SKJERN PRODUKTFORRETNING ApS — Credit Rating and Financial Key Figures

CVR number: 75212119
Ringkøbingvej 17, 6900 Skjern
tel: 97353009
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit16 675.3118 055.883 895.306 899.974 979.60
Employee benefit expenses-1 262.48-2 456.86-2 583.62-2 775.49-3 104.82
Total depreciation- 954.44-1 172.46- 813.60- 768.43- 753.70
EBIT14 458.3914 426.56498.083 356.051 121.08
Other financial income80.36177.98
Other financial expenses-7.08-9.98-8.93-57.24-46.93
Pre-tax profit14 531.6614 594.56489.153 298.821 074.15
Income taxes-3 198.42-3 213.51- 109.27- 730.05- 240.33
Net earnings11 333.2411 381.05379.882 568.76833.82

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters473.17445.33417.50389.66361.83
Machinery and equipment2 884.512 398.142 335.431 612.12902.51
Tangible assets total3 357.672 843.472 752.932 001.781 264.34
Investments total
Long term receivables total
Raw materials and consumables4 604.203 874.007 914.507 528.5012 705.00
Inventories total4 604.203 874.007 914.507 528.5012 705.00
Current trade debtors1 643.78933.28330.5768.46
Current amounts owed by group member comp.8 868.557 694.10
Prepayments and accrued income57.3360.7253.7755.16
Current other receivables591.37591.3761.62141.5945.75
Current deferred tax assets17.1416.3850.56129.28
Short term receivables total11 161.039 296.62462.34247.31243.49
Cash and bank deposits1 125.08534.6483.481 072.60308.15
Cash and cash equivalents1 125.08534.6483.481 072.60308.15
Balance sheet total (assets)20 247.9816 548.7311 213.2410 850.1914 520.98

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital213.58213.58213.58213.58213.58
Shares repurchased15 496.158 000.006 329.69
Retained earnings-10 546.83-7 213.584 167.46-1 782.35786.42
Profit of the financial year11 333.2411 381.05379.882 568.76833.82
Shareholders equity total16 496.1512 381.054 760.927 329.691 833.82
Provisions47.40
Non-current liabilities total
Current trade creditors231.90258.25121.5436.9518.75
Current owed to group member5 911.882 390.3812 016.80
Short-term deferred tax liabilities3 095.293 278.05108.51764.23319.05
Other non-interest bearing current liabilities377.24631.38310.39328.94332.55
Current liabilities total3 704.424 167.696 452.323 520.5012 687.16
Balance sheet total (liabilities)20 247.9816 548.7311 213.2410 850.1914 520.98
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