GORI PROPELLER A/S — Credit Rating and Financial Key Figures

CVR number: 30568753
Fjordagervej 36, 6100 Haderslev
mail@gori-propeller.dk
tel: 73525354
www.gori-propeller.dk/

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit2 665.814 433.524 309.956 405.065 163.65
Costs of management-1 405.35- 715.17- 765.34-1 005.60- 757.82
Costs of distribution- 503.69-1 504.93-2 051.32-2 126.72-2 353.53
EBIT756.772 213.411 493.293 272.742 052.29
Other financial income39.0057.1588.7217.25
Other financial expenses-50.07-65.72- 163.95- 136.37- 145.75
Pre-tax profit706.702 186.701 386.493 225.091 923.80
Income taxes- 155.93- 482.54- 311.71- 718.69- 428.63
Net earnings550.761 704.161 074.782 506.401 495.17

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure20.00
Intangible rights49.9326.29
Intangible assets total49.9346.29
Buildings89.1341.4411.18212.14166.03
Tangible assets total89.1341.4411.18212.14166.03
Investments total
Long term receivables total
Semifinished products2 468.282 364.812 530.493 064.113 601.00
Raw materials and consumables1 511.631 197.541 990.301 763.582 018.71
Finished products/goods556.12549.97666.96733.46935.37
Inventories total4 536.034 112.325 187.755 561.146 555.09
Current trade debtors1 253.77818.361 299.261 444.95728.33
Current amounts owed by group member comp.882.023 268.481 503.03892.49
Prepayments and accrued income14.18
Current other receivables109.8571.62255.89297.12259.23
Short term receivables total2 259.814 158.453 058.182 634.56987.56
Cash and bank deposits8.20425.9459.24957.86385.49
Cash and cash equivalents8.20425.9459.24957.86385.49
Balance sheet total (assets)6 893.178 738.168 316.359 415.628 140.46

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Shares repurchased500.001 500.001 500.003 000.001 400.00
Other reserves15.60
Retained earnings3 142.822 193.582 397.74472.521 563.32
Profit of the financial year550.761 704.161 074.782 506.401 495.17
Shareholders equity total4 693.585 897.745 472.526 478.924 974.09
Provisions213.60314.90342.80492.50734.40
Non-current other liabilities291.78482.86
Non-current deferred tax liabilities291.78207.06213.48
Non-current liabilities total291.78482.86291.78207.06213.48
Current loans from credit institutions439.06837.40862.8689.1896.01
Advances received81.3894.49
Current trade creditors350.73392.70556.701 059.81582.64
Current owed to group member881.41
Short-term deferred tax liabilities270.53381.24283.81568.99186.73
Other non-interest bearing current liabilities633.89431.32505.88437.78377.21
Current liabilities total1 694.212 042.672 209.252 237.142 218.50
Balance sheet total (liabilities)6 893.178 738.168 316.359 415.628 140.46
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