Nørregaard Årre ApS — Credit Rating and Financial Key Figures

CVR number: 40111247
Ravnholtgyden 5, Ravnholt 6600 Vejen
admin@farmcompany.dk
www.farmcompany.dk

Income statement (kEUR)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit440.57452.091 560.811 208.401 238.92
Employee benefit expenses- 349.28- 415.39- 452.24- 578.96- 533.01
Other operating expenses-24.79-3.44-5.14-54.56-52.87
Total depreciation- 208.58- 211.26- 393.97- 349.99- 345.84
Reduction in value of non-current assets-0.3845.50
EBIT- 142.09- 177.99709.46224.88307.19
Other financial income1.404.871 422.7815.5414.24
Other financial expenses- 126.69- 109.72- 223.65- 172.78- 185.56
Pre-tax profit- 267.38- 282.851 908.6067.66135.87
Income taxes54.0963.20- 423.43-22.13-33.49
Net earnings- 213.30- 219.651 485.1745.53102.38

Assets (kEUR)

2020
2021
2022
2023
2024
Intangible rights153.31153.31
Intangible assets total153.31153.31
Land and waters9 405.494 044.354 145.884 141.324 244.96
Buildings8 024.418 687.209 185.6810 454.61
Machinery and equipment981.241 384.961 443.711 381.901 191.62
Advance payments and construction in progress8.3517.485.35
Other tangible assets787.14915.39950.97950.97
Tangible assets total10 395.0814 258.3415 192.1915 659.8716 847.51
Participating interests19.6933.01
Investments total19.6933.01
Non-current loans receivable0.7754.9674.7893.35
Long term receivables total0.7754.9674.7893.35
Raw materials and consumables566.22555.72774.42678.37441.05
Other stocks616.643.504.516.28
Finished products/goods3.55
Inventories total1 182.86559.27777.92682.88447.33
Current trade debtors126.64169.27233.26168.97234.49
Current amounts owed by group member comp.20.80176.188.64
Prepayments and accrued income2.933.481.18
Current other receivables26.14145.44165.64162.7736.64
Current deferred tax assets20.8063.808.120.58
Short term receivables total173.58399.31578.01343.34281.53
Cash and bank deposits32.5619.279.4027.6042.59
Cash and cash equivalents32.5619.279.4027.6042.59
Balance sheet total (assets)11 957.0815 423.2716 612.4716 788.4617 712.30

Equity and liabilities (kEUR)

2020
2021
2022
2023
2024
Share capital6.706.706.706.706.70
Asset revaluation reserve707.851 276.521 708.532 137.003 087.57
Retained earnings- 227.71- 441.01- 660.66843.47889.00
Profit of the financial year- 213.30- 219.651 485.1745.53102.38
Shareholders equity total273.54622.562 539.733 032.694 085.64
Provisions122.95283.94658.46814.151 114.18
Non-current loans from credit institutions5 361.015 336.444 051.664 016.873 988.88
Non-current owed to group member6 062.128 708.538 704.858 627.288 243.61
Non-current other liabilities4.245.045.045.505.17
Non-current liabilities total11 427.3714 050.0112 761.5512 649.6612 237.66
Current loans from credit institutions28.3828.9329.3729.7529.09
Current trade creditors76.35368.55202.4282.94122.02
Current owed to group member39.3395.4584.1115.78
Short-term deferred tax liabilities254.11
Other non-interest bearing current liabilities28.5029.95- 488.4656.5671.57
Accruals and deferred income2.5638.6036.35
Current liabilities total133.23466.7795.45291.96274.82
Balance sheet total (liabilities)11 957.0815 423.2716 055.2016 788.4617 712.30
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