STANDLUX ApS — Credit Rating and Financial Key Figures

CVR number: 26878918
Lumbyvej 65, 5000 Odense C
bo@standlux.dk
tel: 40159262
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit802.001 668.001 894.002 401.732 746.88
Employee benefit expenses-1 122.00- 812.00- 937.00-1 103.70-1 284.93
Other operating expenses-5.18
Total depreciation- 692.00- 672.00- 627.00- 711.67- 794.34
EBIT-1 012.00184.00330.00581.17667.62
Other financial income22.006.000.260.18
Other financial expenses- 179.00- 174.00- 167.00- 260.53- 266.34
Pre-tax profit-1 191.0032.00169.00320.91401.46
Income taxes260.00-8.00-41.00-72.92- 101.27
Net earnings- 931.0024.00128.00247.98300.19

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings6.0015.0011.007.423.66
Machinery and equipment2 428.002 300.002 933.002 818.862 996.97
Tangible assets total2 434.002 315.002 944.002 826.273 000.63
Investments total107.00147.00148.00154.45154.45
Long term receivables total
Finished products/goods1 779.001 699.001 821.001 857.941 922.80
Inventories total1 779.001 699.001 821.001 857.941 922.80
Current trade debtors755.00643.001 450.00757.181 015.21
Prepayments and accrued income475.00275.00
Current other receivables56.00265.00441.25360.72
Current deferred tax assets278.00270.00229.00155.6454.37
Short term receivables total1 508.001 244.001 944.001 354.071 430.30
Cash and bank deposits5.00765.007.007.220.70
Cash and cash equivalents5.00765.007.007.220.70
Balance sheet total (assets)5 833.006 170.006 864.006 199.966 508.88

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital125.00125.00125.00125.00125.00
Retained earnings1 765.00833.00857.00984.701 232.69
Profit of the financial year- 931.0024.00128.00247.98300.19
Shareholders equity total959.00982.001 110.001 357.691 657.88
Non-current loans from credit institutions1 665.001 547.001 303.001 073.80582.10
Non-current leasing loans306.00181.00552.00414.03223.91
Non-current owed to group member600.00600.00801.00813.52829.79
Non-current owed to participating500.00500.00
Non-current other liabilities306.00-1 328.00-1 906.00
Non-current liabilities total2 877.001 000.00750.002 801.352 135.80
Current loans from credit institutions1 214.00990.001 405.001 008.701 605.77
Current trade creditors202.0088.00110.00328.81140.99
Current owed to group member351.00269.00
Other non-interest bearing current liabilities536.00513.00833.00703.40968.44
Current liabilities total2 303.001 860.002 348.002 040.922 715.19
Balance sheet total (liabilities)6 139.003 842.004 208.006 199.966 508.88
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