Grydholt Gris ApS — Credit Rating and Financial Key Figures

CVR number: 41331577
Grydholtvej 9, Tvis 7500 Holstebro
Gris@grydholt.com
tel: 40947876
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit149.02551.64- 104.315 833.673 112.38
Employee benefit expenses- 362.54-1 184.23-1 308.67-1 815.18-1 658.51
Total depreciation-98.34- 175.55- 175.55- 164.71- 164.72
Reduction in value of non-current assets151.27209.28- 971.68- 195.60368.19
EBIT- 311.87- 808.14-1 588.543 853.771 289.15
Other financial income0.02
Other financial expenses- 154.37- 199.32- 459.82- 680.11- 537.08
Pre-tax profit- 466.23-1 007.44-2 048.363 173.66752.07
Income taxes-87.11268.31-10.80- 248.84
Net earnings- 553.35- 739.14-2 048.363 162.86503.23

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights21.6710.83
Intangible assets total21.6710.83
Land and waters6 287.026 287.026 287.026 287.026 287.02
Buildings2 868.392 952.782 788.072 623.352 458.64
Other tangible assets1 290.901 485.501 544.301 553.00
Tangible assets total9 155.4110 530.7010 560.5910 454.6710 298.66
Participating interests9.3457.11128.44365.65446.05
Investments total9.3457.11128.44365.65446.05
Non-current loans receivable103.00
Long term receivables total103.00
Raw materials and consumables94.75214.60232.86175.26
Other stocks2 163.831 499.03
Finished products/goods1 233.711 899.403 075.58
Inventories total1 233.711 994.153 290.182 396.691 674.29
Current trade debtors126.02174.3427.79259.88352.72
Current amounts owed by group member comp.181.19
Current owed by particip. interest comp.258.35
Prepayments and accrued income69.0078.0023.0010.00
Current other receivables7.08596.4511.1865.008.14
Current deferred tax assets54.06
Short term receivables total314.29839.78375.32347.88424.93
Cash and bank deposits303.06530.511 075.74466.92
Cash and cash equivalents303.06530.511 075.74466.92
Balance sheet total (assets)11 037.4813 432.5914 988.0414 640.6313 310.85

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital40.0040.0040.0040.0040.00
Retained earnings- 553.35-1 292.49-3 340.84- 177.98
Profit of the financial year- 553.35- 739.14-2 048.363 162.86503.23
Shareholders equity total- 513.35-1 252.49-3 300.84- 137.98365.25
Provisions268.3110.80313.70
Non-current loans from credit institutions6 451.426 089.225 845.005 606.945 314.75
Non-current other liabilities672.18168.86
Non-current liabilities total7 123.616 258.085 845.005 606.945 314.75
Current loans from credit institutions363.131 158.56266.74252.73292.72
Current trade creditors143.0948.68113.2756.25190.63
Current owed to participating340.43732.87368.55278.63
Current owed to group member2 869.126 304.6011 056.437 655.796 475.95
Other non-interest bearing current liabilities783.57574.72274.57827.5479.21
Current liabilities total4 158.918 426.9912 443.889 160.877 317.15
Balance sheet total (liabilities)11 037.4813 432.5914 988.0414 640.6313 310.85
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