ØKO-ONE ApS — Credit Rating and Financial Key Figures

CVR number: 26636434
Grønvej 105, Volderslev 5260 Odense S

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit4 435.856 559.667 889.287 345.095 621.44
Employee benefit expenses-1 559.57-2 233.88-2 498.80-2 688.15-2 863.27
Other operating expenses-1 416.72-1 694.66-1 518.46-1 089.01
Total depreciation- 526.55- 994.81-1 393.92-1 456.72-1 505.53
EBIT2 349.731 914.242 301.901 681.76163.63
Other financial income20.0784.8764.8745.8823.16
Other financial expenses- 183.49- 207.48- 192.09- 475.53- 383.02
Pre-tax profit2 186.311 791.632 174.691 252.11- 196.22
Income taxes- 482.09- 379.18- 463.07- 262.3249.51
Net earnings1 704.221 412.451 711.61989.78- 146.72

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters11 113.3511 577.6211 433.7611 289.8911 146.03
Machinery and equipment2 638.544 550.214 107.063 586.002 817.32
Tangible assets total13 751.8916 127.8415 540.8114 875.9013 963.36
Investments total
Non-current loans receivable7.457.457.457.457.45
Long term receivables total7.457.457.457.457.45
Raw materials and consumables43.0074.00100.00100.0075.60
Other stocks232.261 309.191 495.72377.82
Finished products/goods5 124.543 741.562 908.313 653.27931.68
Inventories total5 399.805 124.754 504.033 753.271 385.10
Current trade debtors735.491 605.412 672.572 133.062 008.40
Current amounts owed by group member comp.161.56286.78775.32235.20
Prepayments and accrued income206.84240.91827.44
Current other receivables972.95804.62568.871 153.041 246.25
Short term receivables total2 076.842 937.714 844.203 286.103 489.85
Cash and bank deposits455.5312.51394.931 709.16
Cash and cash equivalents455.5312.51394.931 709.16
Balance sheet total (assets)21 691.5024 197.7524 909.0122 317.6420 554.92

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital125.00125.00125.00125.00125.00
Shares repurchased775.00
Retained earnings4 739.146 443.367 080.818 792.419 782.19
Profit of the financial year1 704.221 412.451 711.61989.78- 146.72
Shareholders equity total6 568.367 980.819 692.429 907.199 760.48
Provisions435.54389.27501.05456.98344.88
Non-current loans from credit institutions10 625.2511 532.9210 835.018 849.498 350.72
Non-current accruals and deferred income461.36780.08624.06468.05312.03
Non-current liabilities total11 086.6112 313.0011 459.079 317.538 662.76
Current loans from credit institutions1 421.381 303.992 133.91451.02431.02
Current trade creditors637.091 689.80478.501 409.22901.76
Current owed to participating194.242.822.827.773.31
Current owed to group member13.7614.3147.72206.073.37
Short-term deferred tax liabilities504.38425.45349.36302.9860.48
Other non-interest bearing current liabilities753.2578.30244.15258.88386.87
Accruals and deferred income76.89
Current liabilities total3 601.003 514.673 256.472 635.941 786.81
Balance sheet total (liabilities)21 691.5024 197.7524 909.0122 317.6420 554.92
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