POLYSAN A/S — Credit Rating and Financial Key Figures

CVR number: 27412319
Industrivej 17, Nr Broby 5672 Broby
polysan@polysan.dk
tel: 62661521
www.polysan.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit8 942.759 604.209 011.338 554.108 752.03
Employee benefit expenses-7 020.14-7 288.73-7 517.79-6 566.33-6 809.13
Total depreciation-1 732.60-2 875.68-1 492.91-1 150.35- 962.80
EBIT190.01- 560.210.63837.42980.10
Other financial income12.35235.953.631.98
Other financial expenses- 305.09- 160.63- 161.94- 356.39- 304.00
Net income from associates (fin.)-28.00-48.00
Pre-tax profit- 102.73- 748.8426.64484.66678.08
Income taxes21.62128.63-4.00- 105.00- 154.88
Net earnings-81.11- 620.2222.64379.66523.20

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights135.83119.59103.3687.1270.87
Goodwill30.6925.4320.1714.919.65
Intangible assets total166.52145.02123.53102.0380.52
Land and waters5 068.466 109.655 884.005 661.175 441.17
Buildings3 855.421 985.191 575.811 056.40715.90
Machinery and equipment571.72282.70113.7875.24275.39
Tangible assets total9 495.618 377.537 573.586 792.816 432.46
Participating interests48.00
Investments total45.0048.00
Long term receivables total
Raw materials and consumables232.62791.482 185.462 091.561 815.99
Finished products/goods4 331.915 286.266 147.056 473.616 415.16
Advance payments119.40116.72
Inventories total4 564.526 197.138 332.518 565.178 347.88
Current trade debtors1 630.172 685.571 799.122 143.401 983.09
Current amounts owed by group member comp.137.078.970.51
Prepayments and accrued income98.03164.05197.5644.99129.39
Current other receivables15.4238.3785.8951.252.29
Current deferred tax assets87.38216.00212.00107.0023.00
Short term receivables total1 830.993 241.052 303.542 347.142 137.77
Cash and bank deposits382.3622.853.4795.4644.47
Cash and cash equivalents382.3622.853.4795.4644.47
Balance sheet total (assets)16 485.0018 031.5918 336.6317 902.6017 043.10

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital2 400.003 600.003 600.003 600.003 600.00
Retained earnings3 866.556 585.445 965.235 987.866 367.52
Profit of the financial year-81.11- 620.2222.64379.66523.20
Shareholders equity total6 185.449 565.239 587.869 967.5210 490.72
Capital loans1 000.00
Non-current loans from credit institutions3 915.962 536.69
Non-current other liabilities519.68883.51
Non-current deferred tax liabilities545.63
Non-current liabilities total5 435.643 420.20545.63
Current loans from credit institutions1 112.92155.72383.95
Current trade creditors1 366.781 518.581 365.231 229.75821.79
Current owed to group member13.105 539.945 683.444 498.45
Short-term deferred tax liabilities66.57
Other non-interest bearing current liabilities2 384.213 346.16914.021 021.901 165.56
Accruals and deferred income12.60
Current liabilities total4 863.915 046.168 203.147 935.086 552.38
Balance sheet total (liabilities)16 485.0018 031.5918 336.6317 902.6017 043.10
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