KALUNDBORG HAVECENTER A/S — Credit Rating and Financial Key Figures

CVR number: 29977925
Stejlhøj 25, 4400 Kalundborg
info@havecentretkalundborg.dk
tel: 59562070
www.havecentretkalundborg.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit2 738.994 012.082 458.123 232.852 807.52
Employee benefit expenses- 763.78- 859.89-1 150.31-1 287.29-1 463.62
Total depreciation- 285.12- 295.72- 295.72- 304.12- 304.12
EBIT1 690.092 856.471 012.091 641.441 039.78
Other financial income1.690.68
Other financial expenses- 224.86- 140.80-29.85-57.75-22.50
Pre-tax profit1 466.932 716.36982.251 583.691 017.28
Income taxes285.14- 677.84- 272.94- 408.57- 284.33
Net earnings1 752.072 038.51709.301 175.12732.95

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters4 869.454 010.633 725.613 440.593 155.57
Machinery and equipment42.8074.1055.0035.90
Tangible assets total4 869.454 053.433 799.713 495.593 191.47
Investments total
Non-current other receivables2.232.232.232.232.23
Long term receivables total2.232.232.232.232.23
Finished products/goods1 496.38885.801 206.001 533.331 460.00
Inventories total1 496.38885.801 206.001 533.331 460.00
Current trade debtors11.9513.3042.0042.8341.64
Prepayments and accrued income5.5623.64
Current other receivables343.56437.12487.73359.6068.24
Current deferred tax assets285.14
Short term receivables total646.21450.43529.74402.44133.51
Cash and bank deposits480.033 255.56471.93310.47480.14
Cash and cash equivalents480.033 255.56471.93310.47480.14
Balance sheet total (assets)7 494.308 647.446 009.615 744.075 267.36

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Shares repurchased550.001 200.001 400.00500.00
Retained earnings- 589.01613.061 451.58760.881 436.00
Profit of the financial year1 752.072 038.51709.301 175.12732.95
Shareholders equity total1 663.063 701.583 860.883 836.003 168.95
Non-current loans from credit institutions916.63
Non-current owed to group member215.87
Non-current owed to participating2 477.792 514.03613.69457.89801.51
Non-current liabilities total3 394.432 514.03613.69457.891 017.38
Current loans from credit institutions530.00
Advances received77.6375.55231.1998.66
Current trade creditors832.11655.05735.23783.16578.24
Current owed to participating1.09
Short-term deferred tax liabilities392.7072.94344.57284.33
Other non-interest bearing current liabilities997.081 308.54495.69223.79217.37
Current liabilities total2 436.812 431.841 535.041 450.181 081.02
Balance sheet total (liabilities)7 494.308 647.446 009.615 744.075 267.36
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