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
|
23,982
|
18,475 |
Financial expenses |
7
|
37
|
91 |
Earnings before taxes |
3,019
|
3,732
|
2,314 |
Total assets |
25,883
|
27,984
|
28,862 |
Current assets |
11,709
|
12,933
|
13,076 |
Current liabilities |
4,809
|
4,783
|
4,706 |
Equity capital |
21,052
|
22,284
|
21,401 |
- share capital |
66
|
71
|
75 |
Financial ratios
Fiscal year | 2023/12 | 2022/12 | 2021/12 |
Solvency |
81.3%
|
79.6%
|
74.1% |
Turnover per employee | |||
Profit as a percentage of turnover |
17.9%
|
15.6%
|
12.5% |
Return on assets (ROA) |
11.7%
|
13.5%
|
8.3% |
Current ratio |
243.5%
|
270.4%
|
277.9% |
Return on equity (ROE) |
14.3%
|
16.7%
|
10.8% |
Change turnover |
-5,626
|
6,477
|
-6,221 |
Change turnover % |
-25%
|
37%
|
-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
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0
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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.