Palletiser A/S — Credit Rating and Financial Key Figures

CVR number: 39960079
Industri Vest 9, 4293 Dianalund
info@palletiser.dk
tel: 70702662
www.palletiser.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit2 134.491 390.981 736.231 643.331 945.87
Employee benefit expenses- 743.48- 642.43- 799.42- 920.23-1 808.64
Total depreciation-34.20-85.83-95.69- 103.23- 141.14
EBIT1 356.81662.72841.12619.87-3.91
Other financial income7.1610.8158.0663.41
Other financial expenses-45.82-26.76-8.300.24-53.86
Pre-tax profit1 310.99643.11843.63678.175.65
Income taxes- 294.85- 139.01- 185.50- 149.06-14.62
Net earnings1 016.14504.11658.13529.11-8.97

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights394.53355.82317.13274.13
Intangible assets total394.53355.82317.13274.13
Machinery and equipment115.90177.41160.3195.78595.40
Tangible assets total115.90177.41160.3195.78595.40
Investments total9.509.509.509.509.50
Long term receivables total
Finished products/goods204.03190.00175.00320.00439.82
Inventories total204.03190.00175.00320.00439.82
Current trade debtors2 011.85227.34181.2378.52110.40
Current amounts owed by group member comp.445.311 876.992 024.202 307.40
Prepayments and accrued income13.746.5610.2911.85
Current other receivables22.57201.870.0024.26391.08
Short term receivables total2 048.16874.512 064.792 137.272 820.73
Cash and bank deposits15.761 344.63124.13721.26278.88
Cash and cash equivalents15.761 344.63124.13721.26278.88
Balance sheet total (assets)2 393.352 990.582 889.563 600.944 418.47

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital40.00400.00400.00400.00400.00
Shares repurchased500.00500.00
Retained earnings338.05994.191 498.291 656.421 685.54
Profit of the financial year1 016.14504.11658.13529.11-8.97
Shareholders equity total1 394.191 898.292 556.423 085.542 576.57
Provisions1.985.699.059.0823.70
Non-current liabilities total
Current trade creditors48.62389.4881.7785.321 230.24
Current owed to participating80.64243.638.9869.520.55
Current owed to group member39.00
Short-term deferred tax liabilities343.13141.12185.66150.08
Other non-interest bearing current liabilities485.80312.3747.67201.39587.40
Current liabilities total997.181 086.59324.08506.311 818.19
Balance sheet total (liabilities)2 393.352 990.582 889.563 600.944 418.47
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