Reersø Landbrug ApS — Credit Rating and Financial Key Figures

CVR number: 38688170
Kirkebjergvænget 7, Særløse 4330 Hvalsø
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit993.681 318.623 184.291 205.894 923.42
Other operating expenses-1 079.43-2.90-50.75
Total depreciation- 289.92- 432.49- 509.92- 309.66- 304.50
EBIT- 375.67886.132 677.27896.234 568.17
Other financial income-0.02357.91679.41848.74
Other financial expenses- 382.21- 349.47- 428.64-1 536.40-2 300.62
Pre-tax profit- 757.88536.642 606.5439.243 116.29
Income taxes217.30- 119.51- 522.43-37.66- 660.68
Net earnings- 540.58417.132 084.111.582 455.62

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights56.8349.93
Intangible assets total56.8349.93
Land and waters22 390.8221 575.8213 046.5723 346.1226 099.99
Buildings10 617.0410 186.4617 777.3922 836.2821 653.92
Tangible assets total33 007.8631 762.2830 823.9646 182.4047 753.91
Investments total
Long term receivables total
Inventories total
Current trade debtors10.654.1363.24204.34120.80
Current other receivables41.5540.7546.7034.813 913.50
Short term receivables total52.2044.88109.94239.154 034.30
Other current investments5 690.005 690.001 675.00
Cash and bank deposits5 005.69698.05340.65154.961 284.58
Cash and cash equivalents5 005.69698.056 030.665 844.962 959.58
Balance sheet total (assets)38 122.5832 555.1536 964.5652 266.5154 747.79

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital50.0050.0050.0050.0050.00
Asset revaluation reserve10 764.0011 005.703 900.003 900.007 800.00
Other reserves1 950.001 950.00
Retained earnings-28.52- 569.091 798.043 882.153 883.73
Profit of the financial year- 540.58417.132 084.111.582 455.62
Shareholders equity total12 194.9112 853.747 832.157 833.7314 189.35
Provisions3 283.003 059.301 734.001 722.363 409.09
Non-current loans from credit institutions17 106.1814 132.6422 026.2431 648.1729 000.60
Non-current liabilities total17 106.1814 132.6422 026.2431 648.1729 000.60
Current loans from credit institutions626.00125.002 345.658 176.825 111.49
Current trade creditors55.86441.7548.96
Current owed to participating2 421.572 508.21
Current owed to group member102.7872.17175.48
Short-term deferred tax liabilities49.3073.94
Other non-interest bearing current liabilities4 723.862 282.302 354.28243.60395.12
Accruals and deferred income30.0030.0055.00122.0060.00
Current liabilities total5 538.502 509.475 372.1611 062.258 148.75
Balance sheet total (liabilities)38 122.5832 555.1536 964.5652 266.5154 747.79
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