BO PLAN ApS — Credit Rating and Financial Key Figures

CVR number: 18729601
Hafdrupvej 4 A, Andst 6600 Vejen
tel: 75588071

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit9 509.936 485.979 257.926 954.167 722.30
Employee benefit expenses-5 441.39-5 281.60-5 138.18-4 883.22-4 959.52
Total depreciation-83.16- 143.38- 137.12- 159.48- 257.83
EBIT3 985.381 060.993 982.611 911.452 504.95
Other financial income13.48135.92118.86216.23
Other financial expenses-59.12-78.46- 198.39- 220.00- 219.27
Pre-tax profit3 939.731 118.443 784.221 810.322 501.91
Income taxes- 808.10- 322.21- 833.64- 388.34- 628.66
Net earnings3 131.63796.232 950.581 421.981 873.25

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Machinery and equipment458.75329.77350.43481.571 000.63
Tangible assets total458.75329.77350.43481.571 000.63
Investments total
Non-current loans receivable205.00205.00121.00
Long term receivables total205.00205.00121.00
Raw materials and consumables159.55201.87398.58370.13271.06
Finished products/goods1 007.85
Inventories total159.55201.87398.58370.131 278.91
Current trade debtors4 787.822 493.651 739.542 450.571 922.86
Current amounts owed by group member comp.383.404.426.2612.23
Prepayments and accrued income301.16203.33120.62162.97188.30
Current other receivables2 227.664 295.6448 484.225 029.973 282.71
Current deferred tax assets124.07
Short term receivables total7 700.036 992.6250 472.887 649.775 406.10
Other current investments1 345.261 360.111 267.471 316.391 384.71
Cash and bank deposits5 622.501 914.162 160.982 658.567 174.08
Cash and cash equivalents6 967.763 274.273 428.453 974.968 558.78
Balance sheet total (assets)15 491.1011 003.5354 771.3512 476.4316 244.42

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital2 200.002 200.002 200.002 200.002 200.00
Shares repurchased3 001.68796.232 950.581 421.981 873.25
Retained earnings-3 131.63- 796.23-2 950.58-1 421.98-1 873.25
Profit of the financial year3 131.63796.232 950.581 421.981 873.25
Shareholders equity total5 201.682 996.235 150.583 621.984 073.25
Provisions904.84754.631 873.341 188.611 471.92
Non-current other liabilities490.29304.64
Non-current liabilities total490.29304.64
Current trade creditors4 400.344 979.643 577.192 061.012 621.89
Current owed to group member767.511 301.713 665.657 400.27
Short-term deferred tax liabilities440.64295.41903.46147.36
Other non-interest bearing current liabilities1 979.66346.581 008.03837.93492.73
Accruals and deferred income2 073.65558.8841 860.49197.7837.00
Current liabilities total8 894.296 948.0247 747.437 665.8410 699.25
Balance sheet total (liabilities)15 491.1011 003.5354 771.3512 476.4316 244.42
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