PLASTECH TECHNOLOGY ApS — Credit Rating and Financial Key Figures

CVR number: 19594181
Finlandsvej 9, Tved 5700 Svendborg
mail@plastech.dk
tel: 62214086
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit923.37769.73429.621 020.001 067.33
Total depreciation- 240.30- 241.50- 241.50- 230.76- 233.81
EBIT683.07528.23188.13789.24833.52
Other financial income21.19
Other financial expenses- 152.36- 167.86- 208.83- 380.72- 380.82
Net income from associates (fin.)1 542.171 170.7825.981 516.101 670.87
Pre-tax profit2 072.881 531.155.271 945.812 123.56
Income taxes- 122.63-84.021.48-94.46- 102.87
Net earnings1 950.251 447.136.751 851.362 020.69

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters9 887.039 660.539 434.039 207.548 981.04
Machinery and equipment30.0015.0068.8861.57
Tangible assets total9 917.039 675.539 434.039 276.429 042.61
Holdings in group member companies7 069.388 240.168 266.149 687.7911 358.65
Investments total7 069.388 240.168 266.149 687.7911 358.65
Long term receivables total
Inventories total
Current other receivables150.00
Current deferred tax assets331.32115.32288.69446.84
Short term receivables total331.32265.32288.69446.84
Cash and bank deposits169.651.331.33
Cash and cash equivalents169.651.331.33
Balance sheet total (assets)17 156.0618 248.3417 966.8219 252.9020 848.10

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital125.00125.00125.00125.00125.00
Other reserves6 948.208 118.988 144.969 566.6111 237.47
Retained earnings- 593.46186.021 607.1797.82278.32
Profit of the financial year1 950.251 447.136.751 851.362 020.69
Shareholders equity total8 430.009 877.139 883.8811 640.7913 661.48
Provisions238.19274.37272.89353.14394.03
Non-current loans from credit institutions5 441.454 963.924 569.694 181.203 739.86
Non-current liabilities total5 441.454 963.924 569.694 181.203 739.86
Current loans from credit institutions491.07844.981 336.32618.90784.43
Current trade creditors125.8793.7521.30
Current owed to participating802.89802.89802.89802.89640.00
Current owed to group member1 043.86932.56947.231 353.281 133.24
Short-term deferred tax liabilities484.50319.151.32152.90339.75
Other non-interest bearing current liabilities98.22139.59131.29149.80155.30
Current liabilities total3 046.433 132.923 240.363 077.773 052.73
Balance sheet total (liabilities)17 156.0618 248.3417 966.8219 252.9020 848.10
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