Robinson Packaging Danmark A/S — Credit Rating and Financial Key Figures

CVR number: 49663218
Erhvervsvej 2, Lindknud 6650 Brørup
schela@schela.dk
tel: 75388250
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit18 512.007 246.6112 597.4712 284.287 489.52
Costs of management-9 881.44-9 962.24-10 704.32-12 120.33-12 524.45
Costs of distribution- 313.80- 441.27- 515.98- 591.40- 458.51
EBIT8 316.76-3 156.911 377.18- 427.45-5 493.44
Other financial income3.398.8319.35
Other financial expenses-1 159.71-1 334.12-1 361.40-2 766.63-3 759.72
Pre-tax profit7 157.05-4 487.6315.78-3 185.26-9 233.81
Income taxes-1 517.05980.28-3.41696.65-1 999.33
Net earnings5 640.01-3 507.3612.37-2 488.60-11 233.14

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters7 720.897 943.667 702.598 352.837 396.01
Buildings4 031.235 522.485 989.456 061.3911 153.28
Machinery and equipment13 435.3724 405.9321 589.0317 438.6230 276.81
Advance payments and construction in progress3 498.86
Tangible assets total25 187.4937 872.0635 281.0735 351.7148 826.10
Investments total
Non-current loans receivable10.50
Long term receivables total10.50
Raw materials and consumables4 412.324 970.716 252.565 454.956 326.63
Finished products/goods4 873.675 532.925 985.416 471.486 371.19
Inventories total9 286.0010 503.6312 237.9811 926.4312 697.82
Current trade debtors9 033.668 221.009 085.1811 706.336 039.62
Current owed by particip. interest comp.161.78153.34
Prepayments and accrued income227.44318.563 484.7517 521.42
Current other receivables958.021 199.12202.161 221.91
Current deferred tax assets325.811 306.091 302.671 999.33240.00
Short term receivables total10 544.9411 044.7714 074.7631 388.867 654.86
Cash and bank deposits5 204.777 710.8111 892.20929.918 076.36
Cash and cash equivalents5 204.777 710.8111 892.20929.918 076.36
Balance sheet total (assets)50 233.7067 131.2773 486.0179 596.9077 255.15

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital1 200.001 200.001 200.001 500.001 500.00
Retained earnings1 453.517 093.513 586.1612 298.539 809.92
Profit of the financial year5 640.01-3 507.3612.37-2 488.60-11 233.14
Shareholders equity total8 293.514 786.164 798.5311 309.9276.79
Non-current loans from credit institutions8 250.157 830.427 407.776 982.186 553.62
Non-current leasing loans11 037.4220 354.6919 762.6226 831.6022 275.89
Non-current other liabilities729.00
Non-current deferred tax liabilities739.94755.48779.03758.09
Non-current liabilities total20 016.5828 925.0627 925.8734 592.8029 587.60
Current loans from credit institutions451.464 956.92422.65425.59428.55
Advances received158.39
Current trade creditors5 557.3511 951.8422 687.3519 511.1927 467.79
Current owed to participating9 403.49
Current owed to group member9 886.6010 055.114 886.3712 857.63
Short-term deferred tax liabilities950.88
Other non-interest bearing current liabilities5 560.426 624.697 596.508 871.036 678.41
Current liabilities total21 923.6033 420.0640 761.6133 694.1847 590.77
Balance sheet total (liabilities)50 233.7067 131.2773 486.0179 596.9077 255.15
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