The Brew Company A/S — Credit Rating and Financial Key Figures

CVR number: 31173353
Kasmosevej 3, Røjleskov 5500 Middelfart
Ulrik@brew-company.com
tel: 63400124
www.brew-company.com
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit5 285.017 853.646 392.304 012.007 827.53
Employee benefit expenses-3 427.01-5 516.71-6 382.80-5 946.00-6 850.57
Total depreciation-1 453.15-1 290.96-1 295.53- 930.00- 724.78
EBIT404.861 045.97-1 286.03-2 864.00252.17
Other financial income44.8746.3253.0033.0058.02
Other financial expenses- 297.09- 377.74- 458.82-1 100.00-1 214.76
Pre-tax profit152.64714.54-1 691.84-3 931.00- 904.57
Net earnings152.64714.54-1 691.84-3 931.00- 904.57

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure1 230.441 571.611 511.281 617.001 698.08
Intangible assets total1 230.441 571.611 511.281 617.001 698.08
Buildings2 436.711 914.884 735.544 689.004 591.95
Machinery and equipment58.38166.39127.59104.0077.63
Tangible assets total2 495.092 081.274 863.134 793.004 669.59
Investments total179.55317.931 150.921 148.001 147.55
Long term receivables total
Raw materials and consumables2 559.583 250.693 940.883 345.002 868.35
Finished products/goods1 311.082 192.302 317.361 904.002 092.97
Advance payments438.41184.063.90108.00106.06
Inventories total4 309.075 627.066 262.145 357.005 067.38
Current trade debtors1 067.151 761.942 303.591 295.002 002.41
Current amounts owed by group member comp.2 189.202 327.702 507.541 508.001 639.17
Prepayments and accrued income63.0776.5776.2659.00266.49
Current other receivables138.7116.531 000.00163.0057.01
Short term receivables total3 458.134 182.745 887.383 025.003 965.08
Cash and bank deposits271.03806.55118.31614.0017.18
Cash and cash equivalents271.03806.55118.31614.0017.18
Balance sheet total (assets)11 943.3014 587.1519 793.1616 554.0016 564.85

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital956.00956.003 956.013 956.003 956.01
Other reserves742.501 125.612 144.551 262.001 324.50
Retained earnings42.38- 188.09- 492.49-1 302.00-5 295.70
Profit of the financial year152.64714.54-1 691.84-3 931.00- 904.57
Shareholders equity total1 893.522 608.073 916.22-15.00- 919.77
Non-current loans from credit institutions2 173.322 020.003 944.024 950.003 532.95
Non-current leasing loans1 544.041 366.001 065.67
Non-current other liabilities125.82
Non-current liabilities total2 299.142 020.005 488.066 316.004 598.62
Current loans from credit institutions6 333.878 080.248 736.377 515.008 852.11
Current trade creditors623.93624.99810.442 153.001 944.02
Current owed to participating2.23100.36
Other non-interest bearing current liabilities792.851 253.86839.84585.001 989.52
Current liabilities total7 750.649 959.0910 388.8810 253.0012 886.01
Balance sheet total (liabilities)11 943.3014 587.1519 793.1616 554.0016 564.85
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