EURO-DK Group A/S — Credit Rating and Financial Key Figures

CVR number: 35401725
Kystvejen 100, 5330 Munkebo
az@euro-dk.com
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit32 471.5820 112.7193 893.44105 255.61186 442.58
Employee benefit expenses-28 867.90-18 212.85-92 434.22-99 892.87- 176 480.11
Total depreciation-56.89- 108.60- 125.52-67.79-93.44
EBIT3 546.781 791.271 333.695 294.959 869.03
Other financial income0.1178.819.295.33390.95
Other financial expenses- 123.29-90.80- 339.44- 697.89- 552.61
Pre-tax profit3 423.611 779.281 003.534 602.399 707.38
Income taxes- 758.47- 393.55- 233.41-1 958.09-2 189.84
Net earnings2 665.141 385.73770.132 644.307 517.53

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters2 580.322 530.099 630.751 412.932 891.01
Machinery and equipment115.26160.0184.7216.93240.42
Tangible assets total2 695.582 690.109 715.471 429.863 131.42
Investments total
Long term receivables total
Finished products/goods956.31945.10
Inventories total956.31945.10
Current trade debtors5 928.494 992.3116 653.9325 197.6120 394.49
Current amounts owed by group member comp.2 911.705 232.514 698.609 329.7710 241.99
Prepayments and accrued income59.5678.08323.06410.20406.01
Current other receivables10 504.975 990.892 847.293 584.194 917.31
Current deferred tax assets122.93385.85174.99553.50616.70
Short term receivables total19 527.6616 679.6424 697.8839 075.2736 576.49
Cash and bank deposits9 411.034 897.306 736.224 880.341 071.96
Cash and cash equivalents9 411.034 897.306 736.224 880.341 071.96
Balance sheet total (assets)31 634.2625 223.3442 094.6645 385.4740 779.88

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Shares repurchased300.007 000.007 000.00
Retained earnings12 808.4615 473.6016 859.3310 629.466 273.76
Profit of the financial year2 665.141 385.73770.132 644.307 517.53
Shareholders equity total16 273.6017 359.3318 129.4620 773.7621 291.29
Provisions1.20162.60
Non-current loans from credit institutions851.93800.601 648.14820.81739.16
Non-current liabilities total851.93800.601 648.14820.81739.16
Current loans from credit institutions506.17420.45454.48447.7781.65
Advances received1 895.00
Current trade creditors1 931.931 525.431 020.301 638.243 781.67
Current owed to group member2 315.97
Short-term deferred tax liabilities2 190.192 093.04
Other non-interest bearing current liabilities10 175.635 116.3320 679.6919 514.7010 477.09
Current liabilities total14 508.737 062.2122 154.4723 790.9018 749.42
Balance sheet total (liabilities)31 634.2625 223.3442 094.6645 385.4740 779.88
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