AKSET A/S — Credit Rating and Financial Key Figures

CVR number: 26118182
Granbakken 6, 7323 Give
clt@akset.dk
tel: 22223601

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit49 613.0538 486.2249 639.8841 692.9572 358.78
Employee benefit expenses-18 405.73-18 881.82-17 323.94-17 964.77-22 462.28
Other operating expenses- 289.84
Total depreciation-14 332.14-10 945.89-11 316.14-15 141.48-20 277.50
EBIT16 875.188 658.5020 999.808 296.8529 619.00
Other financial income3 941.183 178.363 278.452 106.8312.61
Other financial expenses-6 423.12-5 833.25-7 240.86-10 808.03-10 651.38
Reduction non-current investment assets-3 265.762 662.241 076.70- 168.75-75 000.00
Income from other inv. held as non-curr. assets1.56828.61-0.01192.2710.18
Net income from associates (fin.)-33 023.5415 655.2050 356.33188 130.2520 652.67
Pre-tax profit-21 894.5025 149.6868 470.40187 749.43-35 356.93
Income taxes-3 896.12737.82-7 696.86-3 486.78-6 657.24
Net earnings-25 790.6225 887.5060 773.54184 262.65-42 014.18

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters198 628.60205 232.90203 401.62270 166.76283 611.63
Machinery and equipment24 915.5126 087.3722 639.9633 916.0734 058.62
Advance payments and construction in progress9 098.93986.1025 170.045 448.2419 499.59
Other tangible assets14 723.8911 526.4412 386.42
Tangible assets total247 366.93232 306.37251 211.63321 057.52349 556.26
Participating interests72 174.57105 570.38172 486.68106 209.71123 432.09
Investments total72 174.57105 570.38172 486.68106 209.71123 432.09
Non-curr. owed by particip. interest comp.23 777.1021 399.5920 000.00
Non-current loans receivable8.9512.721 012.36151 012.5479 708.92
Long term receivables total23 786.0521 412.3121 012.36151 012.5479 708.92
Semifinished products30 869.9417 041.1036 853.4942 392.5550 100.28
Raw materials and consumables14 395.5214 137.1722 067.2724 813.0814 359.16
Finished products/goods803.126 540.703 639.5411 000.583 375.10
Advance payments2 373.00
Inventories total46 068.5837 718.9764 933.3078 206.2167 834.54
Current trade debtors6 440.692 963.9510 803.8411 196.9113 231.41
Current owed by particip. interest comp.870.001 080.00688.75802.80
Prepayments and accrued income3 948.474 415.98802.73799.23486.99
Current other receivables1 737.5135 404.004 763.7612 768.589 999.66
Current deferred tax assets3 026.180.04555.96108.812.39
Short term receivables total16 022.8543 863.9716 926.2925 562.2824 523.25
Other current investments4 990.05
Cash and bank deposits187.801 291.32307.22221.69309.28
Cash and cash equivalents187.801 291.32307.22221.695 299.33
Balance sheet total (assets)405 606.78442 163.32526 877.47682 269.95650 354.39

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital600.00600.00600.00600.00600.00
Asset revaluation reserve34 787.9635 393.647 352.5413 451.0514 100.56
Shares repurchased113.00114.40500.0010 000.00
Other reserves55 124.5088 676.3132 414.3018 602.7322 184.98
Retained earnings77 170.902 594.0465 578.47-30 181.50181 304.59
Profit of the financial year-25 790.6225 887.5060 773.54184 262.65-42 014.18
Minority interest (BS)15 420.1349 127.81112 325.13250 949.10215 920.12
Shareholders equity total157 425.87202 393.70279 543.97447 684.04392 096.08
Provisions17 515.7612 083.5216 835.9326 835.5130 404.52
Non-current loans from credit institutions158 206.76142 214.94129 926.3788 726.88143 835.98
Non-current leasing loans119.031 014.74172.10742.38542.27
Non-current accruals and deferred income7 026.986 408.925 814.566 294.945 856.41
Non-current deferred tax liabilities395.30189.25204.95248.38292.44
Non-current liabilities total165 748.08149 827.84136 117.9896 012.59150 527.10
Current loans from credit institutions42 060.1558 826.8564 483.8386 359.7251 332.53
Current trade creditors13 314.0210 868.0220 576.0716 570.3317 179.56
Current owed to participating482.07131.34184.03399.87196.13
Short-term deferred tax liabilities2 028.28312.731 667.15
Other non-interest bearing current liabilities9 060.826 003.799 135.668 095.156 951.32
Current liabilities total64 917.0777 858.2794 379.60111 737.8177 326.68
Balance sheet total (liabilities)405 606.78442 163.32526 877.47682 269.95650 354.39
Try the full version of our system for free
Bankruptcy risk visualization example

... and more!

No registration needed.