Signode Denmark ApS — Credit Rating and Financial Key Figures

CVR number: 12070942
Fynsgade 6-10, 6400 Sønderborg
bs@lachenmeier.com
tel: 73422210
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales334 313.00
Gross profit121 546.00106 737.00107 536.00116 126.00133 304.00
Employee benefit expenses-82 006.00-71 794.00-75 711.00-71 867.00-77 852.00
Total depreciation-3 520.00-3 319.00-3 343.00-3 341.00-3 454.00
EBIT36 020.0031 624.0028 482.0040 918.0051 998.00
Other financial income4 274.0091.0010.00507.001 030.00
Other financial expenses-22 742.00-23 313.00-22 410.00-22 406.00-22 319.00
Net income from associates (fin.)-37 415.00
Pre-tax profit17 552.00-29 013.006 082.0019 019.0030 709.00
Income taxes-3 998.00-2 458.00-1 515.00-4 230.00-6 814.00
Net earnings13 554.00-31 471.004 567.0014 789.0023 895.00

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters5 925.005 531.005 505.005 276.004 838.00
Buildings12 652.0011 871.009 727.007 253.004 421.00
Machinery and equipment235.00187.00143.00383.002 421.00
Advance payments and construction in progress797.00
Tangible assets total18 812.0017 589.0015 375.0013 709.0011 680.00
Holdings in group member companies79 600.00564 206.00564 206.00564 206.00564 206.00
Investments total80 921.00565 535.00565 545.00565 413.00565 422.00
Long term receivables total
Semifinished products4 761.004 198.006 208.0012 330.007 602.00
Raw materials and consumables6 044.007 138.0011 486.0011 647.008 399.00
Finished products/goods6 271.009 166.009 214.009 262.006 518.00
Inventories total17 076.0020 502.0026 908.0033 239.0022 519.00
Current trade debtors43 048.0056 173.0051 832.0053 835.0062 485.00
Current amounts owed by group member comp.131 192.0011 965.005 295.0019 998.0032 712.00
Current other receivables2 104.001 469.001 177.001 987.004 752.00
Current deferred tax assets625.00
Short term receivables total176 344.0070 232.0058 304.0075 820.0099 949.00
Cash and bank deposits124 874.006 168.0082 746.0022 834.0024 876.00
Cash and cash equivalents124 874.006 168.0082 746.0022 834.0024 876.00
Balance sheet total (assets)418 027.00680 026.00748 878.00711 015.00724 446.00

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital1 020.001 021.001 021.001 021.001 021.00
Retained earnings63 936.00374 937.00343 466.00348 033.00362 822.00
Profit of the financial year13 554.00-31 471.004 567.0014 789.0023 895.00
Shareholders equity total78 510.00344 487.00349 054.00363 843.00387 738.00
Provisions2 447.002 160.001 300.00879.00754.00
Non-current other liabilities4 512.00
Non-current liabilities total4 512.00
Current loans from credit institutions12 995.00
Advances received6 205.0013 377.0023 017.0016 778.0020 805.00
Current trade creditors25 046.0028 351.0029 345.0025 935.0023 785.00
Current owed to participating275 563.00276 019.00332 545.00275 191.00276 554.00
Short-term deferred tax liabilities1 707.00241.003 200.003 469.00
Other non-interest bearing current liabilities24 037.0015 632.0013 376.0012 194.0011 341.00
Current liabilities total332 558.00333 379.00398 524.00346 293.00335 954.00
Balance sheet total (liabilities)418 027.00680 026.00748 878.00711 015.00724 446.00
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