Silkebus A/S — Credit Rating and Financial Key Figures

CVR number: 39683679
Hagemannsvej 21, 8600 Silkeborg
Elin@silkebus.dk
tel: 86821466

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit32 726.0034 881.0025 680.0024 113.0025 067.27
Employee benefit expenses-22 255.00-25 080.00-20 431.00-16 079.00-17 341.99
Other operating expenses- 736.00- 431.00- 387.00
Total depreciation-7 885.00-9 826.00-10 145.00-5 808.00-5 000.90
EBIT1 850.00- 456.00-5 283.002 226.002 724.38
Other financial income52.0041.0036.0026.0035.50
Other financial expenses- 992.00- 992.00- 764.00-1 020.00- 923.61
Income from other inv. held as non-curr. assets69.00
Net income from associates (fin.)-25.0043.0015.0019.00334.24
Pre-tax profit885.00-1 364.00-5 996.001 320.002 170.51
Income taxes- 207.00295.001 308.00- 314.00- 427.00
Net earnings678.00-1 069.00-4 688.001 006.001 743.51

Assets (kDKK)

2020
2021
2022
2023
2024
Goodwill1 400.001 200.001 000.00800.00600.00
Intangible assets total1 400.001 200.001 000.00800.00600.00
Land and waters6 240.006 052.006 218.003 676.003 547.33
Buildings46 957.0038 730.0027 193.0019 522.0023 873.07
Machinery and equipment666.00637.00515.00389.00282.83
Tangible assets total53 863.0045 419.0033 926.0023 587.0027 703.23
Holdings in group member companies34.0078.0092.00112.00446.18
Investments total34.0078.0092.00112.00446.18
Non-current loans receivable10.0010.0010.0010.0010.00
Long term receivables total10.0010.0010.0010.0010.00
Raw materials and consumables136.00315.00277.00146.00133.36
Inventories total136.00315.00277.00146.00133.36
Current trade debtors2 481.002 021.00854.001 069.001 505.81
Current amounts owed by group member comp.1 712.001 474.001 110.001 138.001 338.06
Prepayments and accrued income196.00448.00255.00356.00221.88
Current other receivables305.00182.00147.0086.00177.75
Current deferred tax assets34.00
Short term receivables total4 728.004 125.002 366.002 649.003 243.49
Cash and bank deposits2 491.003 934.0026.004 856.003 899.44
Cash and cash equivalents2 491.003 934.0026.004 856.003 899.44
Balance sheet total (assets)62 662.0055 081.0037 697.0032 160.0036 035.71

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Other reserves22.00356.18
Retained earnings10 091.0010 769.009 700.004 990.005 661.76
Profit of the financial year678.00-1 069.00-4 688.001 006.001 743.51
Shareholders equity total11 269.0010 200.005 512.006 518.008 261.44
Provisions2 222.001 798.00490.00804.001 231.00
Non-current loans from credit institutions11 862.009 326.004 706.002 584.001 648.30
Non-current leasing loans7 863.008 470.005 687.003 554.009 325.81
Non-current owed to group member15 511.0012 042.0010 240.005 813.006 067.80
Non-current other liabilities1 629.001 562.001 333.002 243.002 104.32
Non-current liabilities total36 865.0031 400.0021 966.0014 194.0019 146.23
Current loans from credit institutions7 447.006 715.007 255.007 774.004 598.60
Advances received47.0037.0035.0013.007.37
Current trade creditors1 057.001 578.001 179.001 390.001 100.67
Current owed to participating102.00137.00192.00231.00274.08
Short-term deferred tax liabilities30.00129.00
Other non-interest bearing current liabilities3 623.003 087.001 068.001 236.001 416.31
Current liabilities total12 306.0011 683.009 729.0010 644.007 397.04
Balance sheet total (liabilities)62 662.0055 081.0037 697.0032 160.0036 035.71
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