HOUNISEN LABORATORIEUDSTYR A/S — Credit Rating and Financial Key Figures

CVR number: 25573420
Niels Bohrs Vej 49, Stilling 8660 Skanderborg
merete@hounisen.com
tel: 86210800

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit29 386.4529 153.1921 241.7320 495.9920 751.87
Employee benefit expenses-15 469.46-12 356.46-13 602.37-14 191.37-14 251.57
Total depreciation- 629.74- 283.91- 755.12- 762.58- 521.39
EBIT13 287.2516 512.826 884.245 542.045 978.91
Other financial income396.08490.77928.71877.431 094.57
Other financial expenses-75.19- 303.96- 192.72- 311.51- 643.77
Pre-tax profit13 608.1416 699.627 620.236 107.966 429.71
Income taxes-3 006.89-3 713.67-1 707.31-1 376.90-1 441.03
Net earnings10 601.2512 985.955 912.924 731.064 988.68

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights1 176.21793.72317.50
Intangible assets total1 176.21793.72317.50
Buildings256.49223.39190.30157.20124.10
Machinery and equipment242.60703.95559.17383.44212.65
Tangible assets total499.09927.34749.47540.65336.76
Investments total116.50116.50116.5040.0040.00
Long term receivables total
Finished products/goods10 167.9813 353.6415 550.5615 052.6415 752.90
Advance payments383.41298.40738.88117.39
Inventories total10 167.9813 737.0515 848.9615 791.5215 870.30
Current trade debtors6 848.8513 566.639 484.289 249.358 496.09
Current amounts owed by group member comp.9 935.5919 985.5021 918.2619 569.6420 496.86
Prepayments and accrued income91.22210.36884.89
Current other receivables211.21215.98220.7825.23
Current deferred tax assets529.11
Short term receivables total17 524.7633 768.1131 714.5429 029.3529 903.07
Cash and bank deposits13 475.535 668.864 316.228 003.189 871.51
Cash and cash equivalents13 475.535 668.864 316.228 003.189 871.51
Balance sheet total (assets)41 783.8655 394.0853 539.4153 722.1956 021.64

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital1 000.001 000.001 000.001 000.001 000.00
Shares repurchased3 200.0020 000.00
Retained earnings16 660.9717 262.2130 248.1716 161.0820 892.14
Profit of the financial year10 601.2512 985.955 912.924 731.064 988.68
Shareholders equity total31 462.2131 248.1737 161.0841 892.1426 880.82
Provisions252.00188.0099.00176.00
Non-current deferred tax liabilities987.47
Non-current liabilities total987.47
Current loans from credit institutions3.2991.7551.1384.8246.68
Advances received103.22109.4912.57
Current trade creditors3 998.339 318.196 308.155 864.806 414.95
Current owed to participating1 275.995 432.175 638.85
Current owed to group member2 709.661 845.3018 803.54
Short-term deferred tax liabilities3 421.671 771.311 465.901 364.03
Other non-interest bearing current liabilities3 953.352 920.472 311.402 457.662 335.63
Current liabilities total9 334.1823 893.9116 190.3311 731.0528 964.82
Balance sheet total (liabilities)41 783.8655 394.0853 539.4153 722.1956 021.64
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