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0F5M Investeringsselskabet Luxor A/s

414.00
0.00 (0.00%)
May 09 2024 - Closed
Delayed by 15 minutes

Income Statement

Balance Sheet

Cash Flow

Year End September 29 2023 20162017201820192020202120222023
DKK (kr)DKK (kr)DKK (kr)DKK (kr)DKK (kr)DKK (kr)DKK (kr)DKK (kr)
Total Assets 868.6M846.78M867.13M908.32M912.43M936.71M1.02B1.02B
Total Current Assets 32.51M17.32M20.04M17.8M17.53M17.43M17.24M7.72M
Cash and Equivalents 1.64M2.85M10.54M9.66M9.28M10.05M8.87M476k
Total Non-Current Assets 356.35M352.25M353.57M345.83M358.86M393.28M455.99M436.64M
Total Liabilities 512.25M494.53M513.57M562.49M553.57M543.43M562.97M585.6M
Total Current Liabilities 423.24M416M440.82M445.64M428.19M424.67M450.39M467.96M
Total Non-Current Liabilities 163.38M146.72M133.73M203.57M217.33M199.18M177.83M188.67M
Total Equity 356.35M352.25M353.57M345.83M358.86M393.28M455.99M436.64M
Common Equity 100M100M100M100M100M100M100M100M
Retained Earnings 231.35M230.25M230.57M222.83M233.86M50M50M0