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KPIsSections4
| Revenue — GREEN | DKK 151.1M |
|---|---|
| Net income — GREEN | DKK 7.0M |
| Net margin — GREEN | 4.6% |
| Operating margin — GREEN | 50.1% |
Red flags1 red1 orange
Liquidity2
RED
Negative operating cash flow
operating_cf_burnThe company is burning cash from operations — sustainability depends on financing.
ORANGE
Current ratio 0.20
current_ratio_lowCurrent assets are below current liabilities — short-term liquidity pressure.
Income Statement
| Metric | Value | Flag |
|---|---|---|
| Revenue | DKK 151.1M | GREEN |
| Operating Margin | 50.1% | GREEN |
| Net Margin | 4.6% | GREEN |
| Operating Income | DKK 75.6M | GREEN |
| Net Income | DKK 7.0M | GREEN |
| EBITDA | DKK 77.0M | GREEN |
| Income Tax Expense | DKK 17.1M | GREEN |
| Pre-tax Income | DKK 24.1M | GREEN |
| EPS Diluted | €0.16 | GREEN |
| Interest Expense | DKK 73.4M | GREEN |
| Interest and Investment Income | DKK 476,000 | GREEN |
| Basic EPS | DKK 0.16 | GREEN |
Balance Sheet
| Metric | Value | Flag |
|---|---|---|
| Total Assets | DKK 2.50B | GREEN |
| Current Assets | DKK 121.6M | GREEN |
| Current Liabilities | DKK 603.1M | GREEN |
| Total Liabilities | DKK 1.54B | GREEN |
| Total Equity | DKK 962.5M | GREEN |
| Retained Earnings | DKK 578.8M | GREEN |
| Cash & Equivalents | DKK 85.0M | GREEN |
| Long-term Debt | DKK 682.3M | GREEN |
| Short-term Debt | DKK 563.9M | GREEN |
| Trade Receivables | DKK 25.0M | GREEN |
| Trade Payables | DKK 8.0M | GREEN |
| Other Intangibles | DKK 346,000 | GREEN |
| Other Current Liabilities | DKK 4.4M | GREEN |
| Common Stock | DKK 57.2M | GREEN |
| Additional Paid In Capital | DKK 289.3M | GREEN |
Cash Flow
| Metric | Value | Flag |
|---|---|---|
| Operating Cash Flow | -DKK 16.5M | GREEN |
| Capital Expenditures | DKK 304,000 | GREEN |
| Investing Cash Flow | DKK 278.4M | GREEN |
| Depreciation & Amortization | DKK 1.4M | GREEN |
| Free Cash Flow | -DKK 16.8M | GREEN |
| Financing Cash Flow | -DKK 215.1M | GREEN |
| Long Term Debt Issued | DKK 0 | GREEN |
| Long Term Debt Repaid | DKK 110.7M | GREEN |
| Repurchase of Common Stock | DKK 104.4M | GREEN |
| Net Change in Cash | DKK 46.8M | GREEN |
Sections in this filing
Market Risk
Park Street’s liquidity risk consists on not being able to make regular payments and not being able to provide sufficient liquidity to cover the financ-