BUUR TRADS A/S — Credit Rating and Financial Key Figures

CVR number: 30554108
Teglværkssvinget 2, Stinesminde 9500 Hobro
tel: 98521543
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit4 842.225 487.597 220.694 661.226 345.11
Employee benefit expenses-1 544.34-1 612.11-2 484.79-1 683.49-1 810.21
Other operating expenses-20.63-67.10-50.05-75.36-28.54
Total depreciation-1 103.48-1 125.54-1 157.52-1 171.39-1 228.05
Reduction in value of non-current assets1.85- 184.30- 241.156.35- 121.85
EBIT2 173.762 682.853 528.331 730.983 278.31
Other financial income307.681 035.411 933.83616.13236.99
Other financial expenses- 472.42- 378.14-1 466.19-1 191.31-1 237.29
Net income from associates (fin.)8.699.1218.9739.11
Pre-tax profit2 009.023 348.824 005.081 174.772 317.13
Income taxes- 519.23- 638.07- 643.62- 392.68- 434.12
Net earnings1 489.792 710.753 361.46782.101 883.01

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights10.421.41
Intangible assets total10.421.41
Land and waters32 781.7632 781.7632 781.7632 781.7634 409.58
Buildings12 234.2811 356.3210 860.6610 655.029 578.53
Machinery and equipment156.84123.8890.9257.9625.00
Other tangible assets2 024.602 119.002 349.702 406.702 456.00
Tangible assets total47 197.4846 380.9646 083.0445 901.4446 469.11
Participating interests655.44717.41777.70834.13886.31
Investments total655.44717.41777.70834.13886.31
Non-current loans receivable2 131.503 392.113 611.04221.75233.41
Long term receivables total2 131.503 392.113 611.04221.75233.41
Semifinished products87.9564.4059.9551.6061.80
Raw materials and consumables91.40129.7751.00181.1996.63
Other stocks66.6043.20
Finished products/goods1 022.551 108.421 514.401 448.611 698.60
Inventories total1 201.901 302.591 625.351 747.991 900.23
Current trade debtors0.003.0012.5017.397.24
Current amounts owed by group member comp.146.638 076.79
Current owed by particip. interest comp.714.93711.47765.66735.72830.27
Prepayments and accrued income11.7412.78146.88152.96172.24
Current other receivables946.891 234.20359.1567.9658.64
Current deferred tax assets181.95
Short term receivables total1 673.551 961.451 612.76974.039 145.18
Other current investments3 448.565 661.115 800.70
Cash and bank deposits1 093.966.791 002.58207.04487.73
Cash and cash equivalents4 542.525 667.896 803.28207.04487.73
Balance sheet total (assets)57 412.8059 423.8160 513.1749 886.3859 121.96

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Share premium account11 391.2411 391.24
Asset revaluation reserve960.52960.52773.432 220.843 848.66
Shares repurchased40.0039.4011 078.0247.0060.00
Retained earnings7 547.418 997.8112 208.8714 075.9214 798.02
Profit of the financial year1 489.792 710.753 361.46782.101 883.01
Shareholders equity total21 928.9724 599.7227 921.7817 625.8621 089.69
Provisions1 640.001 640.001 667.001 708.001 714.72
Non-current loans from credit institutions31 788.8830 920.7229 017.8528 398.6833 696.47
Non-current liabilities total31 788.8830 920.7229 017.8528 398.6833 696.47
Current loans from credit institutions572.131 120.31715.06667.57390.40
Current trade creditors243.34171.95356.52547.25585.48
Current owed to participating362.71
Current owed to group member12.83
Short-term deferred tax liabilities282.62426.95
Other non-interest bearing current liabilities1 239.49971.11834.96280.861 218.24
Current liabilities total2 054.952 263.381 906.542 153.842 621.08
Balance sheet total (liabilities)57 412.8059 423.8160 513.1749 886.3859 121.96
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