X-PRESS GROUP ApS — Credit Rating and Financial Key Figures

CVR number: 26903653
Industrivej 50, 7430 Ikast
info@x-pressgroup.com
tel: 96601000
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit5 500.335 666.324 894.062 375.48759.33
Employee benefit expenses-4 268.79-4 346.53-4 080.84-3 639.53-2 870.45
Total depreciation- 352.29- 371.99- 221.43- 216.51- 408.23
EBIT879.25947.81591.79-1 480.56-2 519.35
Other financial income27.9010.947.6322.060.41
Other financial expenses- 174.94- 148.36- 184.59- 417.37- 461.38
Reduction non-current investment assets-1 000.00
Pre-tax profit732.22810.38414.83-2 875.87-2 980.32
Income taxes- 173.76- 167.61-94.52407.30
Net earnings558.46642.77320.30-2 468.56-2 980.32

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters4 558.504 378.264 317.514 332.974 757.99
Machinery and equipment279.64228.81152.6286.9632.66
Tangible assets total4 838.144 607.064 470.134 419.934 790.65
Holdings in group member companies1 000.001 000.001 000.00
Investments total1 000.001 000.001 000.00
Long term receivables total
Semifinished products239.10902.831 243.31616.58339.35
Raw materials and consumables4 942.884 294.414 080.993 350.132 899.26
Finished products/goods2 551.311 826.093 197.204 063.312 836.64
Advance payments646.02647.82353.56
Inventories total8 379.317 671.158 521.498 030.026 428.81
Current trade debtors2 669.222 505.291 428.951 916.751 576.51
Current amounts owed by group member comp.867.211 479.131 518.092 151.322 431.31
Prepayments and accrued income9.6310.9833.1886.75
Current other receivables38.33287.2550.31
Current deferred tax assets45.17339.80298.80
Short term receivables total3 546.054 033.733 312.654 458.184 393.37
Cash and bank deposits281.42177.9139.06379.7044.28
Cash and cash equivalents281.42177.9139.06379.7044.28
Balance sheet total (assets)18 044.9117 489.8617 343.3317 287.8315 657.11

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital2 000.002 000.002 000.002 000.002 000.00
Retained earnings6 362.556 921.017 563.787 884.085 415.52
Profit of the financial year558.46642.77320.30-2 468.56-2 980.32
Shareholders equity total8 921.009 563.789 884.087 415.524 435.20
Provisions103.2592.81108.50
Non-current loans from credit institutions3 167.102 995.872 826.272 657.132 482.47
Non-current other liabilities77.4077.4077.4077.4077.40
Non-current liabilities total3 244.503 073.272 903.672 734.532 559.87
Current loans from credit institutions2 196.182 746.673 016.365 914.856 799.15
Current trade creditors515.81278.10150.32258.46136.79
Current owed to group member721.39511.43570.07407.15450.96
Short-term deferred tax liabilities174.24178.05
Other non-interest bearing current liabilities2 142.741 019.20681.89528.901 161.58
Accruals and deferred income25.8026.5728.4328.43113.56
Current liabilities total5 776.164 760.014 447.087 137.788 662.04
Balance sheet total (liabilities)18 044.9117 489.8617 343.3317 287.8315 657.11
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