BANG & OLUFSEN A/S — Credit Rating and Financial Key Figures

CVR number: 41257911
Bang og Olufsen Allé 1, 7600 Struer
tel: 96841144
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Income statement (mDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales2 629.002 948.002 752.002 588.002 553.00
Costs of manufacturing-1 490.00-1 612.00-1 537.00-1 209.00-1 149.00
Gross profit1 139.001 336.001 215.001 379.001 404.00
Costs of management- 135.00- 136.00- 128.00- 135.00- 153.00
Costs of marketing- 727.00- 875.00- 910.00- 940.00- 895.00
Other operating expenses- 258.00- 279.00- 301.00- 286.00- 340.00
EBIT19.0046.00- 124.0018.0016.00
Other financial income6.0011.0028.0050.0068.00
Other financial expenses-58.00-65.00-56.00-75.00-82.00
Pre-tax profit-33.00-8.00- 152.00-7.002.00
Income taxes10.00-22.0011.00-10.00-31.00
Net earnings-23.00-30.00- 141.00-17.00-29.00

Assets (mDKK)

2020
2021
2022
2023
2024
Intangible rights227.00292.00333.00354.00405.00
Goodwill41.0042.0042.0042.0042.00
Intangible assets total268.00334.00375.00396.00447.00
Other tangible assets180.00215.00215.00220.00211.00
Tangible assets total180.00215.00215.00220.00211.00
Other non-current investments120.00108.00120.00136.00136.00
Investments total120.00108.00120.00136.00136.00
Non-current other receivables24.0027.0023.0020.0020.00
Deferred tax assets87.0077.0099.0092.0075.00
Long term receivables total111.00104.00122.00112.0095.00
Inventories total369.00629.00499.00447.00447.00
Current trade debtors438.00397.00341.00309.00348.00
Prepayments and accrued income32.0028.0024.0027.0042.00
Current other receivables92.0089.0068.0053.0061.00
Current deferred tax assets32.0037.0011.0032.0028.00
Short term receivables total594.00551.00444.00421.00479.00
Current other shares and ownership435.00415.00394.00388.00380.00
Cash and bank deposits178.00162.00216.00177.00145.00
Cash and cash equivalents613.00577.00610.00565.00525.00
Non-current assets for sale21.00
Balance sheet total (assets)2 276.002 518.002 385.002 297.002 340.00

Equity and liabilities (mDKK)

2020
2021
2022
2023
2024
Share capital613.00613.00613.00613.00737.00
Other reserves6.0027.0016.0014.005.00
Retained earnings537.00490.00470.00346.00431.00
Profit of the financial year-23.00-30.00- 141.00-17.00-29.00
Shareholders equity total1 133.001 100.00958.00956.001 144.00
Non-current leasing loans117.0095.00109.00117.00104.00
Non-current pension loans14.0012.0011.0010.0015.00
Provisions39.0041.0040.0046.0037.00
Non-current other liabilities77.0079.0059.0055.0052.00
Non-current deferred tax liabilities7.006.006.008.008.00
Non-current liabilities total254.00233.00225.00236.00216.00
Current leasing loans24.0039.0037.0045.0059.00
Current trade creditors502.00581.00565.00401.00453.00
Short-term deferred tax liabilities31.0017.008.0020.0021.00
Other non-interest bearing current liabilities283.00492.00532.00555.00405.00
Current provisions49.0056.0060.0084.0042.00
Current liabilities total889.001 185.001 202.001 105.00980.00
Balance sheet total (liabilities)2 276.002 518.002 385.002 297.002 340.00
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