GULDSMED BOYE ApS — Credit Rating and Financial Key Figures

CVR number: 79301515
Søndergade 36 A, 8000 Aarhus C
tel: 86136444
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit8 473.709 202.227 558.247 189.868 003.01
Employee benefit expenses-5 733.82-6 224.14-5 974.83-6 028.48-6 060.32
Total depreciation- 306.75- 298.91- 425.10- 410.32- 273.98
EBIT2 433.122 679.171 158.31751.061 668.71
Other financial income18.3619.0514.592.0619.88
Other financial expenses- 227.68- 148.49- 174.33- 268.42- 239.68
Pre-tax profit2 223.802 549.73998.57484.711 448.91
Income taxes- 491.08- 563.47- 222.43- 108.48- 320.41
Net earnings1 732.721 986.25776.14376.231 128.50

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights182.46122.7363.013.28
Goodwill600.00525.00450.00375.00300.00
Intangible assets total782.46647.73513.01378.28300.00
Buildings275.20210.24235.34179.10142.85
Machinery and equipment238.93172.91644.27488.92329.48
Tangible assets total514.13383.15879.61668.02472.33
Investments total223.75223.75223.75223.75223.75
Long term receivables total
Finished products/goods15 767.8016 213.9416 348.0516 089.9915 976.73
Inventories total15 767.8016 213.9416 348.0516 089.9915 976.73
Current trade debtors521.83288.02207.62492.05461.87
Prepayments and accrued income236.20209.56222.56225.38218.59
Current other receivables1 679.1820.754.7020.0018.51
Short term receivables total2 437.22518.34434.88737.43698.97
Cash and bank deposits1 523.45499.08317.56602.572 448.12
Cash and cash equivalents1 523.45499.08317.56602.572 448.12
Balance sheet total (assets)21 248.8018 485.9918 716.8618 700.0520 119.90

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital200.00200.00200.00200.00200.00
Shares repurchased131.00131.00138.00142.00160.00
Retained earnings5 599.227 221.909 091.119 747.339 986.28
Profit of the financial year1 732.721 986.25776.14376.231 128.50
Shareholders equity total7 662.949 539.1510 205.2510 465.5711 474.78
Provisions53.3143.2446.2438.7839.88
Non-current loans from credit institutions441.56
Non-current other liabilities400.50376.07
Non-current deferred tax liabilities389.24347.78361.13
Non-current liabilities total400.50376.07830.79347.78361.13
Current loans from credit institutions113.00
Advances received242.58171.89167.1633.30
Current trade creditors1 710.661 357.53956.051 258.66962.71
Short-term deferred tax liabilities437.62573.54183.4331.94217.31
Other non-interest bearing current liabilities10 741.196 424.556 214.936 557.337 030.78
Current liabilities total13 132.058 527.517 634.577 847.938 244.10
Balance sheet total (liabilities)21 248.8018 485.9918 716.8618 700.0520 119.90
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