Blue World Technologies ApS — Credit Rating and Financial Key Figures

CVR number: 39931664
Langerak 15 A, 9220 Aalborg Øst

Income statement (kEUR)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit105.43585.135 317.774 453.30-22 213.60
Costs of management-1 076.41-2 299.88-4 076.76-3 317.97-1 928.06
Costs of distribution- 316.86- 620.86-1 227.89-1 084.90-6 545.95
EBIT-1 287.84-2 335.6113.1150.42-30 687.61
Other financial income11.7742.22370.59696.03181.02
Other financial expenses-25.46- 137.03-1 093.27-2 691.54-2 096.66
Pre-tax profit-1 301.52-2 430.42- 709.57-1 945.09-32 603.25
Income taxes451.70698.20506.81513.87215.05
Net earnings- 849.83-1 732.22- 202.76-1 431.22-32 388.20

Assets (kEUR)

2020
2021
2022
2023
2024
Development expenditure6 278.819 478.8814 885.1220 011.46899.52
Intangible rights59.5642.1324.707.27
Intangible assets total6 338.379 521.0114 909.8220 018.73899.52
Land and waters830.078 135.398 538.564 958.09
Buildings3 235.484 080.352 603.00
Machinery and equipment9.5733.04580.75946.02303.50
Advance payments and construction in progress70.862 243.874 392.753 211.37404.75
Tangible assets total80.433 106.9816 344.3716 776.308 269.34
Investments total38.07127.82222.49430.31406.76
Long term receivables total
Semifinished products313.63702.531 185.38485.01
Raw materials and consumables138.362 906.381 966.23759.04
Finished products/goods156.69297.48576.5075.95
Advance payments168.30353.5348.41
Inventories total608.684 074.694 081.641 368.41
Current trade debtors180.01117.41321.20221.455.22
Prepayments and accrued income23.0577.9962.78
Current other receivables147.221 366.441 402.36858.36559.28
Current deferred tax assets597.51704.02320.49274.01215.05
Short term receivables total947.792 187.872 044.051 431.82842.33
Other current investments86.41
Cash and bank deposits218.021 507.652 174.932 209.57356.69
Cash and cash equivalents304.441 507.652 174.932 209.57356.69
Balance sheet total (assets)7 709.1017 060.0139 770.3544 948.3812 143.07

Equity and liabilities (kEUR)

2020
2021
2022
2023
2024
Share capital6.696.696.696.696.69
Other reserves4 897.477 393.5311 610.3915 608.94701.63
Retained earnings1 393.566 987.825 056.51855.2014 331.30
Profit of the financial year- 849.83-1 732.22- 202.76-1 431.22-32 388.20
Shareholders equity total5 447.9012 655.8216 470.8415 039.62-17 348.58
Provisions424.67470.84239.36
Non-current loans from credit institutions1 313.716 530.907 742.15
Non-current leasing loans157.415 962.625 545.695 052.64
Non-current deferred tax liabilities320.46316.43317.48294.28296.80
Non-current liabilities total320.461 787.5512 811.0013 582.125 349.43
Current loans from credit institutions192.63445.581 489.9210 100.54
Advances received811.71617.67405.00520.58
Current trade creditors115.24746.311 969.551 078.06728.77
Current owed to group member2.836 837.2511 782.9411 650.22
Other non-interest bearing current liabilities368.78302.74348.481 570.721 142.11
Accruals and deferred income217.51904.1430.63
Current liabilities total1 516.072 145.8110 249.1616 326.6424 142.21
Balance sheet total (liabilities)7 709.1017 060.0139 770.3544 948.3812 143.07
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