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Company/VAT no/Free text Country/City/Municipality

TURNOVER (x1000 DKK)

NET PROFIT (x1000 DKK)

Sauro Rørmontasje AS

Closing information (x1000 DKK)

Closing information 2023/12 2022/12 2021/12
Turnover 16,882 More Arrow 23,982 Less Arrow 18,475
Financial expenses 7 More Arrow 37 More Arrow 91
Earnings before taxes 3,019 More Arrow 3,732 Less Arrow 2,314
Total assets 25,883 More Arrow 27,984 More Arrow 28,862
Current assets 11,709 More Arrow 12,933 More Arrow 13,076
Current liabilities 4,809 Less Arrow 4,783 Less Arrow 4,706
Equity capital 21,052 More Arrow 22,284 Less Arrow 21,401
- share capital 66 More Arrow 71 More Arrow 75

Financial ratios

Fiscal year 2023/12 2022/12 2021/12
Solvency 81.3% Less Arrow 79.6% Less Arrow 74.1%
Turnover per employee
Profit as a percentage of turnover 17.9% Less Arrow 15.6% Less Arrow 12.5%
Return on assets (ROA) 11.7% More Arrow 13.5% Less Arrow 8.3%
Current ratio 243.5% More Arrow 270.4% More Arrow 277.9%
Return on equity (ROE) 14.3% More Arrow 16.7% Less Arrow 10.8%
Change turnover -5,626 More Arrow 6,477 Less Arrow -6,221
Change turnover % -25% More Arrow 37% Less Arrow -25%
Chg. No. of employees
Chg. No. of employees %

Total value of public sale

Fiscal year 2023/12 2022/12 2021/12
Total value of public sale 0 Equal arrow 0 Equal arrow 0

Closing figures are converted to the currency above at the exchange rate of the closing date. Source for the exchange rates: Sveriges Riksbank

The closing information is gathered directly from the companies or from Creditsafe.