FONDEN FRISTADEN CHRISTIANIA — Credit Rating and Financial Key Figures

CVR number: 34203083
Skindergade 23, 1159 København K
receptionen@foldschack.dk
tel: 33445566
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales12 316.5112 806.7413 725.7415 485.7615 346.40
Other operating income4 489.094 489.092 538.67709.209 238.46
Costs of manufacturing-10 350.28-10 737.74-11 049.90-11 937.06-12 181.13
Gross profit1 966.232 069.002 675.843 548.693 165.27
Costs of management-1 660.16-1 552.78-1 848.63-2 297.69-2 388.31
Other operating expenses-7 445.01
EBIT4 795.155 005.323 365.881 960.202 570.41
Other financial income738.981 028.841 324.161 908.061 952.50
Other financial expenses-3 444.08-3 749.78-3 821.64-3 244.97-3 128.37
Pre-tax profit2 090.052 284.38868.40623.291 394.54
Income taxes408.44121.10
Net earnings2 498.492 405.48868.40623.291 394.54

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters165 200.62174 792.81172 862.46186 207.79194 898.77
Machinery and equipment28 774.8828 503.0728 231.2527 959.4427 687.63
Advance payments and construction in progress1 863.568 660.2815 640.626 036.85
Tangible assets total195 839.07211 956.15216 734.33220 204.07222 586.39
Investments total
Non-current other receivables27 351.3243 587.1943 198.8051 904.9050 598.03
Long term receivables total27 351.3243 587.1943 198.8051 904.9050 598.03
Inventories total
Current trade debtors381.912.32
Prepayments and accrued income53.1521.752.32
Current other receivables44.76235.636.626.372 355.68
Short term receivables total479.82259.708.946.372 355.68
Other current investments2 561.971 691.161 260.321 264.321 258.89
Cash and bank deposits48 598.6629 357.5225 480.6720 255.6018 135.24
Cash and cash equivalents51 160.6331 048.6826 740.9921 519.9319 394.12
Balance sheet total (assets)274 830.84286 851.73286 683.06293 635.27294 934.22

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital59 691.2471 388.8371 582.3974 542.0975 811.39
Other restricted equity1 600.001 600.001 600.006 600.007 900.00
Retained earnings2 371.664 870.157 275.633 144.032 467.32
Profit of the financial year2 498.492 405.48868.40623.291 394.54
Shareholders equity total66 161.3980 264.4681 326.4284 909.4187 573.25
Provisions6 121.102 000.00
Non-current loans from credit institutions161 280.80157 041.66151 395.81145 645.80139 788.75
Non-current advances received15 093.0021 342.8226 008.1327 081.30
Non-current accruals and deferred income27 617.91
Non-current liabilities total176 373.80178 384.47177 403.94172 727.10167 406.66
Current loans from credit institutions3 298.834 666.167 058.786 154.127 231.91
Advances received8 227.838 227.838 227.838 227.838 227.83
Current trade creditors2 040.742 021.691 829.024 045.343 721.64
Current owed to participating2 465.36
Other non-interest bearing current liabilities1 091.60260.66349.283 785.433 028.06
Accruals and deferred income11 515.5611 026.4610 487.8013 786.0515 279.50
Current liabilities total26 174.5426 202.8027 952.7035 998.7639 954.32
Balance sheet total (liabilities)274 830.84286 851.73286 683.06293 635.27294 934.22
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