Picment A/S — Credit Rating and Financial Key Figures

CVR number: 10900492
Bredhøjvej 23, 8600 Silkeborg
tel: 86812626
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit6 865.145 568.584 787.494 465.015 096.27
Employee benefit expenses-5 234.18-4 978.40-5 412.72-4 629.34-3 774.82
Other operating expenses- 119.83
Total depreciation- 373.77- 439.37- 875.89- 655.30- 584.04
EBIT1 257.19150.81-1 501.12- 819.63617.57
Other financial income79.5740.6863.6277.3289.56
Other financial expenses- 114.72-51.29- 271.12- 515.88- 579.88
Pre-tax profit1 222.03140.20-1 708.63-1 258.19127.26
Income taxes- 272.24-32.41355.20259.27-66.20
Net earnings949.79107.79-1 353.44- 998.9361.06

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure456.631 746.561 497.541 099.76689.24
Intangible rights75.0075.0075.0075.0075.00
Intangible assets total531.631 821.561 572.541 174.76764.24
Buildings675.72592.43496.20385.35302.84
Machinery and equipment438.95367.85438.76632.94575.59
Tangible assets total1 114.67960.28934.961 018.29878.42
Investments total231.33234.31249.87622.57605.55
Non-current loans receivable10.9513.6015.5826.46
Long term receivables total10.9513.6015.5826.46
Finished products/goods7 048.967 782.317 304.096 872.476 689.41
Inventories total7 048.967 782.317 304.096 872.476 689.41
Current trade debtors748.481 093.62671.44558.521 393.66
Current amounts owed by group member comp.772.461 032.781 756.441 774.532 159.14
Prepayments and accrued income26.52107.0048.0615.9431.08
Current other receivables318.07524.03185.58245.62144.47
Current deferred tax assets313.06280.65635.84895.11828.91
Short term receivables total2 178.593 038.083 297.373 489.714 557.27
Cash and bank deposits276.33165.21117.8593.60116.83
Cash and cash equivalents276.33165.21117.8593.60116.83
Balance sheet total (assets)11 381.5014 012.7113 490.2713 286.9813 638.20

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital6 500.006 500.006 500.006 500.006 500.00
Other reserves356.171 362.321 168.08857.81537.61
Retained earnings-2 879.30-2 935.66-2 633.64-3 676.81-4 355.53
Profit of the financial year949.79107.79-1 353.44- 998.9361.06
Shareholders equity total4 926.665 034.443 681.012 682.082 743.14
Non-current accruals and deferred income81.8952.1122.33
Non-current other liabilities454.24420.50
Non-current deferred tax liabilities387.51401.08413.51
Non-current liabilities total536.13472.61409.85401.08413.51
Current loans from credit institutions1 598.132 772.494 141.465 741.695 869.93
Advances received326.67
Current trade creditors1 828.012 443.822 884.192 870.932 989.77
Other non-interest bearing current liabilities2 492.582 962.672 373.771 591.201 621.85
Current liabilities total5 918.728 505.669 399.4110 203.8310 481.55
Balance sheet total (liabilities)11 381.5014 012.7113 490.2713 286.9813 638.20
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