LABOGENE A/S — Credit Rating and Financial Key Figures

CVR number: 39969238
Bjarkesvej 5, 3450 Allerød
msn@labogene.com
https://www.labogene.com
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit19 073.7917 268.8813 642.8616 898.2616 455.92
Employee benefit expenses-12 762.49-13 046.98-11 638.21-13 704.83-14 554.88
Total depreciation- 185.27- 165.43-28.20-10.32-9.80
EBIT12 437.354 056.471 976.453 183.111 891.24
Other financial income0.972.04
Other financial expenses- 134.67- 285.13- 308.82- 276.10- 206.14
Pre-tax profit5 991.383 771.341 667.632 907.981 687.14
Income taxes-1 331.68- 848.98- 373.41- 646.29- 380.85
Net earnings4 659.692 922.361 294.212 261.691 306.29

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure2 170.523 147.043 497.883 670.574 548.06
Intangible rights27.77527.48
Intangible assets total2 198.293 147.043 497.883 670.575 075.54
Machinery and equipment150.4840.8612.662.3448.53
Tangible assets total150.4840.8612.662.3448.53
Investments total905.18905.18905.18905.18905.18
Long term receivables total
Semifinished products1 570.851 135.682 303.502 459.283 775.69
Raw materials and consumables4 703.486 638.337 881.118 513.968 673.04
Finished products/goods1 001.121 167.231 215.281 532.051 632.94
Advance payments940.36
Inventories total8 215.818 941.2411 399.8912 505.3014 081.67
Current trade debtors5 972.845 888.394 347.5110 232.403 644.12
Current amounts owed by group member comp.581.07284.49449.46
Prepayments and accrued income681.62371.67175.16108.89151.36
Current other receivables2 589.836 595.1587.570.69559.19
Current deferred tax assets242.77272.40
Short term receivables total9 244.2912 855.215 434.0710 626.465 076.53
Cash and bank deposits1 219.771 656.59330.041 239.391 741.06
Cash and cash equivalents1 219.771 656.59330.041 239.391 741.06
Balance sheet total (assets)21 933.8227 546.1321 579.7228 949.2326 928.51

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Other reserves1 693.002 454.692 728.352 863.043 547.48
Retained earnings2 549.176 447.189 095.8810 255.4011 832.65
Profit of the financial year4 659.692 922.361 294.212 261.691 306.29
Shareholders equity total9 401.8712 324.2313 618.4415 880.1417 186.43
Provisions694.27991.64976.711 024.621 377.86
Non-current accruals and deferred income1 022.50857.50680.00440.00200.00
Non-current other liabilities63.90
Non-current deferred tax liabilities872.401 181.771 136.811 136.811 138.67
Non-current liabilities total1 958.802 039.271 816.811 576.811 338.66
Current loans from credit institutions1 193.703 173.26537.113 144.312 884.50
Advances received516.1998.7765.02
Current trade creditors2 684.436 585.613 723.315 843.723 138.32
Current owed to group member2 505.14399.16
Short-term deferred tax liabilities29.32138.38
Other non-interest bearing current liabilities3 495.622 003.65391.151 242.49937.71
Current liabilities total9 878.8912 190.985 167.7610 467.667 025.55
Balance sheet total (liabilities)21 933.8227 546.1321 579.7228 949.2326 928.51
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