ANTEX PLAST A/S — Credit Rating and Financial Key Figures

CVR number: 21836044
Vestergade 28-30, 8860 Ulstrup
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit6 084.225 413.175 500.595 905.726 076.82
Employee benefit expenses-4 199.02-3 940.37-3 662.94-3 815.07-3 581.95
Other operating expenses- 204.34
Total depreciation- 262.00- 302.79- 353.21-1 169.28- 475.80
EBIT1 623.201 170.011 484.44717.042 019.07
Other financial income143.59176.975.3220.23
Other financial expenses-23.41-18.13-10.29-0.74-1.05
Pre-tax profit1 743.381 328.841 474.15721.622 038.24
Income taxes- 404.31- 275.51- 317.95- 158.79- 448.80
Net earnings1 339.071 053.331 156.20562.831 589.44

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters2 196.972 156.252 305.742 605.412 678.42
Buildings484.62389.00487.86542.24744.98
Tangible assets total2 681.592 545.252 793.603 147.643 423.40
Investments total21.0021.0021.0021.0021.00
Long term receivables total
Raw materials and consumables1 999.451 787.451 696.782 176.862 289.99
Finished products/goods3 047.452 724.332 178.761 562.901 776.21
Inventories total5 046.904 511.793 875.533 739.774 066.20
Current trade debtors986.60831.991 791.301 306.481 475.33
Current amounts owed by group member comp.1 141.085 323.275 904.723 096.832 900.23
Prepayments and accrued income4.0011.03
Current other receivables52.31
Short term receivables total2 127.686 155.267 696.024 459.624 386.58
Other current investments2 205.26
Cash and bank deposits3 681.681 599.591 864.62463.141 679.47
Cash and cash equivalents5 886.931 599.591 864.62463.141 679.47
Balance sheet total (assets)15 764.1014 832.8916 250.7711 831.1713 576.65

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital5 000.005 000.005 000.005 000.005 000.00
Shares repurchased5 300.00
Retained earnings6 077.157 416.223 169.544 325.744 888.57
Profit of the financial year1 339.071 053.331 156.20562.831 589.44
Shareholders equity total12 416.2213 469.5514 625.749 888.5711 478.02
Provisions345.78332.96320.06311.95297.33
Non-current liabilities total
Current trade creditors116.92295.67310.48522.14602.35
Current owed to group member1 351.54
Short-term deferred tax liabilities407.22288.34330.85166.89463.42
Other non-interest bearing current liabilities1 126.43446.38663.64941.60735.53
Current liabilities total3 002.111 030.391 304.971 630.641 801.30
Balance sheet total (liabilities)15 764.1014 832.8916 250.7711 831.1713 576.65
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