BORNHOLMS VAND A/S — Credit Rating and Financial Key Figures

CVR number: 31582083
Skansevej 2, Rønne 3700 Rønne
beof@beof.dk
tel: 56922401
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales19 995.0019 601.0018 855.0018 441.0021 080.00
Other operating income106.00269.00233.00553.00192.00
Purchases during the financial year-77.00- 123.00- 279.00- 161.00- 375.00
External services-11 022.00-11 042.00-12 798.00-11 945.00-14 964.00
Gross profit9 002.008 705.006 011.006 888.005 933.00
Other operating expenses-26.00- 395.00- 265.00
Total depreciation-6 862.00-7 007.00-6 349.00-6 248.00-6 101.00
EBIT2 140.001 672.00- 338.00245.00- 433.00
Other financial income1.0017.0024.00
Other financial expenses-39.00-53.00-56.00-11.00- 196.00
Pre-tax profit2 101.001 619.00- 393.00251.00- 605.00
Income taxes4 587.002 300.00
Net earnings2 101.001 619.00- 393.004 838.001 695.00

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure2 102.001 576.001 050.00526.00
Intangible assets total2 102.001 576.001 050.00526.00
Land and waters12 476.0012 302.0012 041.0011 930.0011 676.00
Buildings225 021.00224 551.00228 049.00228 555.00233 116.00
Machinery and equipment147.0075.00123.0092.00151.00
Advance payments and construction in progress1 513.001 349.009 964.0012 675.00
Tangible assets total237 644.00238 441.00241 562.00250 541.00257 618.00
Investments total
Long term receivables total
Raw materials and consumables680.00739.00705.00992.00776.00
Inventories total680.00739.00705.00992.00776.00
Current trade debtors1 139.00145.00117.004.00103.00
Current amounts owed by group member comp.728.00146.00544.0063.00
Prepayments and accrued income106.00182.00283.00213.00329.00
Current other receivables161.00596.001 381.001 261.00737.00
Current deferred tax assets2 000.002 300.00
Short term receivables total1 406.001 651.001 927.004 022.003 532.00
Cash and bank deposits1 626.005 921.003 044.00210.00
Cash and cash equivalents1 626.005 921.003 044.00210.00
Balance sheet total (assets)243 458.00248 328.00248 288.00256 081.00262 136.00

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital5 000.005 000.005 000.005 000.005 000.00
Retained earnings223 075.00226 099.00228 893.00228 500.00233 153.00
Profit of the financial year2 101.001 619.00- 393.004 838.001 695.00
Shareholders equity total230 176.00232 718.00233 500.00238 338.00239 848.00
Provisions2 380.001 438.00243.00224.00401.00
Non-current accruals and deferred income6 809.008 213.009 887.0010 195.0010 484.00
Non-current other liabilities1 781.00340.00
Non-current liabilities total6 809.008 213.009 887.0011 976.0010 824.00
Current loans from credit institutions98.0098.00118.00630.00934.00
Current trade creditors1 837.002 240.001 917.001 445.002 376.00
Current owed to group member221.001 152.002 042.003 264.007 588.00
Other non-interest bearing current liabilities1 937.002 469.00581.00204.00165.00
Current liabilities total4 093.005 959.004 658.005 543.0011 063.00
Balance sheet total (liabilities)243 458.00248 328.00248 288.00256 081.00262 136.00
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