SIMATEK BULK SYSTEMS A/S — Credit Rating and Financial Key Figures

CVR number: 18978148
Charlottevej 8, 4270 Høng
bulk@simatek-bulk.dk
tel: 58852443
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit11 817.5312 330.1318 452.4419 615.9022 107.89
Costs of management-6 619.00-7 261.34-7 418.37-8 020.59-8 537.69
Costs of distribution- 311.80-1 041.86-1 181.31-1 285.11-1 610.80
Other operating expenses-25.00
EBIT4 861.734 026.939 852.7510 310.2011 959.40
Other financial income7.498.3326.2953.1677.29
Other financial expenses- 392.81- 416.04- 339.10- 342.36- 427.13
Pre-tax profit4 476.413 619.229 539.9410 020.9911 609.56
Income taxes-1 019.10- 833.11-2 131.49-2 271.98-2 640.33
Net earnings3 457.312 786.117 408.457 749.028 969.23

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure1 344.461 304.461 564.461 791.572 018.67
Intangible assets total1 344.461 304.461 564.461 791.572 018.67
Land and waters5 488.765 060.354 637.224 214.083 795.38
Buildings459.63299.16194.59110.8296.55
Machinery and equipment2 141.891 688.962 271.213 000.543 146.94
Advance payments and construction in progress18.50194.46286.15670.70
Tangible assets total8 108.787 048.477 297.487 611.587 709.57
Holdings in group member companies183.33183.33
Investments total183.33183.33
Long term receivables total
Raw materials and consumables9 997.9513 927.5112 379.6614 213.0314 022.02
Advance payments906.62310.41
Inventories total9 997.9513 927.5113 286.2814 523.4314 022.02
Current trade debtors9 142.8510 527.7311 096.8612 471.838 506.04
Current amounts owed by group member comp.261.35294.93609.46640.66676.25
Prepayments and accrued income504.98410.76303.38198.81414.79
Current other receivables480.14622.173 309.482 531.591 034.10
Short term receivables total10 389.3211 855.6015 319.1815 842.8910 631.18
Cash and bank deposits3 909.14777.106 707.145 610.9910 917.16
Cash and cash equivalents3 909.14777.106 707.145 610.9910 917.16
Balance sheet total (assets)33 749.6534 913.1344 174.5345 563.7945 481.93

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital1 000.001 000.001 000.001 000.001 000.00
Shares repurchased2 000.002 000.006 000.006 000.006 000.00
Other reserves971.46978.461 220.461 397.501 574.60
Retained earnings12 486.9813 997.5410 541.6511 773.0613 344.98
Profit of the financial year3 457.312 786.117 408.457 749.028 969.23
Shareholders equity total19 915.7520 762.1126 170.5627 919.5830 888.81
Provisions705.00666.001 166.001 594.00841.00
Non-current loans from credit institutions2 300.271 996.291 815.621 612.121 383.87
Non-current leasing loans150.0068.32145.89416.56523.24
Non-current liabilities total2 450.272 064.601 961.512 028.681 907.11
Current loans from credit institutions489.64394.31488.54676.06602.86
Advances received750.971 052.222 908.822 202.391 626.03
Current trade creditors4 115.255 610.666 156.125 310.812 345.88
Current owed to group member1 242.861 233.281 258.991 286.601 353.28
Short-term deferred tax liabilities805.66638.111 631.491 625.983 139.33
Other non-interest bearing current liabilities3 274.252 491.832 432.512 556.352 777.64
Accruals and deferred income363.34
Current liabilities total10 678.6311 420.4214 876.4714 021.5311 845.01
Balance sheet total (liabilities)33 749.6534 913.1344 174.5345 563.7945 481.93
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