CAJU Holding A/S — Credit Rating and Financial Key Figures

CVR number: 37780529
Drejervej 18, 8920 Randers NV

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit126 675 214.0046 526.83
Employee benefit expenses-40 655 358.00-28 721.97
Other operating expenses- 197 500.00-32.84
Total depreciation-5 699 452.00-4 234.59
Reduction in value of non-current assets3 739 541.00-3 791.86
EBIT34 879.0021 996.0019 659.0083 862 445.009 745.57
Other financial income3 035 721.005 135.42
Other financial expenses-6 113 169.00-8 297.10
Net income from associates (fin.)-2 583 508.005 223.14
Pre-tax profit28 901.0018 734.0023 436.0017 484 589.0011 807.04
Income taxes-17 423 043.00-1 453.45
Net earnings28 901.0018 734.0023 436.0061 546.0010 353.59

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights237 895.00212.60
Intangible assets total237 895.00212.60
Land and waters60 876.00500.00
Buildings228 798 891.00227 278.89
Machinery and equipment7 615 462.0010 197.42
Tangible assets total236 475 229.00237 976.32
Participating interests8 336 078.0012 447.33
Investments total241 113.00275 992.00292 647.008 536 078.0012 647.33
Non-current loans receivable20 400.0020.40
Non-current other receivables3 150 166.003 012.00
Long term receivables total3 170 566.003 032.40
Raw materials and consumables653 023.00641.94
Finished products/goods6 898 695.0010 203.20
Inventories total7 551 718.0010 845.14
Current trade debtors11 986.0041.76
Current owed by particip. interest comp.25 290 340.0027 184.66
Prepayments and accrued income399 936.00250.25
Current other receivables46 551 058.009 624.07
Current deferred tax assets834 456.00
Short term receivables total73 087 776.0037 100.74
Other current investments29 527 409.0029 297.51
Cash and bank deposits39 476.0031 905.75
Cash and cash equivalents29 566 885.0061 203.26
Balance sheet total (assets)241 113.00275 992.00292 647.00358 626 147.00363 017.78

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital113 489.00103 489.00121 529.001 000 000.001 000.00
Asset revaluation reserve342.52
Shares repurchased3 000 000.005 000.00
Retained earnings-28 901.00-18 734.00-23 436.00146 445 259.00135 665.05
Profit of the financial year28 901.0018 734.0023 436.0061 546.0010 353.59
Minority interest (BS)22 141 029.0025 412.80
Shareholders equity total113 489.00103 489.00121 529.00172 647 834.00177 773.96
Provisions8 842 267.001 015.23
Non-current loans from credit institutions138 861 656.0075 815.67
Non-current other liabilities4 532 174.001 236.07
Non-current liabilities total143 393 830.0077 051.74
Current loans from credit institutions19 000 830.0059 656.11
Advances received25 500.00
Current trade creditors6 528 962.006 446.48
Current owed to participating527 772.002 649.08
Short-term deferred tax liabilities6 689.84
Other non-interest bearing current liabilities7 684 652.005 882.57
Accruals and deferred income352.78
Current liabilities total33 742 216.00107 176.85
Balance sheet total (liabilities)113 489.00103 489.00121 529.00358 626 147.00363 017.78
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