ES HOLDING 2011 ApS

CVR number: 33757182
Østre Havnevej 2, 5700 Svendborg
tel: 40210896
www.esejendomme.dk

Income statement (kDKK)

2020202120222023
Fiscal period length12121212
Net sales
Gross profit118 370.0389 097.7956 443.5872 254.53
Employee benefit expenses-43 336.15-44 788.00-42 240.15-45 509.95
Total depreciation-4 889.80-6 583.91-7 343.71-6 014.93
Reduction in value of non-current assets-1 452.131 610.29-10 772.22-5 381.75
EBIT68 691.9539 336.17-3 912.5015 347.90
Other financial income1 556.605 246.1711 693.408 600.26
Other financial expenses-9 710.01-12 515.63-13 543.70-22 055.67
Pre-tax profit60 538.5432 066.70-5 762.801 892.48
Income taxes-5 482.11-4 861.734 156.651 439.92
Net earnings55 056.4227 204.97-1 606.153 332.41

Assets (kDKK)

2020202120222023
Development expenditure4 931.9811 783.7316 415.9040 484.63
Goodwill3 609.562 887.642 165.731 443.82
Intangible assets total8 541.5414 671.3818 581.6341 928.46
Land and waters15 530.3415 309.4615 351.5115 127.30
Buildings298 049.15285 206.48277 739.20290 329.51
Machinery and equipment2 285.7031 726.9830 900.093 230.10
Advance payments and construction in progress6 550.4224 301.8751 885.53
Tangible assets total315 865.19338 793.34348 292.67360 572.43
Other non-current investments10 940.0032 341.5338 963.5343 167.87
Other receivables-0.00105.76199.32463.65
Investments total10 940.0032 447.2939 162.8643 631.52
Long term receivables total
Finished products/goods4 834.029 209.5914 480.4421 953.01
Inventories total4 834.029 209.5914 480.4421 953.01
Current trade debtors6 433.377 495.079 178.0623 323.16
Prepayments and accrued income532.60439.981 064.671 200.26
Current other receivables74 441.9351 024.865 935.4061 018.99
Current deferred tax assets477.3223 745.386 317.202 042.45
Short term receivables total81 885.2282 705.2922 495.3487 584.85
Cash and bank deposits161 084.6686 448.8184 266.9247 663.75
Cash and cash equivalents161 084.6686 448.8184 266.9247 663.75
Balance sheet total (assets)583 150.64564 275.70527 279.86603 334.03

Equity and liabilities (kDKK)

2020202120222023
Share capital170.40170.40170.40170.40
Other reserves21 412.582 507.303 865.054 185.82
Retained earnings109 093.13163 251.27190 647.53188 888.66
Profit of the financial year55 056.4227 204.97-1 606.153 332.41
Shareholders equity total185 732.54193 133.94193 076.83196 577.29
Provisions33 802.3024 691.5822 982.6618 092.28
Capital loans13 827.2015 418.5915 987.93
Non-current loans from credit institutions116 864.27109 953.2876 067.2072 104.41
Non-current other liabilities2 068.47
Non-current liabilities total118 932.74123 780.4891 485.7888 092.34
Current loans from credit institutions4 588.674 347.015 180.684 777.27
Advances received45 683.6720 025.1715 688.51
Current trade creditors7 508.247 863.5910 076.2518 838.67
Short-term deferred tax liabilities1 088.89
Other non-interest bearing current liabilities186 902.49189 957.16202 608.25249 023.89
Accruals and deferred income476.771 869.4011 154.90
Current liabilities total244 683.06222 669.70219 734.58300 572.12
Balance sheet total (liabilities)583 150.64564 275.70527 279.86603 334.03
Try the full version of our system for free
Bankruptcy risk visualization example

... and more!

No registration needed.