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BONDETOFTEGAARD A/S — Credit Rating and Financial Key Figures

CVR number: 15835443
Lillemarken 5, 5762 Vester Skerninge
tel: 62241491
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit3 175.472 482.145 130.003 432.152 544.48
Employee benefit expenses-1 078.48- 893.50-1 052.39-1 271.38-1 726.99
Other operating expenses- 133.63
Total depreciation- 379.58- 729.67- 726.72- 794.28- 896.80
Reduction in value of non-current assets- 237.87325.47- 606.15
EBIT1 583.78858.983 350.891 366.49-79.32
Other financial income3.260.1667.9254.30
Other financial expenses- 624.10- 157.61- 673.95-1 354.33-1 097.25
Net income from associates (fin.)5.655.11
Pre-tax profit962.94701.372 677.1085.74-1 117.15
Income taxes- 298.00- 112.00- 662.00102.00209.00
Net earnings664.94589.372 015.10187.74- 908.15

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters37 222.8937 222.8937 222.8937 222.8937 222.89
Buildings8 540.6410 752.5210 442.5911 329.9011 525.17
Other tangible assets1 394.001 463.001 578.601 526.001 658.20
Tangible assets total47 157.5249 438.4149 244.0850 078.7950 406.26
Participating interests90.82128.59113.05102.1778.09
Investments total90.82128.59113.05102.1778.09
Long term receivables total
Semifinished products559.40498.62888.09452.23465.52
Raw materials and consumables48.621 248.25356.97308.2866.84
Other stocks1 225.801 537.08
Finished products/goods3 953.202 936.361 651.331 395.901 196.09
Inventories total4 561.224 683.232 896.393 382.223 265.52
Current trade debtors543.90341.673 276.411 906.70672.88
Current owed by particip. interest comp.25.07
Prepayments and accrued income81.0094.0099.00104.0040.00
Current other receivables141.67216.1250.0049.93
Short term receivables total766.57651.793 375.412 085.77762.81
Cash and bank deposits1 082.51556.991 234.36528.74585.23
Cash and cash equivalents1 082.51556.991 234.36528.74585.23
Balance sheet total (assets)53 658.6455 459.0156 863.2956 177.6955 097.91

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital1 372.001 372.001 372.001 372.001 372.00
Asset revaluation reserve22 382.5222 494.5222 759.5223 065.5223 370.52
Retained earnings- 460.64204.31793.682 808.782 996.52
Profit of the financial year664.94589.372 015.10187.74- 908.15
Shareholders equity total23 958.8324 660.2126 940.3127 434.0426 830.89
Provisions985.00985.001 382.00974.00460.00
Non-current loans from credit institutions26 688.0526 979.4026 504.6526 304.2825 635.45
Non-current liabilities total26 688.0526 979.4026 504.6526 304.2825 635.45
Current loans from credit institutions468.00672.00739.23863.53665.36
Current trade creditors1 422.942 103.86283.56412.031 250.76
Other non-interest bearing current liabilities135.8358.541 013.55189.79255.46
Current liabilities total2 026.772 834.412 036.341 465.362 171.57
Balance sheet total (liabilities)53 658.6455 459.0156 863.2956 177.6955 097.91
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