OnPrint A/S — Credit Rating and Financial Key Figures

CVR number: 14128387
K.P.Danøsvej 3, 4300 Holbæk
Info@onprint.dk
tel: 59459040
www.onprint.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit8 626.338 928.978 963.118 535.966 757.83
Employee benefit expenses-5 130.01-5 368.20-5 467.39-5 900.04-5 314.77
Total depreciation-1 539.93-1 700.39-1 707.27-1 352.63-1 201.68
EBIT1 956.381 860.371 788.451 283.29241.38
Other financial income21.8710.307.818.930.30
Other financial expenses- 647.26- 579.80- 625.67- 631.62- 622.63
Pre-tax profit1 330.991 290.871 170.58660.60- 380.96
Income taxes- 362.04- 285.57- 258.64- 144.4983.37
Net earnings968.961 005.30911.94516.11- 297.59

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure693.21538.75
Goodwill163.33126.67
Intangible assets total856.55665.42
Land and waters12 729.6313 688.9813 290.5313 008.1212 815.72
Buildings4 116.522 918.681 763.90989.90542.67
Machinery and equipment221.19147.84102.3456.8611.37
Tangible assets total17 067.3516 755.4915 156.7814 054.8813 369.76
Investments total
Non-current loans receivable272.28257.40261.87269.31266.33
Long term receivables total272.28257.40261.87269.31266.33
Raw materials and consumables747.26773.80820.60857.68
Finished products/goods796.241 531.37863.50495.00478.00
Inventories total1 543.491 531.371 637.301 315.601 335.68
Current trade debtors3 458.632 983.533 921.432 188.372 172.76
Current amounts owed by group member comp.125.59
Prepayments and accrued income134.60134.06190.93218.24201.21
Current other receivables503.3277.0095.70247.36118.13
Short term receivables total4 222.153 194.594 208.062 653.972 492.10
Cash and bank deposits44.1336.2722.4126.3638.59
Cash and cash equivalents44.1336.2722.4126.3638.59
Balance sheet total (assets)23 149.3921 775.1321 286.4219 176.6718 167.88

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital1 000.001 000.001 000.001 000.001 000.00
Asset revaluation reserve2 232.272 179.122 125.972 072.822 019.67
Shares repurchased573.001 000.001 000.00
Other reserves540.71420.23
Retained earnings- 967.83- 945.72- 887.27- 462.89226.85
Profit of the financial year968.961 005.30911.94516.11- 297.59
Shareholders equity total3 806.404 238.704 150.643 666.753 369.17
Provisions3 007.292 932.692 756.132 729.862 527.60
Non-current loans from credit institutions5 702.105 528.266 218.825 958.175 702.51
Non-current leasing loans1 347.13658.16308.64131.26
Non-current other liabilities402.20351.04
Non-current deferred tax liabilities358.42370.96382.46
Non-current liabilities total7 451.446 537.466 885.876 460.396 084.97
Current loans from credit institutions2 430.462 055.272 753.383 365.123 619.28
Advances received162.53294.81
Current trade creditors1 979.011 904.991 867.02790.24647.40
Current owed to group member104.28276.64315.77121.35
Short-term deferred tax liabilities543.33360.16435.20170.76118.89
Other non-interest bearing current liabilities3 931.473 641.572 161.531 515.241 384.42
Current liabilities total8 884.278 066.277 493.776 319.676 186.15
Balance sheet total (liabilities)23 149.3921 775.1321 286.4219 176.6718 167.88
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