KONDITORBAGER A/S — Credit Rating and Financial Key Figures

CVR number: 27083978
Priorsvej 31, 8600 Silkeborg
bogholderi@konditorbager.dk
tel: 70206159
www.konditorbager.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit9 715.0311 670.7212 634.8416 652.0014 257.34
Employee benefit expenses-8 127.97-9 506.08-11 523.55-12 501.96-13 750.46
Other operating expenses-51.65-59.81-28.59
Total depreciation- 573.27- 322.11- 327.44- 231.51- 294.02
EBIT962.141 782.73755.263 918.53212.86
Other financial income0.750.640.670.252.31
Other financial expenses-68.58-5.80-2.74-0.45-14.59
Net income from associates (fin.)-62.65227.2951.9236.4823.60
Pre-tax profit831.662 004.86805.113 954.80224.19
Income taxes- 211.18- 402.09- 170.66- 871.55-71.22
Net earnings620.481 602.77634.453 083.25152.96

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Machinery and equipment658.86701.49546.90622.43542.01
Tangible assets total658.86701.49546.90622.43542.01
Participating interests10 274.0810 501.3710 553.3010 589.7820 633.38
Investments total10 274.0810 501.3710 553.3010 589.7820 633.38
Long term receivables total
Finished products/goods554.16524.16666.46564.30678.21
Inventories total554.16524.16666.46564.30678.21
Current trade debtors9 358.3010 083.6110 296.5411 331.9416 699.29
Current owed by particip. interest comp.2 355.708 095.004 247.05
Prepayments and accrued income227.49276.24315.94403.23606.45
Current other receivables1 253.451 573.553 559.462 597.973 119.84
Current deferred tax assets1 035.72830.47324.14270.63554.38
Short term receivables total11 874.9615 119.5622 591.0818 850.8120 979.95
Cash and bank deposits9 332.217 770.157 805.9912 417.105 374.39
Cash and cash equivalents9 332.217 770.157 805.9912 417.105 374.39
Balance sheet total (assets)32 694.2734 616.7442 163.7443 044.4248 207.94

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital1 870.001 870.001 870.001 870.001 870.00
Other reserves166.87218.80255.28278.88
Retained earnings11 278.9411 577.5513 088.3913 586.3616 551.01
Profit of the financial year620.481 602.77634.453 083.25152.96
Shareholders equity total13 769.4215 217.1915 811.6418 794.8918 852.86
Non-current other liabilities497.12
Non-current liabilities total497.12
Current loans from credit institutions0.65931.29160.101 461.55
Current trade creditors8 299.5810 722.6614 244.1713 385.049 301.62
Current owed to participating4 763.122 652.717 093.604 864.3912 024.91
Other non-interest bearing current liabilities5 364.395 092.885 014.325 839.996 567.01
Current liabilities total18 427.7319 399.5526 352.0924 249.5229 355.09
Balance sheet total (liabilities)32 694.2734 616.7442 163.7443 044.4248 207.94
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