KOHSEL A/S — Credit Rating and Financial Key Figures

CVR number: 32517714
Danmarksvej 26, 8660 Skanderborg
accountingdk@kohsel.dk
tel: 87680808
https://kohsel.dk/

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit36 971.6026 642.5624 841.7210 705.0022 171.25
Employee benefit expenses-18 670.35-19 517.84-19 892.64-19 412.35-16 899.68
Total depreciation- 646.02-1 343.68-1 262.93-1 099.95- 973.63
EBIT17 655.235 781.053 686.15-9 807.304 297.94
Other financial income1 841.3610 601.2623 898.7216 498.215 634.24
Other financial expenses-7 221.06-1 935.30-26 233.28-17 618.94-7 704.60
Net income from associates (fin.)- 717.871 653.77858.18
Pre-tax profit12 275.5314 447.01633.72-9 274.263 085.76
Income taxes-2 439.74-3 188.92- 226.142 482.74- 573.50
Net earnings9 835.7911 258.09407.58-6 791.522 512.26

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure8 253.208 230.627 335.336 420.165 504.99
Intangible rights254.1596.5046.58
Intangible assets total8 507.348 327.127 381.916 420.165 504.99
Land and waters1 934.932 044.28
Machinery and equipment509.87365.91296.0196.7038.24
Tangible assets total2 444.802 410.19296.0196.7038.24
Holdings in group member companies741.5027 519.9238 433.2846 462.2148 487.81
Investments total741.5027 519.9238 973.6347 002.5649 028.16
Non-curr. owed by group member comp.41 401.6440 733.4240 139.4315 662.437 461.30
Long term receivables total41 401.6440 733.4240 139.4315 662.437 461.30
Raw materials and consumables22 288.87749.35603.24
Finished products/goods8 821.878 552.0310 592.407 661.196 833.65
Advance payments1 126.95671.07
Inventories total32 237.689 972.4511 195.657 661.196 833.65
Current trade debtors9 834.3915 255.9315 799.227 203.7810 365.05
Current amounts owed by group member comp.13 220.4663 760.1335 756.8511 699.8218 165.66
Prepayments and accrued income503.80358.43660.20640.191 036.11
Current other receivables12.5412.350.3926.48
Current deferred tax assets2 011.911 383.42
Short term receivables total23 571.1979 386.8352 216.6521 555.7030 976.73
Cash and bank deposits4 207.634 605.502 550.771 679.71167.20
Cash and cash equivalents4 207.634 605.502 550.771 679.71167.20
Balance sheet total (assets)113 111.78172 955.43152 754.05100 078.46100 010.27

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital700.00700.00700.00700.001 000.00
Shares repurchased13 000.0018 000.007 500.002 500.00
Other reserves6 522.096 419.8816 634.9223 950.0125 261.78
Retained earnings25 035.8116 973.8122 148.1019 615.7434 879.87
Profit of the financial year9 835.7911 258.09407.58-6 791.522 512.26
Shareholders equity total55 093.7053 351.7847 390.6037 474.2466 153.91
Provisions2 537.002 321.002 122.50500.00500.00
Non-current loans from credit institutions12 000.009 000.006 000.00
Non-current liabilities total12 000.009 000.006 000.00
Current loans from credit institutions21 591.9150 573.8652 147.4737 131.0514 817.19
Advances received3 182.184 700.293 225.71
Current trade creditors11 738.795 816.053 250.526 763.051 611.67
Current owed to group member6 300.0046 919.6833 523.339 287.517 879.90
Short-term deferred tax liabilities415.441 512.361 694.98412.141 640.00
Other non-interest bearing current liabilities3 434.953 460.703 442.463 810.184 181.90
Current liabilities total43 481.08108 282.6597 240.9562 104.2233 356.37
Balance sheet total (liabilities)113 111.78172 955.43152 754.05100 078.46100 010.27
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