STEA A/S — Credit Rating and Financial Key Figures

CVR number: 26761751
Løhdesvej 10, 7442 Engesvang
tel: 75754535
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit22 901.3143 604.0769 264.0742 575.4233 077.72
Employee benefit expenses-17 834.82-26 572.90-29 984.56-32 477.68-33 804.48
Total depreciation-2 346.03-2 740.51-5 449.03-4 058.98-3 807.93
EBIT2 720.4514 290.6733 830.486 038.76-4 534.68
Other financial income111.1986.21461.0821.9552.06
Other financial expenses- 223.31- 356.09-1 871.91- 986.53-2 571.23
Pre-tax profit2 608.3314 020.7832 419.665 074.17-7 053.85
Income taxes- 579.30-3 089.17-7 621.94-1 142.991 543.15
Net earnings2 029.0310 931.6224 797.713 931.18-5 510.70

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights555.89
Intangible assets total555.89
Land and waters48 005.97
Buildings491.511 251.971 182.43
Machinery and equipment7 750.4010 006.6111 723.4519 188.8916 284.48
Advance payments and construction in progress8 583.6572.75
Tangible assets total7 750.4010 006.6168 804.5820 440.8617 539.66
Investments total178.70178.701 303.701 141.201 348.67
Non-current other receivables18 200.25
Deferred tax assets1 087.00
Long term receivables total18 200.251 087.00
Finished products/goods12 138.2421 342.9519 500.6024 507.0222 496.20
Inventories total12 138.2421 342.9519 500.6024 507.0222 496.20
Current trade debtors21 200.7651 579.4243 384.4534 126.6736 130.98
Current amounts owed by group member comp.210.88232.31844.631 306.35254.32
Prepayments and accrued income53.1243.3710.6270.621 329.15
Current other receivables60.5510.9410.9410.941 307.25
Current deferred tax assets121.40
Short term receivables total21 525.3151 866.0444 250.6435 514.5939 143.11
Other current investments1.001.001.001.001.00
Cash and bank deposits473.30437.30835.05248.793 665.43
Cash and cash equivalents474.30438.30836.05249.793 666.43
Balance sheet total (assets)42 066.9583 832.60152 895.8281 853.4685 836.96

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital600.00600.00600.00600.00600.00
Shares repurchased12 000.0025 000.00
Retained earnings18 324.278 353.30-5 715.0919 274.5623 205.75
Profit of the financial year2 029.0310 931.6224 797.713 931.18-5 510.70
Shareholders equity total20 953.3031 884.9144 682.6323 805.7518 295.05
Provisions311.97363.56361.71456.05
Non-current leasing loans4 249.365 393.6048 270.2711 479.87
Non-current other liabilities657.331 582.22
Non-current liabilities total4 906.696 975.8248 270.2711 479.87
Current loans from credit institutions4 395.2911 038.3911 206.3817 968.48
Current trade creditors6 897.1612 347.1815 958.248 813.3513 149.73
Current owed to participating428.1866.31
Current owed to group member247.9014 575.3114 900.9613 222.1549 582.07
Short-term deferred tax liabilities534.753 037.587 623.791 102.79
Other non-interest bearing current liabilities3 819.893 609.859 463.674 938.724 810.12
Current liabilities total15 894.9944 608.3259 581.2246 111.7967 541.91
Balance sheet total (liabilities)42 066.9583 832.60152 895.8281 853.4685 836.96
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