LANGLEY HOLDING A/S — Credit Rating and Financial Key Figures

CVR number: 26079535
Gydevang 39-41, 3450 Allerød

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit40 096.0030 309.0071 920.0081 884.0075 976.00
Employee benefit expenses-19 701.00-15 965.00-39 189.00-47 373.00-41 428.00
Other operating expenses-1 101.00- 110.00
Total depreciation-18 206.00-17 533.00-16 269.00-18 711.00-19 328.00
EBIT2 189.00-4 290.0016 462.0015 690.0015 220.00
Other financial income906.00862.002 368.003 746.00826.00
Other financial expenses-5 209.00-4 836.00-4 107.00-4 953.00-5 844.00
Pre-tax profit-2 114.00-8 264.0014 723.0014 483.0010 202.00
Income taxes4 040.004 160.00-9 926.00-2 277.00-2 178.00
Net earnings1 926.00-4 104.004 797.0012 206.008 024.00

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights14 250.0014 235.0090.00
Goodwill6 290.005 682.005 084.004 495.003 888.00
Intangible assets total20 540.0019 917.005 084.004 495.003 978.00
Land and waters171 926.00161 950.00151 531.00141 282.00131 006.00
Buildings48 568.0042 226.0043 838.0056 072.0056 044.00
Machinery and equipment4 444.003 488.002 830.002 784.002 807.00
Advance payments and construction in progress2 823.00
Tangible assets total224 938.00207 664.00198 199.00202 961.00189 857.00
Investments total
Non-current loans receivable7.007.007.007.007.00
Non-current other receivables3 051.003 291.002 824.001 423.001 396.00
Long term receivables total3 058.003 298.002 831.001 430.001 403.00
Raw materials and consumables861.00808.00648.001 055.00926.00
Inventories total861.00808.00648.001 055.00926.00
Current trade debtors9 480.009 551.002 193.00351.00627.00
Prepayments and accrued income4 729.004 830.002 949.002 426.003 547.00
Current other receivables16 902.0029 112.0016 531.005 632.0017 333.00
Current deferred tax assets7 796.0012 264.0011 302.007 964.006 598.00
Short term receivables total38 907.0055 757.0032 975.0016 373.0028 105.00
Other current investments2.004.004.004.004.00
Cash and bank deposits12 372.0018 070.0038 668.0027 704.0036 099.00
Cash and cash equivalents12 374.0018 074.0038 672.0027 708.0036 103.00
Balance sheet total (assets)300 678.00305 518.00278 409.00254 022.00260 372.00

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital1 385.001 385.001 385.001 385.001 385.00
Share premium account4 635.004 635.004 635.004 635.004 635.00
Shares repurchased2 500.002 000.001 500.00
Other reserves14.00688.00628.00582.00590.00
Retained earnings75 953.0077 429.0056 101.0058 043.0068 939.00
Profit of the financial year1 926.00-4 104.004 797.0012 206.008 024.00
Shareholders equity total83 913.0080 033.0070 046.0078 851.0085 073.00
Provisions794.00513.00338.00186.00154.00
Non-current loans from credit institutions150 181.00132 215.00134 654.00109 173.00101 709.00
Non-current liabilities total150 181.00132 215.00134 654.00109 173.00101 709.00
Current loans from credit institutions22 546.0031 092.0024 764.0030 292.0032 454.00
Advances received7 003.0012 601.0011 819.006 802.0010 128.00
Current trade creditors20 429.0024 414.009 527.009 807.0012 967.00
Short-term deferred tax liabilities6 682.007 045.005 697.006 456.005 432.00
Other non-interest bearing current liabilities7 720.0016 333.0021 445.0012 303.0012 284.00
Accruals and deferred income1 410.001 272.00119.00152.00171.00
Current liabilities total65 790.0092 757.0073 371.0065 812.0073 436.00
Balance sheet total (liabilities)300 678.00305 518.00278 409.00254 022.00260 372.00
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