Airco Process Technology A/S — Credit Rating and Financial Key Figures

CVR number: 41791713
Håndværkervej 23, Erritsø 7000 Fredericia
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
Fiscal period length12121212
Net sales
Gross profit14 678.3444 311.98117 327.8623 588.82
Costs of management-11 239.95-45 507.18-79 233.24-61 397.01
Costs of distribution-2 919.15-4 477.39-43 428.21-11 016.72
EBIT519.25-5 672.59-5 333.58-48 824.91
Other financial income9.200.074.4251.55
Other financial expenses- 289.59-2 365.10-7 507.16-10 510.69
Pre-tax profit238.86-8 037.62-12 836.33-59 284.06
Income taxes56.48453.163 894.3316 127.17
Net earnings295.34-7 584.46-8 942.00-43 156.89

Assets (kDKK)

2021
2022
2023
2024
Development expenditure7 176.5341 016.4091 324.3399 334.25
Intangible rights106.7559.3537.64
Intangible assets total7 176.5341 123.1591 383.6899 371.90
Buildings1 326.721 376.102 897.572 224.54
Machinery and equipment1 559.633 362.633 162.852 104.49
Tangible assets total2 886.364 738.736 060.424 329.03
Investments total175.154 435.844 516.64
Long term receivables total
Finished products/goods11 017.0424 689.5816 091.90
Inventories total11 017.0424 689.5816 091.90
Current trade debtors15 188.4313 162.9311 789.16
Prepayments and accrued income147.97137.68601.951 819.34
Current other receivables14 414.9644 239.4464 240.4635 370.55
Current deferred tax assets56.48
Short term receivables total14 619.4159 565.5578 005.3448 979.04
Cash and bank deposits2 180.7336 034.628 749.765 124.08
Cash and cash equivalents2 180.7336 034.628 749.765 124.08
Balance sheet total (assets)26 863.03152 654.23213 324.62178 412.59

Equity and liabilities (kDKK)

2021
2022
2023
2024
Share capital5 000.005 000.005 000.0041 657.08
Other reserves5 597.6931 992.7971 232.9877 480.72
Retained earnings-5 597.69-31 697.45-78 522.10-93 711.84
Profit of the financial year295.34-7 584.46-8 942.00-43 156.89
Shareholders equity total5 295.34-2 289.12-11 231.12-17 730.93
Provisions1 013.1714 006.654 155.81
Capital loans74 191.6777 901.25134 111.60
Non-current liabilities total74 191.6777 901.25134 111.60
Current loans from credit institutions15 000.0019 660.11
Advances received268.75514.64
Current trade creditors6 178.4071 945.7674 185.1328 502.47
Current owed to participating20 667.944 501.43
Current owed to group member12 748.926 105.9617 580.69
Other non-interest bearing current liabilities2 640.371 418.054 602.533 417.63
Accruals and deferred income611.551 279.86
Current liabilities total21 567.6979 738.52132 647.8457 876.12
Balance sheet total (liabilities)26 863.03152 654.23213 324.62178 412.59
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