PLANTNINGSSELSKABET "STEEN BLICHER" A/S — Credit Rating and Financial Key Figures

CVR number: 24797511
Klostermarken 12, 8800 Viborg

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales3 640.184 387.783 377.434 227.305 643.18
Other operating income2 127.793 541.481 219.911 305.641 572.94
Purchases during the financial year-2 837.28-3 490.86-2 405.65-2 638.18-3 238.59
External services- 275.18- 328.53- 394.76- 441.78- 359.88
Gross profit2 655.514 109.861 796.932 452.983 617.66
Employee benefit expenses-0.65
Total depreciation-7.19-3.00-7.73
Reduction in value of non-current assets2 100.003 100.008 036.158 700.0014 300.00
EBIT4 748.327 206.879 832.4311 152.9817 909.93
Other financial income44.5417.4311.50276.39375.12
Other financial expenses- 181.98-14.86-25.22- 149.00- 235.71
Pre-tax profit4 610.887 209.449 818.7111 280.3718 049.34
Income taxes- 904.23- 987.58-2 334.83-2 293.62-3 871.20
Net earnings3 706.666 221.867 483.888 986.7514 178.14

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Machinery and equipment3.0050.27
Other tangible assets113 133.27116 233.27127 133.27135 833.27150 133.27
Tangible assets total113 136.27116 233.27127 133.27135 833.27150 183.54
Investments total
Long term receivables total
Inventories total
Current amounts owed by group member comp.8 653.368 687.089 969.8210 618.0243.75
Current other receivables188.142 976.39197.63139.7078.61
Current deferred tax assets26.41
Short term receivables total8 841.5011 663.4710 167.4510 757.72148.77
Other current investments13.0013.0013.0013.0013.00
Cash and bank deposits434.43607.23512.331 009.8914 113.37
Cash and cash equivalents447.43620.23525.331 022.8914 126.37
Balance sheet total (assets)122 425.19128 516.97137 826.05147 613.88164 458.69

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital649.50649.50649.50649.50649.50
Retained earnings94 334.5698 041.21104 263.07110 708.66119 545.44
Profit of the financial year3 706.666 221.867 483.888 986.7514 178.14
Shareholders equity total98 690.71104 912.57112 396.46120 344.90134 373.09
Provisions17 918.1318 611.8020 652.9022 570.2725 721.05
Non-current loans from credit institutions4 460.444 132.533 870.343 624.123 337.07
Non-current liabilities total4 460.444 132.533 870.343 624.123 337.07
Current loans from credit institutions330.56328.87273.96259.56284.31
Current trade creditors11.805.8926.3632.290.03
Current owed to group member10.023.0526.5477.8111.44
Short-term deferred tax liabilities99.572.4171.19112.29
Other non-interest bearing current liabilities426.6641.1417.3958.23193.01
Accruals and deferred income477.29478.72490.91534.39538.69
Current liabilities total1 355.90860.07906.351 074.581 027.48
Balance sheet total (liabilities)122 425.19128 516.97137 826.05147 613.88164 458.69
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