GARTEHA ApS — Credit Rating and Financial Key Figures

CVR number: 35252673
Holmevej 2, Ørsted 4622 Havdrup
garteha@garteha.dk
tel: 22103502
www.garteha.dk

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit3 473.953 596.484 623.884 778.235 986.47
Employee benefit expenses-2 124.57-2 569.39-3 025.51-3 569.99-3 922.80
Other operating expenses- 358.98- 347.57- 559.55- 278.38- 684.34
Total depreciation- 543.89- 539.75- 462.78- 426.85- 424.61
EBIT446.50139.77576.04503.02954.72
Other financial income1.290.00
Other financial expenses-80.77-81.47-63.11-78.40- 124.66
Pre-tax profit365.7358.31512.93425.91830.06
Income taxes-85.06-19.18-92.80-96.58- 205.99
Net earnings280.6739.13420.13329.33624.08

Assets (kDKK)

2020
2021
2022
2023
2024
Goodwill182.2791.13
Intangible assets total182.2791.13
Land and waters77.6067.0256.4445.8635.27
Buildings4 769.415 217.465 217.465 422.765 797.75
Machinery and equipment1 209.51771.481 335.071 137.731 181.59
Tangible assets total6 056.526 055.966 608.966 606.347 014.61
Investments total
Long term receivables total
Inventories total
Current trade debtors250.841 326.271 443.85514.28157.20
Prepayments and accrued income312.60226.68215.75530.86370.25
Current other receivables84.37
Short term receivables total647.811 552.941 659.601 045.14527.46
Cash and bank deposits1 313.75168.39353.64793.481 216.80
Cash and cash equivalents1 313.75168.39353.64793.481 216.80
Balance sheet total (assets)8 200.357 868.438 622.208 444.968 758.87

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Shares repurchased113.00
Retained earnings2 972.233 252.903 292.023 712.154 041.48
Profit of the financial year280.6739.13420.13329.33624.08
Shareholders equity total3 865.903 792.024 212.154 541.485 165.55
Provisions103.6135.6649.27130.5788.53
Non-current loans from credit institutions2 101.752 016.331 932.081 847.981 763.86
Non-current liabilities total2 101.752 016.331 932.081 847.981 763.86
Current loans from credit institutions81.0084.4184.3184.1684.12
Current trade creditors872.44478.451 149.97801.05606.50
Current owed to participating1.551.6117.2968.33
Current owed to group member757.11783.64674.40518.16362.63
Short-term deferred tax liabilities99.8287.1379.1915.28248.03
Other non-interest bearing current liabilities318.73589.24439.23488.99371.33
Current liabilities total2 129.092 024.412 428.711 924.931 740.93
Balance sheet total (liabilities)8 200.357 868.438 622.208 444.968 758.87
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