A.K. IVERSEN A/S — Credit Rating and Financial Key Figures

CVR number: 34414815
Agerskellet 14, 8920 Randers NV
aki@ak-iversen.dk
tel: 86413000
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit12 261.4610 646.2211 630.0012 487.0010 907.87
Employee benefit expenses-8 632.65-8 878.94-8 795.00-8 648.00-9 121.97
Other operating expenses-13.00
Total depreciation- 771.30- 956.73-1 193.00-1 349.00-1 548.53
EBIT2 844.51810.561 642.002 490.00237.36
Other financial income10.116.837.005.007.47
Other financial expenses- 104.41-92.49-45.00-59.00-60.35
Pre-tax profit2 750.22724.891 604.002 436.00184.48
Income taxes- 678.73- 177.81- 369.00- 572.00-61.59
Net earnings2 071.48547.091 235.001 864.00122.90

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters7 572.737 678.787 845.008 137.008 025.42
Buildings2 218.452 369.383 158.004 158.003 075.58
Machinery and equipment482.67408.85291.00183.00112.75
Other tangible assets0.00
Tangible assets total10 273.8510 457.0011 294.0012 478.0011 213.76
Investments total-0.00
Non-current loans receivable29.1626.08
Long term receivables total29.1626.08
Raw materials and consumables1 059.631 611.991 571.001 222.001 422.79
Finished products/goods1 967.272 560.712 935.003 385.003 020.69
Inventories total3 026.894 172.704 506.004 607.004 443.48
Current trade debtors5 924.915 783.525 353.005 699.006 161.17
Prepayments and accrued income309.63161.3535.00320.00549.58
Current other receivables47.18629.65293.0059.00
Short term receivables total6 281.726 574.515 681.006 078.006 710.75
Other current investments31.0035.0039.34
Cash and bank deposits2 338.02938.781 718.001 767.001 056.41
Cash and cash equivalents2 338.02938.781 749.001 802.001 095.76
Balance sheet total (assets)21 949.6522 169.0823 230.0024 965.0023 463.74

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital1 050.001 050.001 050.001 050.001 050.00
Asset revaluation reserve2 223.712 223.712 224.002 224.002 223.71
Retained earnings7 383.0012 454.4913 002.0014 237.0016 101.30
Profit of the financial year2 071.48547.091 235.001 864.00122.90
Shareholders equity total12 728.1916 275.2817 511.0019 375.0019 497.90
Provisions1 172.361 206.481 190.001 293.001 212.30
Non-current loans from credit institutions1 467.441 321.891 161.001 000.00839.15
Non-current liabilities total1 467.441 321.891 161.001 000.00839.15
Current loans from credit institutions176.00161.00161.00161.00161.00
Current trade creditors1 391.261 919.411 771.001 576.00628.96
Current owed to participating77.0086.00108.05
Current owed to group member3 117.30563.98448.00574.00494.10
Short-term deferred tax liabilities676.25143.69385.00470.00141.02
Other non-interest bearing current liabilities1 220.85577.35526.00430.00381.25
Current liabilities total6 581.663 365.433 368.003 297.001 914.38
Balance sheet total (liabilities)21 949.6522 169.0823 230.0024 965.0023 463.74
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