BLOOMINGVILLE A/S — Credit Rating and Financial Key Figures

CVR number: 27919081
Lene Haus Vej 3-5, 7430 Ikast
finance@bloomingville.com
tel: 96264650
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit60 249.9886 307.0055 984.8840 377.4645 096.98
Employee benefit expenses-37 730.00-37 009.15-34 675.76-32 479.70-36 020.72
Total depreciation-2 345.14-2 734.45-3 130.28-3 870.14-2 909.89
EBIT20 174.8446 563.4018 178.834 027.626 166.38
Other financial income1 915.923 473.071 184.641 000.652 313.18
Other financial expenses-3 008.42-2 824.45-1 985.02-1 943.83-2 787.79
Pre-tax profit19 082.3447 212.0217 378.453 084.445 691.77
Income taxes-4 219.28-10 630.34-3 856.88- 692.20-1 303.12
Net earnings14 863.0636 581.6813 521.572 392.254 388.65

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure2 357.323 074.014 725.033 007.931 504.86
Intangible rights51.6127.2813.05
Intangible assets total2 408.933 101.294 738.073 007.931 504.86
Buildings947.77783.23501.23222.5639.98
Machinery and equipment1 699.792 012.872 377.111 133.32665.40
Advance payments and construction in progress557.00
Tangible assets total2 647.563 353.102 878.341 355.88705.38
Investments total1 471.771 471.771 479.221 493.571 494.35
Long term receivables total
Finished products/goods48 804.1171 025.3268 925.9958 496.1860 868.81
Advance payments1 453.141 004.921 541.78783.34542.17
Inventories total50 257.2572 030.2470 467.7759 279.5161 410.98
Current trade debtors19 104.5817 643.0315 522.8612 294.9315 923.48
Prepayments and accrued income2 659.143 709.083 466.613 773.554 203.39
Current other receivables1 420.521 355.58261.14503.88
Current deferred tax assets660.84
Short term receivables total23 184.2422 707.6919 250.6216 729.3220 630.75
Cash and bank deposits19 751.532 723.6229.7624.2119.70
Cash and cash equivalents19 751.532 723.6229.7624.2119.70
Balance sheet total (assets)99 721.28105 387.7198 843.7881 890.4285 766.01

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Shares repurchased14 000.003 000.0010 500.003 000.00
Other reserves- 642.922 234.162 131.84-5 494.061 417.91
Retained earnings40 051.8214 017.1546 311.0350 671.9451 236.58
Profit of the financial year14 863.0636 581.6813 521.572 392.254 388.65
Shareholders equity total68 771.9653 332.9965 464.4558 570.1360 543.14
Provisions1 550.32895.322 222.682 746.002 570.02
Non-current leasing loans74.51854.59639.93419.85177.74
Non-current deferred tax liabilities2 325.713 614.311 732.771 618.361 473.87
Non-current liabilities total2 400.214 468.892 372.692 038.211 651.61
Current loans from credit institutions126.468 765.5713 910.986 094.02632.27
Advances received2 081.352 715.921 781.821 077.321 235.07
Current trade creditors11 714.5812 455.804 593.507 943.4414 205.82
Current owed to group member27.87750.001 291.13
Short-term deferred tax liabilities4 829.9511 898.591 554.282 430.54
Other non-interest bearing current liabilities8 218.5810 104.615 652.263 421.312 497.55
Current liabilities total26 998.7846 690.5028 783.9618 536.0821 001.24
Balance sheet total (liabilities)99 721.28105 387.7198 843.7881 890.4285 766.01
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