Ørsted Salg & Service A/S — Credit Rating and Financial Key Figures

CVR number: 27210538
Kraftværksvej 53, Skærbæk 7000 Fredericia
tel: 72102030

Income statement (mDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales18 709.0045 785.0075 751.0044 671.0034 941.00
Other operating income9.0038.00
Costs of manufacturing-18 133.00-44 981.00-73 193.00-37 920.00-31 322.00
External services- 529.00- 485.00- 573.00- 446.00- 434.00
Gross profit56.00319.001 985.006 343.003 185.00
Employee benefit expenses- 275.00- 238.00- 272.00- 292.00- 301.00
Other operating expenses-3.00- 854.00-1 197.00-23.00
Total depreciation- 124.00- 120.00-97.00-71.00-35.00
EBIT- 346.00- 893.00419.005 980.002 826.00
Other financial income1 147.001 505.002 570.002 043.001 267.00
Other financial expenses-1 292.00-1 360.00-2 893.00-1 624.00- 687.00
Pre-tax profit- 491.00- 748.0096.006 399.003 406.00
Income taxes181.00512.00-11.00-1 397.00- 744.00
Profit/loss from discontinued operations- 746.00-31.00-18.00
Net earnings-1 056.00- 267.0067.005 002.002 662.00

Assets (mDKK)

2020
2021
2022
2023
2024
Intangible rights123.00114.00102.0072.0078.00
Intangible assets total123.00114.00102.0072.0078.00
Buildings4.002.002.002.002.00
Advance payments and construction in progress2.0017.0012.00
Other tangible assets480.00392.00356.00323.00317.00
Tangible assets total486.00394.00358.00342.00331.00
Holdings in group member companies262.00177.0087.00426.00
Other non-current investments328.002 016.00351.00395.00
Investments total590.002 193.00438.00821.00
Non-current other receivables1.003.007.00
Deferred tax assets606.004 226.003 442.00331.00
Long term receivables total606.004 227.003 445.007.00331.00
Inventories total2 217.005 088.005 450.003 572.004 352.00
Current trade debtors3 973.005 639.007 733.004 883.004 713.00
Current owed by particip. interest comp.8 051.005 337.0011 777.0024 151.0021 654.00
Current other receivables746.008 340.005 800.00779.00592.00
Current deferred tax assets84.001 758.002 035.00
Fair value of financial assets5 036.0039 458.0048 559.0013 781.005 680.00
Short term receivables total17 890.0058 774.0075 627.0045 629.0032 639.00
Cash and bank deposits185.0028.001 124.0040.006.00
Cash and cash equivalents185.0028.001 124.0040.006.00
Balance sheet total (assets)21 507.0069 215.0088 299.0050 100.0038 558.00

Equity and liabilities (mDKK)

2020
2021
2022
2023
2024
Share capital1 110.001 110.002 610.002 610.002 610.00
Other reserves-3.00-3 065.00-4 852.0010 331.0012 332.00
Retained earnings8 896.008 125.0021 390.0011 525.004 503.00
Profit of the financial year-1 056.00- 267.0067.005 002.002 662.00
Shareholders equity total8 947.005 903.0019 215.0029 468.0022 107.00
Non-current leasing loans93.0019.00
Non-current owed to participating133.00
Provisions1 826.001 529.001 179.001 173.001 105.00
Non-current other liabilities6.003 279.0010 528.00299.00336.00
Non-current deferred tax liabilities154.00
Non-current liabilities total2 058.004 827.0011 707.001 626.001 441.00
Current loans from credit institutions64.002.0017.00
Current leasing loans76.0075.0019.00
Current trade creditors2 469.005 807.007 223.004 160.004 344.00
Current owed to group member1 811.008 991.0010 370.002 566.002 552.00
Short-term deferred tax liabilities319.002 049.001 444.00
Other non-interest bearing current liabilities5 191.0041 010.0039 641.0012 144.006 455.00
Current provisions393.00170.003.0021.0098.00
Accruals and deferred income179.00383.00121.00113.00100.00
Current liabilities total10 502.0058 485.0057 377.0019 006.0015 010.00
Balance sheet total (liabilities)21 507.0069 215.0088 299.0050 100.0038 558.00
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