SANDERFIELD ApS — Credit Rating and Financial Key Figures

CVR number: 31183472
Kolonnevej 16, Dybbøl 6400 Sønderborg
jan@sanderfield.dk
tel: 74403020
www.sanderfield.dk

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit1 516.641 298.20848.002 970.001 785.76
Employee benefit expenses-1 473.33- 715.76- 858.00-1 504.00- 977.29
Total depreciation- 335.17- 307.24- 194.00- 227.00- 463.36
EBIT- 291.85275.20- 204.001 239.00345.11
Other financial income1 624.2118.9828.0034.0059.79
Other financial expenses-40.90-66.52-96.00- 126.00-17.49
Net income from associates (fin.)- 146.75- 141.72-88.00305.005 114.72
Pre-tax profit1 144.7185.95- 360.001 452.005 502.13
Income taxes- 158.42-25.5970.00- 321.00-1 202.78
Net earnings986.2960.36- 290.001 131.004 299.35

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights118.64
Intangible assets total118.64
Land and waters1 968.021 905.572 211.002 199.002 552.84
Machinery and equipment895.74769.60644.003 096.002 721.21
Tangible assets total2 863.762 675.172 855.005 295.005 274.05
Holdings in group member companies483.38483.38483.00483.00483.38
Investments total483.38483.38483.00483.00483.38
Long term receivables total
Finished products/goods31.00
Inventories total31.00
Current trade debtors24.54157.001 205.00179.37
Current amounts owed by group member comp.527.53938.14818.00918.001 132.13
Prepayments and accrued income32.2259.3535.0037.0071.10
Current other receivables69.969.7686.0040.00143.23
Current deferred tax assets167.00480.00
Short term receivables total629.701 031.781 263.002 680.001 525.83
Cash and bank deposits373.37240.41172.00809.00397.57
Cash and cash equivalents373.37240.41172.00809.00397.57
Balance sheet total (assets)4 468.864 430.734 804.009 267.007 680.82

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital125.00125.00125.00125.00125.00
Shares repurchased1 000.00800.002 500.00
Retained earnings- 101.58884.72945.00- 144.00-1 513.14
Profit of the financial year986.2960.36- 290.001 131.004 299.35
Shareholders equity total2 009.721 070.08780.001 912.005 411.21
Provisions501.14480.72552.00247.00705.15
Non-current other liabilities45.1978.51
Non-current liabilities total45.1978.51
Current trade creditors332.59178.62255.00103.00130.00
Current owed to participating127.7149.0059.009.71
Current owed to group member947.802 255.802 738.005 919.001 041.97
Short-term deferred tax liabilities214.19187.73114.00634.00166.78
Other non-interest bearing current liabilities224.65111.41282.00393.00216.00
Accruals and deferred income65.8967.8634.00
Current liabilities total1 912.812 801.433 472.007 108.001 564.46
Balance sheet total (liabilities)4 468.864 430.734 804.009 267.007 680.82
Try the full version of our system for free
Bankruptcy risk visualization example

... and more!

No registration needed.