SØHØJLANDET ATTRAKTIONER & SERVICES A/S — Credit Rating and Financial Key Figures

CVR number: 32443966
Gl Kærvej 15, 6800 Varde
administration.denmark@landal.com
tel: 70250333
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit8 860.498 437.026 818.209 519.9613 851.90
Employee benefit expenses-11 967.20-16 261.64-19 643.72-21 596.69-22 152.44
Total depreciation-2 693.51-2 618.15-2 730.09-2 895.20-3 646.59
EBIT-5 800.22-10 442.76-15 555.61-14 971.93-11 947.13
Other financial income413.374 241.5029.26
Other financial expenses-3 727.42-4 710.48-4 127.33-5 646.85-5 038.58
Pre-tax profit-9 114.27-10 911.74-19 682.94-20 618.78-16 956.45
Income taxes1 958.562 115.304 064.864 433.594 021.35
Net earnings-7 155.70-8 796.44-15 618.08-16 185.20-12 935.10

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings37.1045.27295.041 146.681 131.78
Machinery and equipment34.39297.88408.38656.91559.36
Advance payments and construction in progress17.77707.21820.9128.35
Other tangible assets49 108.1142 440.7440 294.8038 302.1735 338.54
Tangible assets total49 197.3743 491.1141 819.1240 134.1137 029.68
Investments total707.32725.17734.36
Non-current other receivables945.041 090.671 394.35
Deferred tax assets1 824.00804.87
Long term receivables total1 824.00804.87945.041 090.671 394.35
Raw materials and consumables610.49684.21829.67
Finished products/goods625.94591.89
Inventories total625.94591.89610.49684.21829.67
Current trade debtors502.233 165.571 592.98175.43239.87
Current amounts owed by group member comp.84 117.62577.45
Prepayments and accrued income97.02178.91161.42523.77554.38
Current other receivables940.62161.70526.281 422.82
Current deferred tax assets1 951.665 086.094 055.038 342.993 434.44
Short term receivables total87 609.148 430.575 971.139 568.486 228.95
Other current investments540.00
Cash and bank deposits27.76968.321 580.631 273.00931.88
Cash and cash equivalents27.761 508.321 580.631 273.00931.88
Balance sheet total (assets)139 284.2154 826.7551 633.7453 475.6347 148.89

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital1 000.001 000.001 000.001 000.001 000.00
Retained earnings-5 156.02-12 311.73-21 108.17-36 726.2512 869.74
Profit of the financial year-7 155.70-8 796.44-15 618.08-16 185.20-12 935.10
Shareholders equity total-11 311.73-20 108.17-35 726.25-51 911.44934.64
Non-current leasing loans50 059.3344 141.2142 467.3341 129.5239 341.39
Non-current liabilities total50 059.3344 141.2142 467.3341 129.5239 341.39
Current loans from credit institutions1 954.971 967.622 075.01
Current trade creditors446.781 063.31803.491 068.78861.77
Current owed to group member94 722.0036 954.9755 757.53
Short-term deferred tax liabilities20 384.95
Other non-interest bearing current liabilities5 367.846 415.242 868.643 139.901 780.51
Accruals and deferred income2 930.222 310.592 323.722 155.56
Current liabilities total100 536.6130 793.7244 892.6564 257.556 872.86
Balance sheet total (liabilities)139 284.2154 826.7551 633.7453 475.6347 148.89
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