EGMONT H. PETERSENS KOLLEGIUM — Credit Rating and Financial Key Figures

CVR number: 20786213
Nørre Allé 75, 2100 København Ø
jette@ehp.dk
tel: 82320001
www.ehp.dk

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales16 842.0017 103.0017 781.0018 640.0019 078.45
Other operating income924.001 519.002 490.001 840.001 672.62
External services-9 035.00-11 243.00-10 241.00-10 560.00-13 134.22
Gross profit8 731.007 379.0010 030.009 920.007 616.85
Employee benefit expenses-5 716.00-5 605.00-6 128.00-5 802.00-5 972.82
Total depreciation-1 246.00-1 384.00-1 567.00-1 753.00-1 845.02
EBIT1 769.00390.002 335.002 365.00- 200.99
Other financial income3.0080.0072.68
Other financial expenses- 382.00- 348.00- 300.00- 276.00- 272.15
Reduction non-current investment assets- 377.00-2 834.00-7.008.48
Income from other inv. held as non-curr. assets1 134.001 258.00558.00891.001 076.21
Pre-tax profit2 521.00923.00- 238.003 053.00684.23
Net earnings2 521.00923.00- 238.003 053.00684.23

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters33 866.0044 037.0046 894.0047 509.0045 760.26
Machinery and equipment395.00325.00335.00222.00125.84
Tangible assets total34 261.0044 362.0047 229.0047 731.0045 886.10
Other non-current investments25 141.00
Investments total25 141.00
Non-current loans receivable16 183.009 351.009 998.0012 719.79
Long term receivables total16 183.009 351.009 998.0012 719.79
Inventories total
Current trade debtors21.0047.006.003.27
Prepayments and accrued income228.0080.00203.0040.00133.09
Current other receivables203.00255.00451.00246.00111.72
Short term receivables total452.00335.00701.00292.00248.08
Cash and bank deposits1 166.00724.002 250.003 358.002 367.70
Cash and cash equivalents1 166.00724.002 250.003 358.002 367.70
Balance sheet total (assets)61 020.0061 604.0059 531.0061 379.0061 221.68

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital15 996.0015 996.0015 996.0015 996.0015 995.80
Retained earnings14 202.0016 723.0017 645.0017 407.0020 459.87
Profit of the financial year2 521.00923.00- 238.003 053.00684.23
Shareholders equity total32 719.0033 642.0033 403.0036 456.0037 139.90
Non-current loans from credit institutions21 193.0020 297.0019 394.0018 484.0017 566.08
Non-current liabilities total21 193.0020 297.0019 394.0018 484.0017 566.08
Current loans from credit institutions889.001 135.00903.00910.00917.62
Advances received18.0036.0011.006.15
Current trade creditors697.002 080.001 301.00891.00741.38
Other non-interest bearing current liabilities5 522.004 432.004 494.004 627.004 850.55
Current liabilities total7 108.007 665.006 734.006 439.006 515.70
Balance sheet total (liabilities)61 020.0061 604.0059 531.0061 379.0061 221.68
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