SKI GROUP A/S — Credit Rating and Financial Key Figures

CVR number: 20898909
Vasevej 37, Rindum 6950 Ringkøbing
tel: 97325326
www.hojmark.dk

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit-5 705.0073 861.0067 346.0056 566.0058 498.00
Employee benefit expenses-23 289.00-44 220.00-49 738.00-50 398.00-53 108.00
Other operating expenses-85.00- 279.00- 265.00- 836.00- 283.00
Total depreciation-4 451.00-3 969.00-4 092.00-4 779.00-4 254.00
EBIT-40 950.0025 393.0013 251.00553.00853.00
Other financial income2.00691.001 853.00375.00527.00
Other financial expenses2 323.00- 370.00- 562.00- 448.00-1 590.00
Pre-tax profit-41 564.0025 714.0014 542.00480.00- 210.00
Income taxes7 209.00-5 743.00-3 298.00- 795.00- 261.00
Net earnings-34 355.0019 971.0011 244.00- 315.00- 471.00

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure3 554.00
Intangible rights3 573.003 113.001 534.004 745.002 816.00
Goodwill10 160.008 896.007 628.006 357.005 087.00
Intangible assets total13 733.0012 009.0012 716.0011 102.007 903.00
Machinery and equipment3 037.003 600.003 218.002 702.002 572.00
Tangible assets total3 037.003 600.003 218.002 702.002 572.00
Investments total-5 711.00-5 376.00
Non-current loans receivable69.0069.0069.0069.0069.00
Long term receivables total69.0069.0069.0069.0069.00
Finished products/goods634.00928.001 153.00963.001 150.00
Inventories total634.00928.001 153.00963.001 150.00
Current amounts owed by group member comp.4 317.004 597.00168.00
Prepayments and accrued income1 696.001 141.001 980.002 731.001 872.00
Current other receivables23 515.0027 817.0011 763.007 420.0017 202.00
Current deferred tax assets11 157.006 810.007 628.007 895.007 341.00
Short term receivables total36 368.0040 085.0025 968.0018 214.0026 415.00
Cash and bank deposits39 028.0036 846.0029 719.0024 566.008 142.00
Cash and cash equivalents39 028.0036 846.0029 719.0024 566.008 142.00
Balance sheet total (assets)87 158.0088 161.0072 843.0057 616.0046 251.00

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital808.00808.00808.00808.001 000.00
Shares repurchased6 000.00
Other reserves-5 713.00-5 714.00-2 028.00-2 332.00-2 303.00
Retained earnings33 358.00-1 840.006 418.0017 662.0017 155.00
Profit of the financial year-34 355.0019 971.0011 244.00- 315.00- 471.00
Shareholders equity total-5 902.0013 225.0022 442.0015 823.0015 381.00
Provisions1 619.001 749.002 246.002 424.001 549.00
Non-current loans from credit institutions38 485.0034 933.0019 181.0013 155.00
Non-current other liabilities4 060.00
Non-current deferred tax liabilities3 242.002 234.001 611.001 018.00
Non-current liabilities total42 545.0038 175.0021 415.0014 766.001 018.00
Current loans from credit institutions5 647.006 215.006 109.005 652.006 394.00
Advances received20 004.0011 447.004 686.006 223.008 274.00
Current trade creditors6 702.004 597.006 453.003 917.004 256.00
Current owed to group member2 228.00
Short-term deferred tax liabilities689.00
Other non-interest bearing current liabilities14 313.0012 294.008 803.008 811.009 379.00
Accruals and deferred income121.00
Current liabilities total48 894.0034 674.0026 740.0024 603.0028 303.00
Balance sheet total (liabilities)87 156.0087 823.0072 843.0057 616.0046 251.00
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