BELLEVUE EJENDOMSINVEST A/S — Credit Rating and Financial Key Figures

CVR number: 34739722
Havnegade 4, 8000 Aarhus C
cbl@beinvest.dk
tel: 26332120
www.beinvest.dk

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit160.98194.25467.47229.00874.99
Employee benefit expenses-1 037.76-1 488.05-1 652.21-2 027.67-2 198.73
Total depreciation-18.87-55.20-55.20-81.17
EBIT- 876.79-1 312.67-1 239.94-1 853.87-1 404.91
Other financial income219.97868.31236.69237.290.02
Other financial expenses- 399.16-1 268.42-1 388.30-2 903.39-3 176.44
Net income from associates (fin.)8 071.0310 402.623 339.94-1 653.404 440.47
Pre-tax profit7 015.058 689.83948.38-6 173.36- 140.86
Income taxes204.35376.06513.96993.781 005.68
Net earnings7 219.409 065.891 462.35-5 179.58864.82

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Machinery and equipment162.76107.5652.37496.20
Tangible assets total162.76107.5652.37496.20
Holdings in group member companies11 578.5210 035.3950 413.1246 395.1248 147.11
Participating interests20 085.9330 280.3631 306.6732 651.2837 319.77
Investments total31 664.4640 458.4781 862.5279 189.1285 609.60
Long term receivables total
Inventories total
Current trade debtors7.85181.13
Current amounts owed by group member comp.51 331.5228 882.2617.777 782.567 117.74
Current owed by particip. interest comp.3 168.451 853.8240.30250.00
Prepayments and accrued income10.9832.0912.1131.4131.10
Current other receivables452.50100.00
Current deferred tax assets484.35420.90764.001 540.112 329.13
Short term receivables total55 455.6431 189.07934.189 535.219 727.98
Cash and bank deposits61.81252.5937.74131.74731.70
Cash and cash equivalents61.81252.5937.74131.74731.70
Balance sheet total (assets)87 181.9172 062.9082 942.0088 908.4596 565.47

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital1 000.001 000.001 000.001 000.001 000.00
Shares repurchased5 000.00
Other reserves16 451.0522 179.2023 787.3521 113.9624 354.43
Retained earnings2 854.15- 654.606 803.1310 938.872 518.82
Profit of the financial year7 219.409 065.891 462.35-5 179.58864.82
Shareholders equity total27 524.6036 590.4833 052.8327 873.2428 738.06
Provisions5.84
Non-current other liabilities29.07
Non-current liabilities total29.07
Current trade creditors35.6135.0035.3435.0035.00
Current owed to group member7 504.376 714.695 643.355 152.535 561.21
Other non-interest bearing current liabilities52 088.2628 716.8844 210.4855 847.6762 231.20
Current liabilities total59 628.2435 466.5749 889.1861 035.2067 827.41
Balance sheet total (liabilities)87 181.9172 062.9082 942.0088 908.4596 565.47
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