SCAN GROUP A/S — Credit Rating and Financial Key Figures

CVR number: 81260311
Snorresgade 18-20, 2300 København S
tel: 32668100

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales1 802.001 694.002 113.001 680.001 963.00
Other operating income23 937.0073 798.00111 219.0045 980.0051 565.00
Costs of manufacturing- 240.00- 363.00- 600.00- 247.00- 260.00
External services-20 611.00-21 023.00-25 775.00-27 315.00-31 042.00
Gross profit4 888.0054 106.0086 957.0020 098.0022 226.00
Employee benefit expenses-34 757.00-96 672.00- 125 468.00-43 663.00-62 375.00
Total depreciation-2 623.00-1 070.00-1 030.00-1 175.00-1 315.00
EBIT-32 492.00-43 636.00-39 541.00-24 740.00-41 464.00
Other financial income4 657.0018 102.0033 594.0032 430.0021 608.00
Other financial expenses-9 824.00- 586.00-3 604.00-1 360.00-76.00
Net income from associates (fin.)154 606.00596 179.00755 536.00156 784.00215 120.00
Pre-tax profit116 947.00570 059.00745 985.00163 114.00195 188.00
Income taxes-2 559.0016 758.004 667.00-3 110.001 469.00
Net earnings114 388.00586 817.00750 652.00160 004.00196 657.00

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters37 073.0036 276.0035 658.0035 032.0040 500.00
Machinery and equipment14 034.0013 836.0014 289.0014 954.0014 609.00
Tangible assets total51 107.0050 112.0049 947.0049 986.0055 109.00
Holdings in group member companies563 068.001 026 776.001 413 038.00946 522.00930 564.00
Other shares and similar rights of ownership249.001 190.001 127.001 007.00
Investments total563 068.001 027 025.001 414 228.00947 649.00931 571.00
Non-curr. owed by group member comp.32 783.00
Long term receivables total32 783.00
Inventories total
Current trade debtors1 160.001 005.001 733.00944.001 137.00
Current amounts owed by group member comp.448 869.00451 343.00300 280.0048 895.00188 449.00
Prepayments and accrued income72.00953.00435.001 904.003 437.00
Current other receivables1 962.00527.008 402.0015 304.004 050.00
Current deferred tax assets20 372.0034 193.0028 935.0019 713.0021 270.00
Short term receivables total472 435.00488 021.00339 785.0086 760.00218 343.00
Other current investments111.00389 090.00395 690.00124 704.00
Cash and bank deposits70 938.00219 907.00290 502.00192 798.0094 803.00
Cash and cash equivalents71 049.00219 907.00679 592.00588 488.00219 507.00
Balance sheet total (assets)1 157 659.001 785 065.002 483 552.001 672 883.001 457 313.00

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital3 000.003 000.003 000.003 000.003 000.00
Shares repurchased50 000.0040 000.0050 000.00
Other reserves134 999.00599 201.00848 604.00273 816.00249 738.00
Retained earnings816 786.00453 295.00713 576.001 156 525.00959 434.00
Profit of the financial year114 388.00586 817.00750 652.00160 004.00196 657.00
Shareholders equity total1 119 173.001 682 313.002 365 832.001 593 345.001 408 829.00
Non-current liabilities total
Current trade creditors5 189.003 980.004 889.004 384.004 386.00
Current owed to participating6 807.0032 448.00
Current owed to group member12 300.0017 492.0011 216.0012 803.002 721.00
Other non-interest bearing current liabilities20 997.0081 280.0094 808.0029 903.0041 377.00
Current liabilities total38 486.00102 752.00117 720.0079 538.0048 484.00
Balance sheet total (liabilities)1 157 659.001 785 065.002 483 552.001 672 883.001 457 313.00
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