ESBJERG CARAVAN CENTER A/S — Credit Rating and Financial Key Figures

CVR number: 33875282
Tarphagevej 135, 6710 Esbjerg V
ecc@ecc.dk
tel: 75152588
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit5 801.356 001.237 012.816 376.157 465.91
Employee benefit expenses-4 334.43-3 889.00-4 098.10-3 041.78-3 507.85
Other operating expenses-23.96
Total depreciation-42.31-45.23-42.67-34.98-34.98
EBIT1 424.602 066.992 848.083 299.403 923.07
Other financial income12.50
Other financial expenses-54.45-16.59-49.44- 245.75- 296.96
Pre-tax profit1 370.152 062.902 798.643 053.643 626.12
Income taxes- 300.88- 454.29- 615.28- 684.03- 800.73
Net earnings1 069.281 608.622 183.362 369.612 825.38

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Machinery and equipment160.77115.5472.8737.892.91
Tangible assets total160.77115.5472.8737.892.91
Investments total
Long term receivables total
Finished products/goods6 352.026 094.108 379.219 169.4610 980.11
Inventories total6 352.026 094.108 379.219 169.4610 980.11
Current trade debtors192.78114.0236.62414.83
Current amounts owed by group member comp.676.92
Prepayments and accrued income3.7911.1460.40132.8353.88
Current other receivables122.33414.4254.3332.29146.06
Current deferred tax assets35.0082.002.0012.0051.00
Short term receivables total161.121 377.26230.75213.74665.76
Cash and bank deposits312.6635.9913.465.8324.38
Cash and cash equivalents312.6635.9913.465.8324.38
Balance sheet total (assets)6 986.567 622.898 696.299 426.9311 673.16

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Shares repurchased1 500.001 500.004 320.001 870.001 450.00
Other reserves-4 320.00
Retained earnings1 870.391 439.67-1 271.71- 958.36-38.75
Profit of the financial year1 069.281 608.622 183.362 369.612 825.38
Shareholders equity total4 939.675 048.281 411.643 781.254 736.64
Non-current liabilities total
Current loans from credit institutions158.881 373.975 530.513 625.654 340.71
Advances received35.0040.0065.71356.71237.61
Current trade creditors301.51301.05283.10441.87595.66
Current owed to group member242.24524.18127.72
Short-term deferred tax liabilities243.34501.29535.28694.03839.73
Other non-interest bearing current liabilities1 065.92358.30345.87527.41795.09
Current liabilities total2 046.892 574.617 284.655 645.686 936.53
Balance sheet total (liabilities)6 986.567 622.898 696.299 426.9311 673.16
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