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Ryomgård Tømmerhandel og Byggecenter A/S

Financial information

The information source is the annual report of the company with VAT No DK19089800

* Closing information (×1000) DKK

Fiscal year 202312 202212 202112
Turnover: 0 0 0
Earnings before taxes: 6,923 Revenue Down 11,976 Revenue Down 16,915
Total assets: 96,662 Revenue Up 77,311 Revenue Up 70,209
Current assets: 60,097 Revenue Up 57,947 Revenue Up 57,439
Current liabilities: 65,243 Revenue Up 44,843 Revenue Up 38,092
Equity capital: 31,420 Revenue Up 31,044 Revenue Up 30,719
Share capital: 1,000 1,000 1,000
Number of employees: 35 35 35

Financial ratios

Solvency: 32.5% Revenue Down 40.2% Revenue Down 43.8%
Turnover per employee: 0 0 0
Profitability: Infinity% Infinity% Infinity%
Return on equity (ROE): 22.0% Revenue Down 38.6% Revenue Down 55.1%
Current ratio: 92.1% Revenue Down 129.2% Revenue Down 150.8%
Fiscal year 202312
Turnover: 0
Earnings before taxes: 6,923
Total assets: 96,662
Current assets: 60,097
Current liabilities: 65,243
Equity capital: 31,420
Share capital: 1,000
Number of employees: 35

Financial ratios

Solvency: 32.5%
Turnover per employee: 0
Profitability: Infinity%
Return on equity (ROE): 22.0%
Current ratio: 92.1%