MERCO PRINT A/S — Credit Rating and Financial Key Figures

CVR number: 24211738
Marinebuen 7, Øverup 4700 Næstved
oh@mercoprint.dk
tel: 45826188
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit11 047.628 011.208 815.367 409.166 636.56
Employee benefit expenses-10 692.23-7 603.44-7 744.99-7 058.07-5 602.02
Other operating expenses-59.98
Total depreciation- 816.78- 764.70- 410.27- 272.07- 176.56
EBIT- 461.38- 356.94600.1179.02857.98
Other financial income0.680.0311.50
Other financial expenses- 138.09- 121.29- 342.31- 498.64- 725.91
Income from other inv. held as non-curr. assets3.06
Net income from associates (fin.)-98.74- 305.38-35.8018.3034.15
Pre-tax profit- 695.15- 783.60222.68- 401.29177.72
Income taxes109.7598.97-74.1774.89-70.71
Net earnings- 585.40- 684.63148.51- 326.40107.01

Assets (kDKK)

2020
2021
2022
2023
2024
Goodwill1 150.39433.0190.02
Intangible assets total1 150.39433.0190.02
Machinery and equipment73.43116.12453.58448.54271.98
Tangible assets total73.43116.12453.58448.54271.98
Holdings in group member companies87.1989.93120.46
Participating interests151.46153.93169.48173.10
Investments total436.85340.63360.21337.82
Non-current loans receivable152.62
Non-current other receivables277.64
Long term receivables total430.26
Finished products/goods2 591.143 798.286 433.187 435.316 074.90
Advance payments794.90
Inventories total3 386.043 798.286 433.187 435.316 074.90
Current trade debtors6 555.935 334.205 964.805 161.634 236.77
Current amounts owed by group member comp.89.47130.4134.41858.89
Prepayments and accrued income113.4156.8163.43103.69
Current other receivables1 742.42859.42594.74654.27373.35
Current deferred tax assets114.62213.60119.87194.7634.97
Short term receivables total8 412.976 610.096 866.636 108.495 607.66
Cash and bank deposits2.126.864.1523.0125.29
Cash and cash equivalents2.126.864.1523.0125.29
Balance sheet total (assets)13 455.2211 401.2114 188.1914 375.5712 317.65

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital1 900.001 900.001 900.001 900.001 900.00
Retained earnings771.25185.84- 498.79- 350.28- 676.68
Profit of the financial year- 585.40- 684.63148.51- 326.40107.01
Shareholders equity total2 085.841 401.211 549.721 223.321 330.33
Non-current other liabilities640.531 257.55
Non-current deferred tax liabilities897.57831.11771.72
Non-current liabilities total640.531 257.55897.57831.11771.72
Current loans from credit institutions1 743.314 095.554 549.485 439.085 016.19
Advances received435.89338.00
Current trade creditors5 764.482 712.686 043.664 937.753 385.31
Current owed to group member8.568.56
Other non-interest bearing current liabilities2 785.161 596.221 147.761 935.761 805.54
Current liabilities total10 728.848 742.4411 740.9012 321.1410 215.60
Balance sheet total (liabilities)13 455.2211 401.2114 188.1914 375.5712 317.65
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