TH. FALK-RØNNE A/S — Credit Rating and Financial Key Figures

CVR number: 29690642
Strandvejen 668, 2930 Klampenborg
tel: 70233357
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit-9.00- 201.00-1 344.00- 520.00-1 102.00
Total depreciation-50.00-11.00-9.00
EBIT-59.00- 212.00-1 344.00- 529.00-1 102.00
Other financial income1 874.001 191.00879.00296.00402.88
Other financial expenses- 690.00- 151.00- 615.00- 267.00- 143.70
Net income from associates (fin.)3 441.0010 763.003 501.00-6 222.00-2 153.26
Pre-tax profit4 566.0011 591.002 421.00-6 722.00-2 996.08
Income taxes- 247.00- 182.00238.00108.00180.16
Net earnings4 319.0011 409.002 659.00-6 614.00-2 815.92

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Machinery and equipment26.0015.009.00
Tangible assets total26.0015.009.00
Holdings in group member companies32 844.0033 166.0027 780.0023 996.0018 666.72
Participating interests20 681.0024 500.0028 357.0025 565.0025 699.92
Investments total53 525.0057 666.0056 137.0049 561.0044 366.63
Non-curr. owed by group member comp.4 326.001 531.0010 863.0013 583.0013 513.72
Non-curr. owed by particip. interest comp.2 918.001 661.001 821.001 394.001 440.11
Non-current other receivables4 096.009 546.004 536.002 968.003 076.11
Long term receivables total11 340.0012 738.0017 220.0017 945.0018 029.94
Inventories total
Current other receivables61.0063.0066.00
Current deferred tax assets26.0032.00264.00330.00510.16
Short term receivables total87.0095.00330.00330.00510.16
Other current investments5 540.004 555.001 709.00391.00
Cash and bank deposits3 339.005 518.005 783.001 401.001 302.64
Cash and cash equivalents8 879.0010 073.007 492.001 792.001 302.64
Balance sheet total (assets)73 857.0080 587.0081 188.0069 628.0064 209.38

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Shares repurchased5 000.005 000.005 000.00
Other reserves39 554.0047 258.0045 777.0038 455.0033 261.00
Retained earnings18 110.009 725.0017 616.0027 021.0025 600.93
Profit of the financial year4 319.0011 409.002 659.00-6 614.00-2 815.92
Shareholders equity total67 483.0073 892.0071 552.0059 362.0056 546.01
Non-current owed to group member6 112.006 151.007 795.009 175.006 452.31
Non-current other liabilities193.00483.0062.0062.0062.19
Non-current deferred tax liabilities786.00924.00975.29
Non-current liabilities total6 305.006 634.008 643.0010 161.007 489.79
Current trade creditors968.0080.00145.45
Current owed to participating63.0063.0062.0062.0062.19
Short-term deferred tax liabilities39.0035.00
Other non-interest bearing current liabilities-33.00-37.00-37.00-37.00-34.06
Current liabilities total69.0061.00993.00105.00173.58
Balance sheet total (liabilities)73 857.0080 587.0081 188.0069 628.0064 209.38
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