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STEVNS CHARTER & TOWAGE A/S

CVR number: 12812892
Kullinggade 31 C, 5700 Svendborg
info@nordane.dk
tel: 62222777

Income statement (kDKK)

20182019202020212022
Fiscal period length1212121212
Net sales
Gross profit-11.672 655.51- 483.63- 314.72- 556.29
Employee benefit expenses-1 248.50- 352.86-0.48
Total depreciation- 577.93- 515.96- 359.95- 238.03- 125.31
EBIT-1 838.111 786.69- 844.06- 552.75- 681.60
Other financial income0.160.092.432.720.27
Other financial expenses- 222.04- 687.17- 150.04- 419.77-38.08
Income from other inv. held as non-curr. assets- 681.07- 574.75- 493.56458.89- 417.62
Net income from associates (fin.)- 621.64- 443.83- 259.54- 420.42- 420.75
Pre-tax profit-3 362.7181.03-1 744.77- 931.34-1 557.79
Income taxes751.32- 135.17382.51155.33336.62
Net earnings-2 611.39-54.15-1 362.25- 776.01-1 221.17

Assets (kDKK)

20182019202020212022
Intangible assets total
Land and waters49.95
Machinery and equipment4 695.844 287.393 927.451 660.291 534.99
Tangible assets total4 745.794 287.393 927.451 660.291 534.99
Participating interests2 334.192 099.602 060.061 639.6444.71
Other non-current investments4 365.924 562.174 331.302 319.682 176.44
Other receivables-0.000.000.000.00
Investments total6 700.116 661.776 391.353 959.322 221.15
Non-current other receivables8.958.958.95
Long term receivables total8.958.958.95
Finished products/goods518.06
Inventories total518.06
Current trade debtors102.80
Current amounts owed by group member comp.10 570.349 279.748 886.408 931.406 535.57
Prepayments and accrued income26.6217.979.275.086.08
Current other receivables366.74529.44328.47263.31128.19
Short term receivables total11 066.509 827.149 224.149 199.796 669.84
Cash and bank deposits35.1820.156.4332.6644.68
Cash and cash equivalents35.1820.156.4332.6644.68
Balance sheet total (assets)23 065.6420 796.4519 558.3214 861.0110 479.62

Equity and liabilities (kDKK)

20182019202020212022
Share capital950.00950.00950.00950.00950.00
Retained earnings7 661.655 050.264 996.113 633.862 857.85
Profit of the financial year-2 611.39-54.15-1 362.25- 776.01-1 221.17
Shareholders equity total6 000.265 946.114 583.863 807.852 586.68
Provisions3 752.133 917.003 286.732 948.442 332.98
Non-current loans from credit institutions988.00985.50985.50
Non-current owed to group member5 022.244 992.544 911.524 435.194 708.57
Non-current liabilities total6 010.235 978.045 897.024 435.194 708.57
Current loans from credit institutions3 519.692 484.062 684.321 890.42
Current trade creditors94.21102.2466.936.8613.51
Current owed to participating225.96500.40556.1939.65
Current owed to group member2 964.941 647.461 747.811 120.73354.23
Short-term deferred tax liabilities512.18273.38278.84
Other non-interest bearing current liabilities493.14216.12210.16333.56201.88
Accruals and deferred income5.085.0213.124.922.92
Current liabilities total7 303.024 955.305 790.713 669.53851.38
Balance sheet total (liabilities)23 065.6420 796.4519 558.3214 861.0110 479.62
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