Orifarm Manufacturing Hobro A/S — Credit Rating and Financial Key Figures

CVR number: 41059044
Apotekerstien 9, 9500 Hobro
info@orifarm.com
tel: 63952700
www.orifarm.com

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit-1.0040 486.0060 525.0059 672.0058 604.00
Employee benefit expenses-32 636.00-48 085.00-45 733.00-45 795.00
Total depreciation-4 004.00-5 453.00-5 657.00-6 424.00
EBIT-1.003 846.006 987.008 282.006 385.00
Other financial income1.00391.001 137.002 054.002 541.00
Other financial expenses1.00- 970.00-1 704.00-3 878.00-5 224.00
Pre-tax profit1.003 267.006 420.006 458.003 702.00
Income taxes- 720.00-1 414.00-1 423.00- 817.00
Net earnings1.002 547.005 006.005 035.002 885.00

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters2 886.0019 286.00
Buildings44 510.0041 175.0037 373.0045 402.0046 642.00
Machinery and equipment891.00836.002 548.001 957.001 651.00
Advance payments and construction in progress236.001 697.00358.005 836.001 568.00
Tangible assets total45 637.0043 708.0040 279.0056 081.0069 147.00
Investments total1 009.001 039.001 162.001 162.00122.00
Long term receivables total
Raw materials and consumables7 081.008 380.0011 599.0014 252.0016 020.00
Finished products/goods3 239.004 787.004 539.002 286.002 350.00
Inventories total10 320.0013 167.0016 138.0016 538.0018 370.00
Current trade debtors402.00363.00188.0085.00
Current amounts owed by group member comp.8 848.0041 442.0049 457.0018 621.00
Prepayments and accrued income1 413.00508.00586.0042.001 334.00
Current other receivables2 695.00989.001 792.001 504.0064.00
Current deferred tax assets432.00
Short term receivables total4 108.0011 179.0044 183.0051 191.0020 104.00
Cash and bank deposits39.0015 167.00514.00
Cash and cash equivalents39.0015 167.00514.00
Balance sheet total (assets)61 113.0084 260.00102 276.00124 972.00107 743.00

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital40.00400.00400.00400.00400.00
Shares repurchased-6 000.006 600.00
Other reserves15 000.00
Retained earnings56 913.0056 914.0035 461.0040 467.0038 902.00
Profit of the financial year1.002 547.005 006.005 035.002 885.00
Shareholders equity total56 954.0059 861.0049 867.0045 902.0048 787.00
Provisions1 152.001 661.002 234.002 721.00
Non-current liabilities total
Current loans from credit institutions3 182.0025 397.00
Current trade creditors1 751.001 833.002 152.002 115.00
Current owed to group member360.0011 011.0010 955.0065 781.0048 261.00
Short-term deferred tax liabilities904.00848.00329.00
Other non-interest bearing current liabilities3 799.007 303.0011 659.008 055.005 530.00
Current liabilities total4 159.0023 247.0050 748.0076 836.0056 235.00
Balance sheet total (liabilities)61 113.0084 260.00102 276.00124 972.00107 743.00
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