LILJE-HUSET A/S — Credit Rating and Financial Key Figures

CVR number: 34755116
C.F. Tietgens Boulevard 32, Over Holluf 5220 Odense SØ
tel: 66144677
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit32 557.7933 487.8844 027.8820 308.9023 374.16
Costs of management-10 493.43-10 553.21-10 603.44-9 228.55-10 265.20
Costs of distribution-7 848.35-6 123.54-5 903.51-6 214.73-6 201.75
EBIT14 216.0016 811.1327 520.934 865.626 907.21
Other financial income961.7698.59973.10989.27166.16
Other financial expenses- 117.97- 468.37-5.94-14.75-29.76
Pre-tax profit15 059.7916 441.3628 488.085 840.147 043.61
Income taxes-3 313.55-3 622.27-6 267.58-1 285.25-1 675.14
Net earnings11 746.2412 819.0822 220.514 554.895 368.46

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters2 088.191 771.621 455.041 025.43740.45
Buildings21.9213.705.48
Machinery and equipment2 748.771 963.621 580.71910.50369.19
Tangible assets total4 858.883 748.933 041.231 935.931 109.64
Participating interests116.67116.67116.67116.67116.67
Investments total331.21331.21331.21331.21331.21
Long term receivables total
Raw materials and consumables483.28430.42373.13354.46333.45
Inventories total483.28430.42373.13354.46333.45
Current trade debtors13 945.155 556.886 696.207 386.3615 743.14
Prepayments and accrued income1 316.131 449.691 322.41726.391 073.84
Current other receivables24 234.0233 688.1618 148.8910 542.1510 514.45
Current deferred tax assets21.23770.31215.4747.52
Short term receivables total39 495.2940 715.9526 937.8218 870.3727 378.95
Other current investments4 713.494 316.873 051.17118.550.27
Cash and bank deposits10 448.1310 427.6435 694.7310 939.58536.95
Cash and cash equivalents15 161.6314 744.5138 745.9011 058.13537.23
Balance sheet total (assets)60 330.3059 971.0369 429.2932 550.1029 690.49

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00500.00500.00500.00
Shares repurchased11 500.0015 000.0028 000.0012 000.003 000.00
Retained earnings14 180.6110 926.85-4 254.075 966.447 521.33
Profit of the financial year11 746.2412 819.0822 220.514 554.895 368.46
Shareholders equity total37 926.8539 245.9346 466.4423 021.3316 389.80
Provisions1 236.581 381.99950.32211.70164.37
Non-current deferred tax liabilities2 550.442 795.556 699.251 214.46571.60
Non-current liabilities total2 550.442 795.556 699.251 214.46571.60
Current trade creditors8 800.7310 726.837 215.894 450.215 309.00
Current owed to group member15.8510.63
Other non-interest bearing current liabilities9 508.535 512.137 496.773 528.416 859.58
Accruals and deferred income291.32297.96600.63123.99396.14
Current liabilities total18 616.4316 547.5515 313.288 102.6112 564.72
Balance sheet total (liabilities)60 330.3059 971.0369 429.2932 550.1029 690.49
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