Nature Energy Bånlev A/S — Credit Rating and Financial Key Figures

CVR number: 28680872
Ørbækvej 260, 5220 Odense SØ
baanlev@natureenergy.dk

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit12 291.0023 677.00-17 520.00-16 380.00-2 505.00
Employee benefit expenses-3 826.00-5 628.00-5 216.00-5 120.00-5 924.00
Other operating expenses-2 146.00-1 758.00
Total depreciation-7 247.00-10 581.00-10 821.00-10 300.00-10 336.00
EBIT- 928.007 468.00-35 315.00-31 800.00-18 765.00
Other financial income1.0014.00
Other financial expenses-3 429.00-2 960.00-2 955.00-6 534.00-7 569.00
Pre-tax profit-4 356.004 508.00-38 270.00-38 320.00-26 334.00
Income taxes952.00- 812.008 419.008 427.005 670.00
Net earnings-3 404.003 696.00-29 851.00-29 893.00-20 664.00

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights11 421.009 664.007 907.006 150.004 393.00
Intangible assets total11 421.009 664.007 907.006 150.004 393.00
Land and waters13 162.0012 021.0010 880.009 739.008 598.00
Buildings63 582.0058 001.0049 224.0042 849.0037 554.00
Machinery and equipment91.005 302.002 678.002 386.001 857.00
Advance payments and construction in progress2 042.003 537.005 597.003 413.00302 513.00
Tangible assets total78 877.0078 861.0068 379.0058 387.00350 522.00
Investments total
Long term receivables total
Raw materials and consumables50.00
Inventories total50.00
Current trade debtors2 398.002 932.001 942.001 773.001 470.00
Current amounts owed by group member comp.3 852.0014 875.003 931.002 350.002 835.00
Prepayments and accrued income8.00
Current other receivables5 189.005 599.003 559.005 016.0023 920.00
Current deferred tax assets7 945.006 644.0012 968.0016 642.0018 289.00
Short term receivables total19 384.0030 058.0022 400.0025 781.0046 514.00
Cash and bank deposits12.0025.0069.0022.0017.00
Cash and cash equivalents12.0025.0069.0022.0017.00
Balance sheet total (assets)109 744.00118 608.0098 755.0090 340.00401 446.00

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital10 000.0010 000.0010 000.0010 000.00357 650.00
Retained earnings24 118.0020 715.0024 411.00-5 440.00-35 332.00
Profit of the financial year-3 404.003 696.00-29 851.00-29 893.00-20 664.00
Shareholders equity total30 714.0034 411.004 560.00-25 333.00301 654.00
Non-current loans from credit institutions58 950.0064 178.0061 590.00
Non-current leasing loans4 364.002 073.001 640.001 195.00
Non-current owed to group member54 869.0049 409.00
Non-current other liabilities346.00
Non-current liabilities total59 296.0068 542.0063 663.0056 509.0050 604.00
Current loans from credit institutions2 249.002 993.003 078.00
Current trade creditors2 718.007 779.0010 547.006 764.005 084.00
Current owed to group member12 887.00367.006 684.0048 575.0040 398.00
Other non-interest bearing current liabilities1 880.004 516.0010 223.003 825.003 706.00
Current liabilities total19 734.0015 655.0030 532.0059 164.0049 188.00
Balance sheet total (liabilities)109 744.00118 608.0098 755.0090 340.00401 446.00
Try the full version of our system for free
Bankruptcy risk visualization example

... and more!

No registration needed.