MAERSK A/S — Credit Rating and Financial Key Figures

CVR number: 32345794
Esplanaden 50, 1263 København K
tel: 33633363

Income statement (mUSD)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales24 783.0040 737.0062 465.0034 520.0039 498.00
Purchases during the financial year-19 942.00
Costs of manufacturing-24 625.00
Gross profit4 841.0016 112.0062 465.0034 520.0039 498.00
Other operating expenses128.0096.00-31 073.00-27 388.00-29 780.00
Total depreciation-2 824.00-3 027.00-5 538.00-5 933.00-5 669.00
EBIT2 145.0013 181.0025 854.001 199.004 049.00
Other financial income41.002 983.004 517.004 154.005 235.00
Other financial expenses-1 221.00-1 009.00- 885.00-1 053.00-1 098.00
Reduction non-current investment assets- 307.00- 592.00-50.00-67.00- 322.00
Pre-tax profit1 434.0014 467.0029 235.003 939.007 600.00
Income taxes-35.00-59.00- 424.00-41.00-25.00
Net earnings1 399.0014 408.0028 811.003 898.007 575.00

Assets (mUSD)

2020
2021
2022
2023
2024
Intangible rights400.001 325.001 195.00851.00822.00
Intangible assets total400.001 325.001 195.00851.00822.00
Other tangible assets12 400.0013 405.0013 545.0014 625.0015 247.00
Tangible assets total12 400.0013 405.0013 545.0014 625.0015 247.00
Holdings in group member companies7 596.006 203.006 298.005 571.005 261.00
Other non-current investments5 597.009 232.0012 530.009 222.008 737.00
Investments total13 193.0015 435.0018 828.0014 793.0013 998.00
Non-curr. owed by particip. interest comp.13.0013.007.007.007.00
Non-current other receivables470.001 236.001 917.00
Deferred tax assets48.00
Long term receivables total13.0061.00477.001 243.001 924.00
Inventories total519.00889.00926.001 009.00928.00
Current trade debtors2 052.005 243.004 802.003 338.004 435.00
Current owed by particip. interest comp.5 040.007 521.0036 785.001 970.004 222.00
Prepayments and accrued income197.00238.00991.00909.00310.00
Current other receivables231.00295.00295.00952.00612.00
Current deferred tax assets70.0092.001.0085.0064.00
Fair value of financial assets52.0050.001.00
Short term receivables total7 590.0013 389.0042 926.007 304.009 644.00
Cash and bank deposits15.0038.0020.0016.009.00
Cash and cash equivalents15.0038.0020.0016.009.00
Balance sheet total (assets)34 130.0044 542.0077 917.0039 841.0042 572.00

Equity and liabilities (mUSD)

2020
2021
2022
2023
2024
Share capital82.0082.0082.0082.0082.00
Other reserves9 307.0026 830.0055 841.0015 393.0022 880.00
Retained earnings-1 399.00-14 408.00-28 811.00-3 898.00-7 575.00
Profit of the financial year1 399.0014 408.0028 811.003 898.007 575.00
Shareholders equity total9 389.0026 912.0055 923.0015 475.0022 962.00
Non-current leasing loans4 871.006 809.008 598.005 881.005 997.00
Non-current owed to participating12 025.00
Provisions94.00223.00254.00275.00300.00
Non-current other liabilities44.0045.0056.00
Non-current deferred tax liabilities28.0071.00118.00141.00128.00
Non-current liabilities total17 062.007 148.009 026.006 297.006 425.00
Current leasing loans1 142.002 782.004 322.003 803.003 063.00
Current trade creditors3 867.005 189.005 494.005 337.005 816.00
Current owed to group member2 051.001 608.002 263.005 628.002 417.00
Short-term deferred tax liabilities54.00114.00173.00139.0083.00
Other non-interest bearing current liabilities219.00428.00398.002 843.001 461.00
Current provisions346.00361.00318.00319.00345.00
Current liabilities total7 679.0010 482.0012 968.0018 069.0013 185.00
Balance sheet total (liabilities)34 130.0044 542.0077 917.0039 841.0042 572.00
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