Triarca A/S — Credit Rating and Financial Key Figures

CVR number: 40481672
Bjørnkærvej 3, 8783 Hornsyld
info@triarca.dk
tel: 77302020
www.triarca.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit42 774.0045 023.0028 523.0045 424.0045 218.00
Costs of management-10 642.00-11 946.00-8 220.00-13 891.00-13 276.00
Costs of distribution-8 540.00-9 952.00-7 511.00-15 836.00-12 722.00
Total depreciation-4 133.00-4 661.00
EBIT23 592.0023 125.0012 792.0015 697.0019 220.00
Other financial income633.00339.00764.00805.00405.00
Other financial expenses- 669.00-1 765.00- 982.00-1 942.00- 996.00
Pre-tax profit23 556.0021 699.0012 574.0014 560.0018 629.00
Income taxes-5 183.00-4 779.00-2 782.00-3 186.00-3 682.00
Net earnings18 373.0016 920.009 792.0011 374.0014 947.00

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure873.002 127.002 597.004 361.007 240.00
Intangible rights859.002 000.002 988.003 821.002 925.00
Goodwill14 115.0013 123.0012 464.0011 473.0010 483.00
Intangible assets total15 847.0017 250.0018 049.0019 655.0020 648.00
Buildings11 917.009 396.008 842.008 102.007 176.00
Machinery and equipment1 978.001 704.001 496.001 190.001 103.00
Advance payments and construction in progress291.00111.00423.00612.00
Tangible assets total13 895.0011 391.0010 449.009 715.008 891.00
Holdings in group member companies186.00186.00
Investments total186.00186.00
Long term receivables total
Semifinished products34.00221.00
Raw materials and consumables10 717.0025 014.0027 201.0022 703.0018 481.00
Finished products/goods8 906.009 974.0013 281.008 913.006 752.00
Advance payments242.00696.00
Inventories total19 657.0035 209.0040 482.0031 858.0025 929.00
Current trade debtors24 005.0039 832.0025 510.0017 221.0019 141.00
Current amounts owed by group member comp.3 524.005.00
Prepayments and accrued income892.001 688.00838.00938.00887.00
Current other receivables140.00124.0058.00
Current deferred tax assets140.00
Short term receivables total25 037.0041 644.0026 406.0021 683.0020 173.00
Cash and bank deposits2 857.002 913.0013 981.009 173.0015 048.00
Cash and cash equivalents2 857.002 913.0013 981.009 173.0015 048.00
Balance sheet total (assets)77 293.00108 407.00109 367.0092 270.0090 875.00

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital400.00400.00400.00400.00400.00
Shares repurchased18 300.003 000.0019 500.0025 000.00
Other reserves682.001 280.001 740.003 402.005 647.00
Retained earnings2 547.0020 322.0033 782.0022 412.006 541.00
Profit of the financial year18 373.0016 920.009 792.0011 374.0014 947.00
Shareholders equity total40 302.0038 922.0048 714.0057 088.0052 535.00
Provisions1 399.001 288.001 232.002 048.003 450.00
Non-current other liabilities3 242.002 955.00
Non-current deferred tax liabilities2 999.003 049.002 928.00
Non-current liabilities total3 242.002 955.002 999.003 049.002 928.00
Current loans from credit institutions119.00
Current trade creditors16 654.0031 571.0025 585.0011 606.0019 663.00
Current owed to group member17 826.0019 609.007 233.006 529.00
Short-term deferred tax liabilities5 629.005 693.001 243.003 601.00
Other non-interest bearing current liabilities10 067.0010 152.009 985.007 645.005 651.00
Current liabilities total32 350.0065 242.0056 422.0030 085.0031 962.00
Balance sheet total (liabilities)77 293.00108 407.00109 367.0092 270.0090 875.00
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