Site-Security A/S — Credit Rating and Financial Key Figures

CVR number: 33592582
Smedevej 2, 6710 Esbjerg V
info@sitesecurity.dk
tel: 88808448
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit9 210.6812 157.3814 209.7213 626.5719 165.40
Employee benefit expenses-4 604.65-6 400.22-7 882.98-8 048.82-8 977.72
Total depreciation- 362.12- 362.12-1 314.95-1 203.45-2 338.97
EBIT4 243.915 395.045 011.784 374.307 848.71
Other financial income7.544.6885.8667.65
Other financial expenses-96.88-43.41-52.64-20.31-21.59
Pre-tax profit4 154.585 351.644 963.834 439.857 894.76
Income taxes- 930.79-1 236.64-1 103.36-1 014.69-1 878.05
Net earnings3 223.794 115.003 860.473 425.156 016.71

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings97.2883.3869.4855.5941.69
Machinery and equipment3 431.275 457.267 213.6311 512.3511 312.58
Tangible assets total3 528.555 540.647 283.1211 567.9411 354.27
Investments total40.2040.2040.2040.2040.20
Long term receivables total
Finished products/goods1 765.543 763.283 991.765 970.967 143.97
Inventories total1 765.543 763.283 991.765 970.967 143.97
Current trade debtors3 449.793 913.914 576.595 491.164 449.56
Current amounts owed by group member comp.137.40182.413 407.29460.58
Prepayments and accrued income21.58
Current other receivables0.05
Short term receivables total3 449.794 072.894 759.018 898.444 910.18
Cash and bank deposits4 721.533 034.323 443.42626.254 736.83
Cash and cash equivalents4 721.533 034.323 443.42626.254 736.83
Balance sheet total (assets)13 505.6016 451.3219 517.5027 103.7928 185.45

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Asset revaluation reserve3 114.344 966.227 351.0211 356.4812 794.68
Shares repurchased3 150.004 400.003 900.003 400.006 168.33
Retained earnings-2 772.80-3 949.01-3 734.02-3 273.54-6 016.71
Profit of the financial year3 223.794 115.003 860.473 425.156 016.71
Shareholders equity total7 215.3310 032.2011 877.4815 408.0919 463.01
Provisions743.481 192.051 580.592 469.652 395.03
Non-current loans from credit institutions230.21226.92
Non-current liabilities total230.21226.92
Current loans from credit institutions91.55663.44106.58
Current trade creditors451.39695.43521.492 018.601 566.31
Current owed to group member375.62
Short-term deferred tax liabilities1 047.751 303.81820.16775.141 758.32
Other non-interest bearing current liabilities3 672.033 227.824 626.245 538.662 669.28
Current liabilities total5 546.795 227.076 059.438 995.836 100.49
Balance sheet total (liabilities)13 505.6016 451.3219 517.5027 103.7928 185.45
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