HiFlux Filtration A/S — Credit Rating and Financial Key Figures

CVR number: 13457476
Lundagervej 25 A, 8722 Hedensted
info@hiflux.dk
tel: 76741666
www.hiflux.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Other operating income171.17
Gross profit21 801.9125 912.5928 287.1728 421.7026 990.71
Costs of management-5 538.27-6 553.04-6 942.57-7 066.88-7 678.17
Costs of distribution-7 820.29-9 032.96-10 543.05-11 283.45-11 703.02
Other operating expenses- 639.00
EBIT8 443.3610 326.5910 801.5410 071.377 609.52
Other financial income0.5143.6388.5536.24
Other financial expenses- 334.74- 153.50-22.65-51.60-42.57
Pre-tax profit7 641.3010 173.0910 822.5210 108.327 603.19
Income taxes-1 687.66-2 260.55-2 460.50-2 240.97-1 682.98
Net earnings5 953.637 912.548 362.027 867.355 920.20

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure2 234.59
Intangible assets total2 234.59
Buildings458.77488.22678.551 518.741 248.20
Machinery and equipment698.241 082.021 190.67930.28402.72
Advance payments and construction in progress690.00
Tangible assets total1 157.011 570.242 559.222 449.021 650.91
Investments total259.37264.56269.85272.55276.23
Non-current other receivables536.00569.00
Long term receivables total536.00569.00
Finished products/goods13 542.4315 708.5415 701.9815 634.1117 885.34
Advance payments378.39145.1583.34
Inventories total13 542.4316 086.9315 847.1315 717.4517 885.34
Current trade debtors9 595.3712 209.1612 455.3612 174.5312 417.85
Prepayments and accrued income333.74371.79547.41467.15406.52
Current other receivables73.393 579.16201.7289.52235.28
Current deferred tax assets65.9020.62947.11
Short term receivables total10 068.4016 160.1113 204.4912 751.8214 006.76
Cash and bank deposits6 709.651 675.075 323.988 183.644 488.14
Cash and cash equivalents6 709.651 675.075 323.988 183.644 488.14
Balance sheet total (assets)31 736.8635 756.9137 204.6739 910.4841 110.98

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital4 000.004 000.004 000.004 000.004 000.00
Shares repurchased5 000.006 000.006 000.006 000.0010 000.00
Other reserves1 742.98
Retained earnings10 134.9610 088.6012 001.1414 363.1610 487.53
Profit of the financial year5 953.637 912.548 362.027 867.355 920.20
Shareholders equity total25 088.6028 001.1430 363.1632 230.5132 150.71
Provisions4.190.28437.80
Non-current liabilities total
Current loans from credit institutions2.51
Advances received237.80
Current trade creditors3 300.294 904.383 221.864 631.385 381.63
Current owed to group member269.86
Short-term deferred tax liabilities298.58146.14893.62341.6458.61
Other non-interest bearing current liabilities3 049.392 460.762 725.762 706.952 812.37
Current liabilities total6 648.277 751.586 841.237 679.978 522.47
Balance sheet total (liabilities)31 736.8635 756.9137 204.6739 910.4841 110.98
CreditReports API
  • Company information
  • Financial data
  • Credit risk data
  • All 400,000+ Danish companies

Try the full version of our system for free
Bankruptcy risk visualization example

... and more!

No registration needed.