JORGENSEN ENGINEERING A/S — Credit Rating and Financial Key Figures

CVR number: 51452216
M.P. Allerups Vej 20, Fraugde 5220 Odense SØ
jorgensen@jorgensen.dk
tel: 63132222

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales323 211.00
Costs of manufacturing- 171 916.00
External services-16 001.00
Gross profit138 689.00135 295.00172 021.00166 872.00
Employee benefit expenses- 102 425.00- 109 229.00- 125 896.00- 129 718.00
Total depreciation-3 993.00-4 252.00-4 575.00-4 078.00
EBIT32 271.0021 814.0041 551.0033 076.00
Other financial income- 207.00145.003 664.004 366.00
Other financial expenses-1 260.00-1 222.00
Net income from associates (fin.)-8.00- 326.001 662.00-2 271.00
Pre-tax profit25 825.0032 056.0021 633.0045 616.0033 949.00
Income taxes-7 067.00-4 806.00-9 655.00-8 012.00
Net earnings25 825.0024 989.0016 827.0035 961.0025 937.00

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure2 426.002 506.002 295.001 403.00
Intangible assets total2 426.002 506.002 295.001 403.00
Land and waters60 163.0060 765.0058 950.0057 168.00
Buildings1 688.001 405.001 503.001 846.00
Machinery and equipment4 651.003 969.002 572.001 708.00
Other tangible assets1.00-1.00
Tangible assets total66 502.0066 140.0063 025.0060 721.00
Holdings in group member companies321.0015.001 646.00
Other non-current investments1.00-1.00
Investments total228 090.00322.0016.001 645.00
Long term receivables total
Finished products/goods9 294.009 890.0011 332.0010 488.00
Inventories total9 294.009 890.0011 332.0010 488.00
Current trade debtors39 812.0027 676.0073 321.0023 727.00
Current amounts owed by group member comp.101 594.0068 507.00101 003.00112 416.00
Current owed by particip. interest comp.718.001 709.00
Prepayments and accrued income731.00941.004 166.001 129.00
Current other receivables47 995.0076 941.0056 106.0031 375.00
Current deferred tax assets1 365.005 723.006 000.00
Short term receivables total191 497.00180 506.00234 596.00176 356.00
Cash and bank deposits341.0012.0013.003.00
Cash and cash equivalents341.0012.0013.003.00
Balance sheet total (assets)228 090.00270 382.00259 070.00312 906.00248 971.00

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital125 443.0030 000.0030 000.0030 000.0030 000.00
Shares repurchased24 000.0016 000.0035 000.0020 000.00
Other reserves1 893.001 955.001 790.001 094.00
Retained earnings-25 825.0045 549.0054 496.0036 457.0053 128.00
Profit of the financial year25 825.0024 989.0016 827.0035 961.0025 937.00
Shareholders equity total125 443.00126 431.00119 278.00139 208.00130 159.00
Provisions18 702.0023 643.0026 483.0027 182.00
Non-current loans from credit institutions19 178.0018 007.0016 854.0015 535.00
Non-current liabilities total19 178.0018 007.0016 854.0015 535.00
Current loans from credit institutions1 517.001 201.001 150.001 264.00
Advances received56 070.0047 526.0081 608.0035 838.00
Current trade creditors33 401.0037 747.0028 847.0025 883.00
Short-term deferred tax liabilities267.002 796.00
Other non-interest bearing current liabilities14 815.0011 668.0015 961.0013 110.00
Current liabilities total106 070.0098 142.00130 362.0076 095.00
Balance sheet total (liabilities)125 443.00270 381.00259 070.00312 907.00248 971.00
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