Beritech Kalundborg A/S — Credit Rating and Financial Key Figures

CVR number: 36077220
Østre Havnevej 18, 4400 Kalundborg
info@beritech.dk
tel: 98777979
www.beritech.dk

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit13 760.8014 421.0820 201.1431 296.2838 628.10
Employee benefit expenses-10 542.69-12 255.15-13 775.68-19 991.86-28 284.79
Other operating expenses-84.38-47.00- 168.80
Total depreciation- 407.35- 392.79- 350.91- 330.41- 661.37
EBIT2 810.761 688.766 074.5510 927.019 513.13
Other financial income8.16177.5782.2872.41
Other financial expenses- 178.26- 165.65- 285.43- 393.15-2 729.00
Reduction non-current investment assets-59.59
Pre-tax profit2 640.661 641.095 871.4010 606.276 784.13
Income taxes- 585.31- 374.97-1 301.08-2 340.30-1 533.00
Net earnings2 055.351 266.124 570.328 265.975 251.13

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters3 170.373 239.133 156.85
Buildings1 542.211 788.82
Machinery and equipment1 058.23906.19728.54225.48277.53
Tangible assets total4 228.594 145.323 885.391 767.692 066.35
Investments total11.70262.20840.60
Long term receivables total
Raw materials and consumables95.0095.0095.0095.00
Inventories total95.0095.0095.0095.00
Current trade debtors12 868.313 380.5116 125.3326 591.2524 274.13
Current amounts owed by group member comp.3 207.551 548.01
Prepayments and accrued income159.24184.29246.1842.2823.12
Current other receivables762.27716.277 824.831 158.6215 820.01
Current deferred tax assets215.0361.2524.15684.81186.00
Short term receivables total14 004.844 342.3224 220.4931 684.5241 851.26
Other current investments153.02188.56
Cash and bank deposits2 248.711 493.602 285.996.88
Cash and cash equivalents2 401.731 493.602 474.546.88
Balance sheet total (assets)20 730.1710 076.2430 687.1333 816.2944 758.21

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital50.0050.0050.0050.00400.00
Shares repurchased2 000.001 300.0012 791.76
Other reserves- 900.00-12 791.76
Retained earnings2 148.232 903.584 169.71-4 051.733 864.24
Profit of the financial year2 055.351 266.124 570.328 265.975 251.13
Shareholders equity total6 253.584 619.708 790.034 264.249 515.36
Provisions44.0540.27932.38
Non-current loans from credit institutions2 483.382 419.732 419.73
Non-current liabilities total2 483.382 419.732 419.73
Current loans from credit institutions62.5963.65347.1424 417.92
Advances received1 147.29
Current trade creditors7 111.42755.2516 984.118 413.326 652.49
Current owed to group member16 714.73270.42
Short-term deferred tax liabilities19.841 241.402 907.95
Other non-interest bearing current liabilities4 755.302 177.631 251.851 168.901 822.35
Current liabilities total11 949.152 996.5419 477.3729 552.0534 310.47
Balance sheet total (liabilities)20 730.1710 076.2430 687.1333 816.2944 758.21
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