Tresu Investment Holding A/S — Credit Rating and Financial Key Figures

CVR number: 37553727
Venusvej 44, Bramdrup 6000 Kolding

Income statement (mDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales302.09340.92359.04388.78339.98
Costs of manufacturing- 284.93- 317.72- 427.64- 497.46- 365.38
Gross profit17.1623.19-68.61- 108.68-25.40
Costs of management-45.83-33.93-43.54-37.76-40.28
Costs of distribution-38.45-41.69-45.15-42.44-41.46
Other operating expenses3.790.442.07-0.070.99
EBIT-63.34-51.99- 155.23- 188.94- 106.15
Other financial income3.7354.720.613.720.16
Other financial expenses-33.27-42.42-33.90-54.19-58.42
Pre-tax profit-92.88-39.69- 188.52- 239.41- 164.41
Income taxes18.208.2023.2124.1817.49
Net earnings-74.67-31.48- 165.31- 215.23- 146.92

Assets (mDKK)

2020
2021
2022
2023
2024
Intangible rights345.33294.80252.08189.26117.79
Goodwill174.00174.0099.00
Intangible assets total519.33468.80351.08189.26117.79
Machinery and equipment39.4033.7428.9924.2716.91
Other tangible assets105.2295.0790.6784.7076.23
Tangible assets total144.62128.81119.66108.9693.14
Other non-current investments10.0810.0310.1110.1910.25
Investments total10.0810.0310.1110.1910.25
Long term receivables total
Inventories total60.6756.6073.2479.8452.56
Current trade debtors29.0548.2338.5547.7936.94
Current owed by particip. interest comp.0.48
Prepayments and accrued income13.4325.6822.319.188.61
Current other receivables7.972.764.583.474.37
Current deferred tax assets5.9017.752.32
Short term receivables total56.3576.6765.4478.6752.23
Cash and bank deposits16.4917.5723.683.985.57
Cash and cash equivalents16.4917.5723.683.985.57
Non-current assets for sale8.003.50
Balance sheet total (assets)815.53761.98643.22470.90331.54

Equity and liabilities (mDKK)

2020
2021
2022
2023
2024
Share capital2.922.922.922.922.92
Other reserves3.503.743.312.393.34
Retained earnings17.5412.8811.14- 134.85- 350.08
Profit of the financial year-74.67-31.48- 165.31- 215.23- 146.92
Shareholders equity total-50.71-11.95- 147.93- 344.76- 490.74
Non-current bonds518.32429.49434.21444.75485.76
Non-current leasing loans90.9282.5678.4072.3366.96
Non-current owed to participating64.9771.34
Provisions3.11
Non-current other liabilities8.338.338.538.788.93
Non-current deferred tax liabilities83.1860.3551.3437.6917.57
Non-current liabilities total703.86580.73572.49628.52650.56
Current loans from credit institutions41.5336.3619.6940.9365.92
Current leasing loans11.2810.9510.4210.5911.11
Advances received19.0643.928.829.8816.48
Current trade creditors20.2238.7240.1343.7827.05
Current owed to group member8.000.030.250.250.25
Short-term deferred tax liabilities0.419.027.861.430.37
Other non-interest bearing current liabilities40.4426.3528.4628.0324.39
Current provisions8.4619.894.803.86
Accruals and deferred income21.4519.4083.1347.4522.30
Current liabilities total162.39193.20218.66187.14171.72
Balance sheet total (liabilities)815.53761.98643.22470.90331.54
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