FAMILIEN HEDE NIELSENS FOND — Credit Rating and Financial Key Figures

CVR number: 43971212
Holmboes Alle 1 A, 8700 Horsens
hnfond@hedenielsensfond.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales1 572.63
External services-1 927.20
Rents- 944.09
Gross profit-1 298.66-1 130.80-1 105.31-2 159.20- 977.33
Employee benefit expenses-1 227.39-1 327.30-1 331.13-1 359.02-1 607.24
Total depreciation- 123.33- 128.11- 130.59- 132.41- 125.25
EBIT-2 649.39-2 586.21-2 567.04-3 650.63-2 709.82
Other financial income5 783.2116 578.374 166.8415 681.0316 260.79
Other financial expenses-5 782.42-4 752.29-30 042.38- 525.42-2 561.96
Pre-tax profit-2 648.609 239.87-28 442.5811 504.9810 989.01
Income taxes6 323.06-2 534.23-2 376.52
Net earnings-2 648.609 239.87-22 119.528 970.768 612.49

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters32 704.5935 932.2532 493.2532 387.5832 284.39
Machinery and equipment157.33264.68239.75213.01190.94
Tangible assets total32 861.9136 196.9332 733.0032 600.5932 475.33
Participating interests30.0030.003 363.333 371.3330.00
Investments total30.0030.003 363.333 371.3330.00
Non-curr. owed by particip. interest comp.562.25562.25350.00350.00350.00
Non-current loans receivable167 261.52
Long term receivables total167 823.77562.25350.00350.00350.00
Finished products/goods105.00
Inventories total105.00
Prepayments and accrued income11.7213.6411.8611.8319.65
Current other receivables796.10689.70332.293 309.501 249.48
Current deferred tax assets874.37262.556 323.063 874.741 860.92
Short term receivables total1 682.19965.896 667.217 196.073 130.05
Other current investments185 243.80159 237.79178 770.99168 420.15
Cash and bank deposits24 362.5824 743.5916 810.032 435.292 649.74
Cash and cash equivalents24 362.58209 987.39176 047.83181 206.28171 069.89
Balance sheet total (assets)226 865.46247 742.46219 161.37224 724.26207 055.28

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital201 907.54201 907.54201 907.54150 000.00150 000.00
Other restricted equity10 000.0010 000.007 200.007 200.00
Retained earnings14 779.305 756.2219 024.1538 191.8140 652.19
Profit of the financial year-2 648.609 239.87-22 119.528 970.768 612.49
Shareholders equity total224 038.24226 903.62198 812.17204 362.57206 464.68
Non-current loans from credit institutions19 541.2519 541.2519 541.25
Non-current other liabilities400.22410.19438.26412.76397.20
Non-current liabilities total400.2219 951.4419 979.5119 954.01397.20
Current loans from credit institutions6.1919.86
Advances received219.48128.4399.1585.0043.60
Current trade creditors2 090.25621.58241.45263.48112.42
Current owed to participating0.14
Other non-interest bearing current liabilities111.07117.3929.0859.2037.37
Current liabilities total2 427.00887.39369.69407.68193.39
Balance sheet total (liabilities)226 865.46247 742.46219 161.37224 724.26207 055.28
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