PURETEQ A/S — Credit Rating and Financial Key Figures

CVR number: 33144334
Sverigesvej 13, Tved 5700 Svendborg
info@pureteq.com
tel: 62212787
www.pureteq.com
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit66 353.2750 287.8032 447.2930 305.4737 393.26
Employee benefit expenses-31 650.38-25 352.69-22 999.69-21 898.31-23 767.99
Total depreciation-3 335.97-3 355.27-2 994.87-1 357.32- 661.06
EBIT31 366.9121 579.846 452.737 049.8412 964.21
Other financial income261.361 237.702 446.491 335.72559.99
Other financial expenses- 953.03- 410.06- 142.58-3.78- 105.56
Net income from associates (fin.)831.03- 745.49-1 079.05- 486.901 556.26
Pre-tax profit31 506.2721 661.997 677.587 894.8914 974.89
Income taxes-6 609.39-4 848.91-1 844.48-1 872.55-2 897.47
Net earnings24 896.8916 813.085 833.106 022.3412 077.42

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure4 931.992 758.33975.27408.944 996.98
Intangible rights187.64116.16
Intangible assets total4 931.992 758.33975.27596.585 113.14
Buildings1 629.541 227.29672.22311.07148.42
Machinery and equipment907.00736.231 078.821 347.931 150.85
Tangible assets total2 536.541 963.521 751.041 659.001 299.27
Holdings in group member companies2 481.201 739.502 682.032 123.803 612.12
Other non-current investments-0.000.00-0.000.00
Investments total2 706.262 209.983 159.942 123.803 612.12
Non-curr. owed by group member comp.503.97512.33
Long term receivables total503.97512.33
Finished products/goods4 834.028 867.4112 482.1219 983.2020 429.20
Inventories total4 834.028 867.4112 482.1219 983.2020 429.20
Current trade debtors6 297.496 140.969 684.3418 767.0825 270.52
Current amounts owed by group member comp.7 993.2843 513.9126 158.803 462.004 602.58
Prepayments and accrued income107.82227.53331.39263.85208.22
Current other receivables15 306.9620 023.481 784.415 382.837 233.40
Current deferred tax assets3 221.161 996.435 214.313 376.401 237.61
Short term receivables total32 926.7171 902.3243 173.2531 252.1638 552.33
Cash and bank deposits113 522.5750 823.0046 945.6124 751.986 077.05
Cash and cash equivalents113 522.5750 823.0046 945.6124 751.986 077.05
Balance sheet total (assets)161 458.08138 524.56108 487.2380 870.6875 595.44

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital800.00800.00800.00800.00500.00
Shares repurchased15 000.0025 000.0020 000.004 000.00
Other reserves2 993.541 200.18595.90165.653 829.71
Retained earnings39 289.1450 926.6443 260.3229 370.3527 960.70
Profit of the financial year24 896.8916 813.085 833.106 022.3412 077.42
Shareholders equity total67 979.5684 739.9075 489.3256 358.3448 367.83
Provisions30 849.2423 651.8622 388.9518 092.2812 679.53
Non-current other liabilities1 834.95
Non-current liabilities total1 834.95
Current loans from credit institutions241.75130.27195.95418.97496.91
Advances received537.12537.12
Current trade creditors3 865.703 987.554 129.212 981.309 505.09
Current owed to group member3.04318.00195.511 409.20
Short-term deferred tax liabilities5 829.423 624.195 164.62799.04
Other non-interest bearing current liabilities6 471.611 825.46801.191 795.532 153.12
Accruals and deferred income45 683.6720 025.171 028.75184.73
Current liabilities total62 629.2830 132.8010 608.966 420.0614 548.08
Balance sheet total (liabilities)163 293.04138 524.56108 487.2380 870.6875 595.44
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