ORIGO Agro ApS — Credit Rating and Financial Key Figures

CVR number: 39712741
Birketvedvejen 6, 5290 Marslev

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit11 019.086 878.427 797.8727 250.0119 850.83
Employee benefit expenses-4 495.31-4 409.75-6 745.41-7 622.14-8 280.62
Other operating expenses- 127.15- 325.31- 398.33-93.48
Total depreciation-1 241.84-1 291.59-1 681.08-1 800.29-2 234.08
Reduction in value of non-current assets- 652.03401.94-1 985.791 941.30
EBIT5 281.931 049.93- 953.9217 429.259 242.65
Other financial income30.6339.808.120.61464.15
Other financial expenses-1 027.94- 503.82-1 233.56-2 346.25-2 252.28
Pre-tax profit4 284.62585.91-2 179.3615 083.617 454.52
Income taxes-1 107.32- 264.45552.74-2 821.48-2 335.62
Net earnings3 177.30321.46-1 626.6312 262.135 118.90

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights48.4236.04
Intangible assets total48.4236.04
Land and waters26 527.2314 373.6317 464.8717 464.8717 464.87
Buildings27 872.9328 837.1829 533.6933 362.64
Machinery and equipment10 972.52
Advance payments and construction in progress7.727.72
Other tangible assets9 689.6012 014.9812 471.9012 424.70
Tangible assets total37 499.7551 936.1558 317.0359 478.1863 259.93
Participating interests51.98206.59236.14246.60
Investments total51.98206.59236.14246.60
Non-current loans receivable147.00147.00147.00147.00
Non-current other receivables88.01118.89118.89138.89
Long term receivables total147.0088.01265.89265.89285.89
Semifinished products39.9545.84183.76218.15507.03
Raw materials and consumables289.96445.671 985.272 513.356 049.50
Other stocks4 855.146 573.334 758.09
Finished products/goods862.484 930.354 826.11122.001 045.00
Inventories total6 047.535 421.866 995.149 426.8312 359.62
Current trade debtors1 268.49760.451 957.832 528.464 334.75
Current amounts owed by group member comp.296.8232.21519.22
Current owed by particip. interest comp.86.2023.6833.99
Prepayments and accrued income73.38247.8797.4759.83101.28
Current other receivables319.22435.89296.99
Short term receivables total1 661.091 741.032 173.712 611.975 286.23
Other current investments147.00
Cash and cash equivalents147.00
Balance sheet total (assets)45 403.8059 422.0767 958.3772 019.0281 438.26

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital100.00100.00100.00100.00100.00
Share premium account900.00900.00900.00900.00900.00
Asset revaluation reserve2 574.172 631.172 631.17
Shares repurchased113.00114.40117.80122.004 000.00
Retained earnings5 787.578 850.549 054.207 305.5715 567.70
Profit of the financial year3 177.30321.46-1 626.6312 262.135 118.90
Shareholders equity total10 077.8710 286.4011 119.5423 320.8728 317.77
Provisions645.28909.74414.001 341.002 131.00
Non-current loans from credit institutions20 536.4220 229.7334 287.7233 624.4834 443.35
Non-current leasing loans1 954.751 297.28890.97
Non-current liabilities total22 491.1721 527.0135 178.6933 624.4834 443.35
Current loans from credit institutions8 769.5123 638.5915 945.338 291.4710 693.97
Current trade creditors1 462.301 971.122 966.132 768.483 406.40
Current owed to group member1 365.95459.69403.29542.14434.44
Other non-interest bearing current liabilities591.72629.521 931.392 130.582 011.33
Current liabilities total12 189.4726 698.9221 246.1413 732.6716 546.14
Balance sheet total (liabilities)45 403.8059 422.0767 958.3772 019.0281 438.26
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