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

TURNOVER (x1000 DKK)

NET PROFIT (x1000 DKK)

EMPLOYEES

BGG Aktiv Företagsrevision AB

Closing information (x1000 DKK)

Closing information 2024/11 2023/11 2022/11
Turnover 32 More Arrow 35 Less Arrow 31
Financial expenses 0 Equal arrow 0 Equal arrow 0
Earnings before taxes 12 More Arrow 14 Less Arrow 7
EBITDA -6 More Arrow 9 Less Arrow 4
Total assets 416 More Arrow 596 More Arrow 607
Current assets 416 More Arrow 596 More Arrow 607
Current liabilities 29 Less Arrow 20 Less Arrow 18
Equity capital 383 More Arrow 573 More Arrow 586
- share capital 65 Equal arrow 65 More Arrow 68
Employees (average) 1 Equal arrow 1 Equal arrow 1

Financial ratios

Fiscal year 2024/11 2023/11 2022/11
Solvency 92.1% More Arrow 96.1% More Arrow 96.5%
Turnover per employee 32 More Arrow 35 Less Arrow 31
Profit as a percentage of turnover 37.5% More Arrow 40.0% Less Arrow 22.6%
Return on assets (ROA) 2.9% Less Arrow 2.3% Less Arrow 1.2%
Current ratio 1434.5% More Arrow 2980.0% More Arrow 3372.2%
Return on equity (ROE) 3.1% Less Arrow 2.4% Less Arrow 1.2%
Change turnover -3 More Arrow 5 Less Arrow -5
Change turnover % -9% More Arrow 17% Less Arrow -13%
Chg. No. of employees 0 Equal arrow 0 Equal arrow 0
Chg. No. of employees % 0% Equal arrow 0% Equal arrow 0%

Total value of public sale

Fiscal year 2024/11 2023/11 2022/11
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.