Stroco A/S — Credit Rating and Financial Key Figures

CVR number: 21005134
Energivej 3, 6800 Varde
tel: 75224317
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit1 660.651 040.391 206.922 290.591 940.73
Employee benefit expenses-1 783.71-1 462.02- 824.09-2 255.18-1 836.15
Other operating expenses-20.00-16.55
Total depreciation-82.71-80.09-72.84- 123.04- 121.45
EBIT- 205.77- 501.72290.00-87.63-33.43
Other financial income1.902.841.300.210.14
Other financial expenses-56.72-87.02- 117.08- 294.40- 137.76
Pre-tax profit- 260.58- 585.90174.23- 381.82- 171.05
Income taxes51.92132.35- 106.4386.3035.16
Net earnings- 208.66- 453.5467.80- 295.52- 135.89

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure110.98189.05159.56130.07100.58
Intangible assets total110.98189.05159.56130.07100.58
Buildings217.00152.96
Machinery and equipment100.00109.61231.51125.74
Tangible assets total217.00252.96109.61231.51125.74
Investments total32.0032.00
Long term receivables total
Raw materials and consumables2 071.642 552.512 232.702 892.622 779.83
Inventories total2 071.642 552.512 232.702 892.622 779.83
Current trade debtors280.7869.96327.77677.29984.69
Current amounts owed by group member comp.69.7821.38
Prepayments and accrued income73.9966.8957.157.2046.64
Current other receivables263.43138.4283.29
Current deferred tax assets109.75242.11146.9143.0578.20
Short term receivables total797.73517.38636.50727.541 109.53
Cash and bank deposits356.2125.98
Cash and cash equivalents356.2125.98
Balance sheet total (assets)3 197.353 511.903 138.384 369.954 173.66

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital1 008.001 008.001 008.001 008.001 008.00
Other reserves110.98147.46101.45101.4678.45
Retained earnings- 321.64- 566.77- 974.31619.85347.33
Profit of the financial year- 208.66- 453.5467.80- 295.52- 135.89
Shareholders equity total588.69135.14202.941 433.791 297.89
Provisions11.24
Non-current liabilities total
Current loans from credit institutions399.70703.1419.09470.22698.79
Advances received211.48
Current trade creditors296.85260.90651.13388.02310.75
Current owed to participating0.45
Current owed to group member1 307.101 761.181 703.211 445.191 215.44
Other non-interest bearing current liabilities605.02439.61550.77632.74650.78
Current liabilities total2 608.663 376.752 924.202 936.162 875.77
Balance sheet total (liabilities)3 197.353 511.903 138.384 369.954 173.66
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