GARTNERIET PEDERSEN A/S — Credit Rating and Financial Key Figures

CVR number: 21498092
Solbjerg Søvej 15, Blegind 8362 Hørning
henning@pedersen-as.dk

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit8 628.689 250.857 731.297 511.689 269.93
Employee benefit expenses-6 788.03-7 797.51-7 049.17-6 823.48-7 347.28
Total depreciation- 496.98- 249.59- 538.80- 582.78- 762.81
EBIT1 343.671 203.75143.33105.431 159.84
Other financial income25.0036.8425.3346.2526.74
Other financial expenses-22.34-38.02-20.89- 540.21- 159.22
Income from other inv. held as non-curr. assets0.450.450.451.5314.18
Pre-tax profit1 346.781 203.02148.20- 386.991 041.54
Income taxes- 296.45- 266.705.20-16.00- 219.40
Net earnings1 050.33936.32153.40- 402.99822.14

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters253.35632.86479.82390.71757.58
Machinery and equipment279.212 288.722 071.162 990.862 384.09
Tangible assets total532.562 921.582 550.983 381.573 141.66
Holdings in group member companies50.0050.0050.0090.0090.00
Investments total155.00155.00165.33205.33205.33
Non-curr. owed by group member comp.500.00500.00500.00
Non-current loans receivable26.0026.0026.0025.7425.74
Long term receivables total526.00526.00526.0025.7425.74
Semifinished products3 966.173 911.165 034.694 995.064 663.20
Raw materials and consumables661.121 176.79955.86454.03604.49
Inventories total4 627.305 087.955 990.555 449.095 267.70
Current trade debtors975.56763.81822.31862.38988.40
Current amounts owed by group member comp.1 369.541 210.971 340.851 506.912 029.06
Prepayments and accrued income82.9573.8284.9276.7494.57
Current other receivables1 617.40956.05433.48615.16229.77
Current deferred tax assets134.60181.95190.4185.66
Short term receivables total4 180.053 004.642 863.523 251.603 427.47
Cash and bank deposits596.79709.80652.22
Cash and cash equivalents596.79709.80652.22
Balance sheet total (assets)10 617.7011 695.1712 096.3813 023.1312 720.12

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Shares repurchased112.00114.40
Retained earnings6 428.817 264.748 201.078 354.477 951.47
Profit of the financial year1 050.33936.32153.40- 402.99822.14
Shareholders equity total8 091.148 815.478 854.478 451.479 273.61
Provisions132.00100.00100.00166.98
Non-current other liabilities93.70
Non-current liabilities total93.70
Current loans from credit institutions26.27122.04500.45
Current trade creditors629.301 633.561 917.273 378.291 919.18
Current owed to participating499.49514.96526.14541.16466.12
Short-term deferred tax liabilities273.4776.00172.6628.01
Other non-interest bearing current liabilities1 124.29496.91310.11524.19393.77
Current liabilities total2 526.552 747.703 048.214 471.663 279.53
Balance sheet total (liabilities)10 617.7011 695.1712 096.3813 023.1312 720.12
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