Hallumgade Pig Production ApS — Credit Rating and Financial Key Figures

CVR number: 38454765
Kvongvej 511, Kvong 6800 Varde

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit8 832.269 009.4211 685.8934 789.4341 822.76
Employee benefit expenses-5 332.04-5 534.95-5 741.70-6 718.14-7 153.79
Total depreciation-1 482.42-1 652.35-1 546.97-1 419.80-2 568.50
EBIT2 017.811 822.124 397.2326 651.5032 100.48
Other financial income1.621.12218.22334.65
Other financial expenses-1 202.11-1 322.16-2 412.09-7 447.15-1 391.04
Pre-tax profit817.32501.081 985.1419 422.5731 044.09
Income taxes- 177.35- 112.54- 436.66-4 270.98-6 830.97
Net earnings639.96388.551 548.4815 151.5924 213.12

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters12 597.1611 902.9711 208.7711 528.5236 867.65
Machinery and equipment8 276.528 198.377 330.608 150.8310 310.58
Tangible assets total20 873.6920 101.3418 539.3719 679.3547 178.23
Investments total
Long term receivables total
Semifinished products8 101.009 265.308 685.809 570.0010 308.00
Raw materials and consumables401.212 067.311 759.182 445.673 061.63
Finished products/goods3 010.503 203.106 513.846 644.686 884.93
Inventories total11 512.7114 535.7116 958.8118 660.3520 254.56
Current trade debtors331.96584.301 230.3087.49970.98
Current amounts owed by group member comp.114.16
Prepayments and accrued income392.42
Current other receivables1 075.713 138.82666.111 011.761 022.84
Short term receivables total1 800.093 723.121 896.411 213.411 993.82
Cash and bank deposits1 156.74637.433 611.3116 878.195 289.65
Cash and cash equivalents1 156.74637.433 611.3116 878.195 289.65
Balance sheet total (assets)35 343.2338 997.6141 005.9156 431.3074 716.26

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital100.00100.00100.00100.00100.00
Shares repurchased150.00150.005 000.0021 000.00
Retained earnings6 459.926 949.897 188.433 736.91-2 111.50
Profit of the financial year639.96388.551 548.4815 151.5924 213.12
Shareholders equity total7 199.897 588.438 986.9123 988.5043 201.62
Provisions74.29186.821 039.74792.711 742.51
Non-current loans from credit institutions18 000.00
Non-current owed to group member19 411.7124 528.0317 206.7215 085.47
Non-current other liabilities11.0011.0011.0011.0011.00
Non-current liabilities total19 422.7124 539.0317 217.7215 096.4718 011.00
Current loans from credit institutions1 535.001 535.008 535.00935.002 000.00
Current trade creditors1 683.882 682.341 920.103 459.502 389.90
Current owed to group member4 294.931 346.182 474.267 180.58899.84
Short-term deferred tax liabilities363.404 518.015 881.17
Other non-interest bearing current liabilities769.131 119.80832.17460.52590.22
Current liabilities total8 646.346 683.3213 761.5416 553.6111 761.13
Balance sheet total (liabilities)35 343.2338 997.6141 005.9156 431.3074 716.26
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