BK EJENDOMME ODENSE ApS — Credit Rating and Financial Key Figures

CVR number: 29306893
Hedebovej 71, 5474 Veflinge
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit805.00461.00211.00839.18108.59
Employee benefit expenses-70.08- 258.31
Total depreciation- 227.00- 244.00- 288.00- 282.23- 269.48
EBIT578.00217.00-77.00486.88- 419.19
Other financial income540.00927.89367.38
Other financial expenses- 485.00- 400.00- 409.00- 600.67- 705.11
Pre-tax profit93.00- 183.0054.00814.11- 756.93
Income taxes3.0040.00-12.00- 184.0932.78
Net earnings96.00- 143.0042.00630.02- 724.15

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters21 653.0021 472.0021 467.0021 200.3020 935.71
Machinery and equipment48.0041.0052.0035.7820.90
Tangible assets total21 701.0021 513.0021 519.0021 236.0820 956.60
Investments total
Long term receivables total
Inventories total
Prepayments and accrued income13.00
Current other receivables327.00352.00324.00213.37145.33
Current deferred tax assets42.007.00
Short term receivables total340.00394.00331.00213.37145.33
Other current investments2 274.002 620.701 582.63
Cash and bank deposits4.0025.000.94
Cash and cash equivalents4.0025.002 274.002 620.701 583.57
Balance sheet total (assets)22 045.0021 932.0024 124.0024 070.1522 685.51

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital125.00125.00135.00135.00135.00
Asset revaluation reserve2 832.002 789.002 746.002 703.682 746.42
Retained earnings1 263.004 202.005 862.005 945.656 532.92
Profit of the financial year96.00- 143.0042.00630.02- 724.15
Shareholders equity total4 316.006 973.008 785.009 414.358 690.19
Provisions1 516.001 518.001 525.001 529.001 496.22
Non-current loans from credit institutions12 311.0011 769.0011 750.0011 335.0710 630.73
Non-current liabilities total12 311.0011 769.0011 750.0011 335.0710 630.73
Current loans from credit institutions600.00600.00920.00708.071 072.54
Current trade creditors27.0027.0069.00121.5337.11
Current owed to participating72.0030.00133.0047.3755.22
Current owed to group member2 816.00711.00592.00281.34226.17
Short-term deferred tax liabilities155.00173.34166.54
Other non-interest bearing current liabilities232.00304.00350.00460.08310.78
Current liabilities total3 902.001 672.002 064.001 791.731 868.36
Balance sheet total (liabilities)22 045.0021 932.0024 124.0024 070.1522 685.51
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