LINDEMANN ApS — Credit Rating and Financial Key Figures

CVR number: 30896904
Åholmvej 6, Osted 4320 Lejre
info@lindemann.dk
tel: 48141111
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit5 429.827 911.366 973.928 154.568 297.89
Employee benefit expenses-4 067.00-3 891.60-4 170.05-3 552.56-4 652.92
Other operating expenses- 107.79-1.00-1.00-6.83
Total depreciation- 263.49- 292.15- 319.91- 370.89- 318.79
EBIT1 099.343 619.812 482.964 232.113 319.35
Other financial income85.30306.0358.7227.9572.63
Other financial expenses- 372.35- 426.02- 329.74- 430.49- 515.02
Pre-tax profit812.293 499.832 211.943 829.572 876.95
Income taxes- 179.18- 772.83- 490.58- 847.00- 633.91
Net earnings633.122 727.001 721.352 982.572 243.04

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings333.04257.57182.10106.63113.69
Machinery and equipment1 022.821 009.08863.49969.031 496.35
Other tangible assets1 719.733 363.913 553.76
Tangible assets total1 355.861 266.662 765.334 439.575 163.80
Investments total50.0050.0050.0050.0050.00
Long term receivables total
Finished products/goods2 319.324 000.023 830.194 680.974 764.41
Inventories total2 319.324 000.023 830.194 680.974 764.41
Current trade debtors819.56828.641 474.251 003.441 215.18
Current amounts owed by group member comp.7 229.102 609.94
Prepayments and accrued income74.8385.1894.51100.0991.14
Current other receivables99.002 026.252 541.95
Short term receivables total8 222.493 523.761 568.773 129.773 848.27
Cash and bank deposits118.871.051.094.372 025.91
Cash and cash equivalents118.871.051.094.372 025.91
Balance sheet total (assets)12 066.558 841.498 215.3812 304.6815 852.39

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital125.00125.00125.00125.00125.00
Shares repurchased418.002 700.001 500.001 600.00
Retained earnings- 632.20-2 699.0827.92249.251 631.82
Profit of the financial year633.122 727.001 721.352 982.572 243.04
Shareholders equity total543.922 852.921 874.274 856.825 599.86
Provisions75.2252.4428.124.2723.57
Non-current loans from credit institutions2 391.291 539.453 288.745 447.80
Non-current liabilities total2 391.291 539.453 288.745 447.80
Current loans from credit institutions3 010.31878.071 922.76630.71580.12
Current trade creditors227.46641.78310.70952.67702.56
Current owed to participating2 280.15715.91516.0063.65
Current owed to group member4 335.75922.491 486.692 709.48
Short-term deferred tax liabilities605.26981.64
Other non-interest bearing current liabilities877.331 154.49901.68568.76725.35
Current liabilities total9 056.135 936.134 773.544 154.844 781.16
Balance sheet total (liabilities)12 066.558 841.498 215.3812 304.6815 852.39
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