GEORG JENSEN DAMASK A/S — Credit Rating and Financial Key Figures

CVR number: 68435412
Dieselvej 1, 6000 Kolding
gjd@georgjensen-damask.dk
tel: 76333669
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit57 553.0061 448.0043 984.6136 261.7656 110.99
Employee benefit expenses-24 088.00-21 828.00-24 715.19-28 124.42-25 882.16
Other operating expenses-20.16-3 125.44
Total depreciation-2 768.00-3 035.00-3 607.28-4 047.26-4 356.14
EBIT30 697.0036 585.0015 282.00964.6425 872.69
Other financial income1 816.00310.001 367.043 383.893 686.54
Other financial expenses- 672.00-1 154.00-1 607.67-1 804.14-2 127.10
Pre-tax profit31 841.0035 741.0015 401.222 544.3927 432.14
Income taxes-7 009.00-7 921.00-3 394.22- 560.47-6 035.26
Net earnings24 832.0027 820.0012 007.001 983.9121 396.88

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure2 793.007 956.90
Intangible rights3 683.002 295.00621.167 078.827 090.74
Goodwill54.00
Intangible assets total3 737.005 088.008 578.067 078.827 090.74
Land and waters20 833.0020 311.0034 795.0533 913.6334 526.51
Machinery and equipment1 958.005 191.004 892.674 009.983 812.49
Tangible assets total22 791.0025 502.0039 687.7237 923.6138 338.99
Investments total-0.33
Long term receivables total
Finished products/goods26 950.0039 857.0046 437.7224 599.9221 560.31
Advance payments1 746.68
Inventories total26 950.0039 857.0046 437.7224 599.9223 306.99
Current trade debtors4 354.004 313.002 272.322 311.222 691.79
Current amounts owed by group member comp.10 128.0033 165.0041 088.7966 417.7769 412.65
Prepayments and accrued income547.00560.00616.181 148.49954.02
Current other receivables3 044.00979.00705.45792.611 046.57
Short term receivables total18 073.0039 017.0044 682.7370 670.0974 105.04
Cash and bank deposits42 851.001 160.001 482.101 028.224 309.70
Cash and cash equivalents42 851.001 160.001 482.101 028.224 309.70
Balance sheet total (assets)114 402.00110 624.00140 868.00141 300.65147 151.47

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital1 000.001 000.001 000.001 000.001 000.00
Asset revaluation reserve3 999.003 928.0015 557.4411 597.1611 232.00
Shares repurchased24 000.0010 000.0010 000.0051 000.00
Other reserves-1 746.00- 739.52- 801.71-11 746.24
Retained earnings31 456.0044 058.0061 949.0877 916.3515 265.43
Profit of the financial year24 832.0027 820.0012 007.001 983.9121 396.88
Shareholders equity total85 287.0085 060.0099 774.0091 695.7288 148.07
Provisions2 706.003 262.007 399.297 150.627 017.57
Non-current loans from credit institutions6 964.006 490.0019 242.9118 402.7628 563.91
Non-current liabilities total6 964.006 490.0019 242.9118 402.7628 563.91
Current loans from credit institutions536.00489.003 731.4210 422.583 944.03
Advances received4 627.002 790.001 692.331 480.021 381.41
Current trade creditors1 905.002 196.003 571.234 303.744 973.04
Current owed to group member830.99
Short-term deferred tax liabilities1 098.003 154.00830.99791.586 183.96
Other non-interest bearing current liabilities11 279.007 183.004 626.086 222.646 939.48
Current liabilities total19 445.0015 812.0014 452.0524 051.5523 421.92
Balance sheet total (liabilities)114 402.00110 624.00140 868.25141 300.65147 151.47
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