EUROFINS PRODUCT TESTING DENMARK A/S — Credit Rating and Financial Key Figures

CVR number: 26511437
Smedeskovvej 38, 8464 Galten
www.eurofins.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit42 177.0544 741.1343 390.4645 322.3951 886.88
Employee benefit expenses-28 166.90-28 686.71-28 596.64-30 007.62-34 874.49
Total depreciation-1 975.42-2 242.68-1 902.29-1 764.56-2 021.92
EBIT12 034.7313 811.7412 891.5313 550.2214 990.46
Other financial income142.7458.14128.88581.02707.57
Other financial expenses- 452.08- 314.37- 454.11- 801.71- 563.06
Pre-tax profit11 725.4013 555.5012 566.3013 329.5215 134.96
Income taxes-2 581.72-2 987.10-2 774.15-2 934.85-3 401.42
Net earnings9 143.6810 568.409 792.1510 394.6811 733.55

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights277.08161.42126.4339.259.59
Intangible assets total277.08161.42126.4339.259.59
Buildings2 447.572 440.022 025.802 921.633 182.41
Machinery and equipment3 614.094 054.053 347.803 365.583 846.18
Advance payments and construction in progress380.75141.061 952.01
Other tangible assets0.00
Tangible assets total6 061.676 494.075 754.356 428.268 980.60
Other non-current investments0.00
Investments total811.13821.13821.13821.13821.13
Long term receivables total
Raw materials and consumables337.75166.28216.95150.08174.11
Inventories total337.75166.28216.95150.08174.11
Current trade debtors7 479.287 449.8010 266.1510 049.027 236.02
Current amounts owed by group member comp.22 060.9420 447.4417 624.3117 500.1117 596.00
Prepayments and accrued income10.7613.1062.13178.26281.41
Current other receivables5 014.006 083.155 404.316 635.275 645.00
Current deferred tax assets15.862.35
Short term receivables total34 564.9833 993.4833 372.7534 362.6630 760.78
Balance sheet total (assets)42 052.6041 636.3840 291.6141 801.3840 746.21

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital605.00605.00605.00605.00605.00
Shares repurchased9 000.0010 500.009 790.0010 390.0011 700.00
Retained earnings-3 407.80-4 764.13-3 985.73-4 583.58-5 888.90
Profit of the financial year9 143.6810 568.409 792.1510 394.6811 733.55
Shareholders equity total15 340.8716 909.2716 201.4216 806.1018 149.65
Provisions7.0764.50101.07
Non-current owed to group member7 274.677 274.677 274.677 274.67
Non-current other liabilities2 705.81
Non-current deferred tax liabilities2 439.762 439.762 635.602 607.57
Non-current liabilities total9 980.489 714.439 714.439 910.272 607.57
Current loans from credit institutions22.02113.0280.22105.9511.71
Advances received744.501 140.321 980.971 448.79613.05
Current trade creditors3 591.692 203.712 530.642 948.142 404.98
Current owed to group member2 491.401 793.022 668.902 719.9710 073.59
Short-term deferred tax liabilities653.481 204.661 988.541 817.921 600.32
Other non-interest bearing current liabilities9 221.098 493.445 126.485 943.175 285.36
Current liabilities total16 724.1814 948.1814 375.7514 983.9319 989.00
Balance sheet total (liabilities)42 052.6041 636.3840 291.6141 801.3840 746.21
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