Alaska A/S — Credit Rating and Financial Key Figures

CVR number: 25590627
Løkkebyvej 12, Tullebølle 5953 Tranekær
ms@alaska.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit17 930.0513 871.6116 651.3620 540.3318 654.07
Employee benefit expenses-10 179.92-10 148.30-10 220.30-11 916.25-11 943.17
Other operating expenses-57.94-1.19-0.46-26.60
Total depreciation-1 056.18-1 977.63-1 278.85-1 329.69-1 257.88
Reduction in value of non-current assets300.26
EBIT6 636.001 744.485 452.007 294.395 426.42
Other financial income14.526.7592.01194.57158.74
Other financial expenses- 864.15- 855.02-1 268.76-1 610.15-1 616.43
Net income from associates (fin.)- 110.21- 327.79776.88
Pre-tax profit5 786.38896.214 165.055 551.024 745.62
Income taxes-1 305.50- 264.96- 949.85-1 330.48- 922.40
Net earnings4 480.87631.253 215.194 220.543 823.22

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights4.38
Intangible assets total4.38
Land and waters4 371.109 322.598 986.408 861.3412 446.23
Buildings3 046.641 592.46555.28502.851 090.30
Machinery and equipment701.29549.431 629.421 636.301 767.99
Tangible assets total8 119.0211 464.4811 171.0911 000.4915 304.52
Holdings in group member companies190.05639.14
Investments total2.00202.00392.05202.00841.14
Non-current other receivables290.92371.62241.90113.09
Long term receivables total290.92371.62241.90113.09
Raw materials and consumables6 419.416 372.196 778.146 997.827 714.91
Finished products/goods7 749.628 207.007 597.168 634.847 278.63
Advance payments991.894 228.741 782.97465.46
Inventories total14 169.0315 571.0718 604.0417 415.6315 459.01
Current trade debtors4 713.725 923.644 471.446 170.054 938.72
Current amounts owed by group member comp.1 061.581 865.63
Prepayments and accrued income378.511 049.02998.651 301.241 258.78
Current other receivables282.42243.20275.60218.32140.65
Short term receivables total5 374.657 215.876 807.279 555.246 338.15
Other current investments47.5249.5770.4288.44
Cash and bank deposits58.29366.65306.28230.3386.84
Cash and cash equivalents105.81416.22376.70318.7786.84
Balance sheet total (assets)27 774.8935 160.5637 722.7738 734.0338 142.76

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital1 500.001 500.001 500.001 500.001 500.00
Asset revaluation reserve348.38318.30288.23258.15228.07
Shares repurchased4 400.00600.003 000.004 000.003 400.00
Other reserves190.05639.14
Other restricted equity- 100.10131.16187.0677.06163.35
Retained earnings4 018.457 937.895 417.654 861.455 087.91
Profit of the financial year4 480.87631.253 215.194 220.543 823.22
Shareholders equity total14 647.6111 118.6013 798.1814 917.2014 841.70
Provisions620.56616.97620.82717.72790.64
Non-current loans from credit institutions133.904 649.234 351.104 067.587 659.82
Non-current other liabilities1 055.86
Non-current deferred tax liabilities1 197.16516.54534.62512.91531.89
Non-current liabilities total2 386.925 165.774 885.724 580.498 191.72
Current loans from credit institutions6 228.0911 525.3111 092.288 668.336 713.82
Advances received145.77281.56
Current trade creditors2 342.564 335.574 159.055 399.275 712.79
Current owed to participating0.481 529.621 228.22727.54
Current owed to group member93.48
Short-term deferred tax liabilities677.04127.29736.691 035.64648.49
Other non-interest bearing current liabilities871.64741.421 201.812 542.06868.57
Current liabilities total10 119.8118 259.2218 418.0518 518.6114 318.70
Balance sheet total (liabilities)27 774.8935 160.5637 722.7738 734.0338 142.76
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