BRDR H S JENSEN A/S — Credit Rating and Financial Key Figures

CVR number: 14373691
Lundsgårdsvej 5, Høve 4261 Dalmose

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit14 590.4813 403.5113 827.6612 465.1714 389.92
Employee benefit expenses-11 577.99-10 625.58-10 617.53-9 143.27-10 859.76
Total depreciation-1 882.62-1 801.59-2 001.25-1 481.92-1 426.08
EBIT1 129.87976.341 208.871 839.992 104.08
Other financial income176.83237.95197.8854.21107.70
Other financial expenses- 562.71- 573.20- 457.84- 410.63- 318.18
Pre-tax profit743.99641.09948.911 483.561 893.60
Income taxes- 168.37- 143.68- 212.92- 347.33- 421.65
Net earnings575.63497.40735.991 136.241 471.95

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Machinery and equipment9 170.438 737.557 103.005 363.274 114.91
Tangible assets total9 170.438 737.557 103.005 363.274 114.91
Investments total
Non-curr. owed by group member comp.3 064.692 934.17
Long term receivables total3 064.692 934.17
Raw materials and consumables412.00429.56376.30348.00357.00
Inventories total412.00429.56376.30348.00357.00
Current trade debtors5 832.475 980.773 947.335 078.775 738.28
Current amounts owed by group member comp.2 996.293 399.5590.213 118.014 062.11
Current other receivables1 022.29780.24296.75405.092 554.54
Current deferred tax assets138.94
Short term receivables total9 851.0510 160.564 473.238 601.8612 354.94
Cash and bank deposits0.550.550.550.550.55
Cash and cash equivalents0.550.550.550.550.55
Balance sheet total (assets)22 498.7122 262.3911 953.0814 313.6816 827.40

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Shares repurchased500.001 500.00
Retained earnings2 450.742 526.372 023.772 759.772 396.00
Profit of the financial year575.63497.40735.991 136.241 471.95
Shareholders equity total3 526.374 023.773 259.764 396.015 867.95
Provisions956.401 037.541 389.40824.21740.14
Non-current loans from credit institutions57.22
Non-current leasing loans2 834.802 664.981 717.16836.75258.26
Non-current liabilities total2 892.012 664.981 717.16836.75258.26
Current loans from credit institutions5 350.585 296.751 589.013 606.523 447.37
Advances received35.45400.00
Current trade creditors2 242.752 025.85929.471 959.923 148.33
Current owed to group member3 444.183 799.42819.571 051.01
Short-term deferred tax liabilities263.6062.54912.51505.72
Other non-interest bearing current liabilities3 822.813 351.542 248.721 742.301 408.62
Current liabilities total15 123.9314 536.095 586.768 256.719 961.05
Balance sheet total (liabilities)22 498.7122 262.3911 953.0814 313.6816 827.40
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