011 168 0.0  
Gross profit growth  -9.5% 0.9% -68.2% -91.6% -100.0%  
Employees  20 19 18 0 0  
Employee growth %  233.3% -5.0% -5.3% -100.0% 0.0%  
Employee expenses  0.0 0.0 0.0 0.0 0.0  
Balance sheet total (assets)  4,557 2,539 1,523 96 73  
Balance sheet change%  -27.8% -44.3% -40.0% -93.7% -23.8%  
Added value  -3,230.1 -1,410.6 -2,255.0 -251.0 -12.0  
Added value %  0.0% 0.0% 0.0% 0.0% 0.0%  
Investments  -2,147 -24 -116 0 0  

Net sales trend  0.0 0.0 0.0 0.0 0.0  
EBIT trend  -3.0 -4.0 -5.0 -5.0 -5.0  

Profitability 
2018
2019/1
2019
2020/1
2020
2021/1
2021
2022/1
2022
2023/1
EBITDA %  0.0% 0.0% 0.0% 0.0% 0.0%  
EBIT %  0.0% 0.0% 0.0% 0.0% 0.0%  
EBIT to gross profit (%)  -51.4% -22.3% -112.1% -149.4% 0.0%  
Net Earnings %  0.0% 0.0% 0.0% 0.0% 0.0%  
Profit before depreciation and extraordinary items %  0.0% 0.0% 0.0% 0.0% 0.0%  
Pre tax profit less extraordinaries %  0.0% 0.0% 0.0% 0.0% 0.0%  
ROA %  -30.8% -11.9% -10.1% -4.0% -14.2%  
ROI %  -35.0% -13.3% -11.2% -4.4% -29.1%  
ROE %  -70.8% -63.5% -71.0% -54.3% -29.1%  

Solidity 
2018
2019/1
2019
2020/1
2020
2021/1
2021
2022/1
2022
2023/1
Equity ratio %  -61.2% -78.8% -87.7% 49.0% 48.7%  
Relative indebtedness %  0.0% 0.0% 0.0% 0.0% 0.0%  
Relative net indebtedness %  0.0% 0.0% 0.0% 0.0% 0.0%  
Net int. bear. debt to EBITDA, %  -246.6% -700.4% -435.3% 34.3% 492.7%  
Gearing %  -149.6% -111.7% -104.3% 0.0% 0.0%  
Net interest  0 0 0 0 0  
Financing costs %  6.7% 7.9% 1.9% 3.1% 0.0%  

Liquidity 
2018
2019/1
2019
2020/1
2020
2021/1
2021
2022/1
2022
2023/1
Quick Ratio  3.0 1.3 0.1 2.0 2.0  
Current Ratio  3.4 1.7 0.1 2.0 2.0  
Cash and cash equivalent  2,763.5 653.0 1,523.0 86.0 59.3  

Capital use efficiency 
2018
2019/1
2019
2020/1
2020
2021/1
2021
2022/1
2022
2023/1
Trade debtors turnover (days)  0.0 0.0 0.0 0.0 0.0  
Trade creditors turnover (days)  0.0 0.0 0.0 0.0 0.0  
Current assets / Net sales %  0.0% 0.0% 0.0% 0.0% 0.0%  
Net working capital  2,416.3 990.7 -10,868.0 47.0 35.6  
Net working capital %  0.0% 0.0% 0.0% 0.0% 0.0%  

Employee efficiency 
2018
2019/1
2019
2020/1
2020
2021/1
2021
2022/1
2022
2023/1
Net sales / employee  0 0 0 0 0  
Added value / employee  -162 -74 -125 0 0  
Employee expenses / employee  0 0 0 0 0  
EBITDA / employee  -162 -74 -125 0 0  
EBIT / employee  -162 -74 -125 0 0  
Net earnings / employee  -192 -119 -80 0 0