BJERREGÅRD ApS — Credit Rating and Financial Key Figures

CVR number: 36026022
Søndre Landevej 77, Pedersker 3720 Aakirkeby
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit6 989.454 427.133 357.007 819.004 646.53
Employee benefit expenses-2 355.94-2 999.78-3 069.00-4 136.00-4 464.89
Other operating expenses-4.00
Total depreciation-1 382.89-2 290.17-2 093.00-1 780.00-1 777.01
Reduction in value of non-current assets1 062.16424.18
EBIT3 250.61- 862.83-1 809.001 903.00-1 595.37
Other financial income1.802.117.004.0010.38
Other financial expenses-1 631.40-2 312.48930.00-3 944.00-4 358.12
Net income from associates (fin.)2.141.50
Pre-tax profit1 623.16-3 171.69- 872.00-2 037.00-5 943.12
Income taxes- 494.50654.70367.00698.001 030.80
Net earnings1 128.66-2 516.99- 505.00-1 339.00-4 912.32

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters13 740.0017 540.0043 165.0042 651.0041 937.82
Buildings39 591.7340 797.8613 249.0012 135.0010 789.17
Machinery and equipment37.8031.50
Other tangible assets3 831.804 218.80
Tangible assets total57 201.3362 588.1656 414.0054 786.0052 726.99
Participating interests179.22243.40
Investments total179.22243.40
Non-current loans receivable72.0074.10329.00331.00343.84
Long term receivables total72.0074.10329.00331.00343.84
Semifinished products8 496.008 833.008 513.73
Raw materials and consumables936.20807.50
Finished products/goods1 955.562 094.232 335.001 344.001 700.49
Inventories total2 891.762 901.7310 831.0010 177.0010 214.22
Current trade debtors30.26463.161 294.001 107.00773.15
Current amounts owed by group member comp.8.10491.39115.00285.72
Current owed by particip. interest comp.17.59
Current other receivables1 981.3967.542 837.00
Short term receivables total2 019.761 039.684 131.001 222.001 058.87
Cash and bank deposits24.0024.00
Cash and cash equivalents24.0024.00
Balance sheet total (assets)62 364.0666 847.0771 729.0066 540.0064 343.92

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital235.30235.30235.00235.00235.30
Share premium account1 124.701 124.701 125.00
Asset revaluation reserve2 964.002 964.002 964.002 964.00
Shares repurchased300.00300.00
Other reserves4 150.154 150.15
Retained earnings201.32969.971 923.002 243.00903.58
Profit of the financial year1 128.66-2 516.99- 505.00-1 339.00-4 912.32
Shareholders equity total6 840.126 927.136 042.004 403.00- 809.43
Provisions2 139.502 320.801 954.001 256.00225.10
Capital loans5 623.23
Non-current loans from credit institutions35 303.3935 430.9537 476.0034 796.0032 378.21
Non-current leasing loans366.23
Non-current trade creditors306.00215.00148.33
Non-current owed to group member5 651.004 321.003 693.32
Non-current accruals and deferred income994.10900.603 267.002 984.002 701.70
Non-current liabilities total36 297.4942 321.0146 700.0042 316.0038 921.57
Short-term capital loans650.00
Current loans from credit institutions15 787.7412 598.4512 869.0014 340.0021 911.04
Current trade creditors878.831 297.711 294.001 926.002 022.10
Current owed to participating446.34
Current owed to group member85.18194.03
Other non-interest bearing current liabilities241.71439.452 870.002 299.001 627.22
Accruals and deferred income93.5098.50
Current liabilities total17 086.9515 278.1417 033.0018 565.0026 006.69
Balance sheet total (liabilities)62 364.0666 847.0771 729.0066 540.0064 343.92
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