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Tømrermester Carsten Hartmann ApS

Financial information

The information source is the annual report of the company with VAT No DK18483572

* Closing information (×1000) DKK

Fiscal year 202312 202212
Turnover: 0 0
Earnings before taxes: 1,877 Revenue Up 68 Revenue Up
Total assets: 3,383 Revenue Up 1,722 Revenue Down
Current assets: 3,287 Revenue Up 1,552 Revenue Down
Current liabilities: 3,134 Revenue Down 3,186 Revenue Down
Equity capital: -3 Revenue Up -1,786 Revenue Up
Share capital: 200 200
Number of employees: 7 7

Financial ratios

Solvency: -0.1% Revenue Up -103.7% Revenue Down
Turnover per employee: 0 0
Profitability: Infinity% Infinity% Revenue Up
Return on equity (ROE): -62.566.7% Revenue Down -3.8% Revenue Down
Current ratio: 104.9% Revenue Up 48.7% Revenue Down
Fiscal year 202312
Turnover: 0
Earnings before taxes: 1,877
Total assets: 3,383
Current assets: 3,287
Current liabilities: 3,134
Equity capital: -3
Share capital: 200
Number of employees: 7

Financial ratios

Solvency: -0.1%
Turnover per employee: 0
Profitability: Infinity%
Return on equity (ROE): -62.566.7%
Current ratio: 104.9%