OVE ERIKSEN ApS — Credit Rating and Financial Key Figures

CVR number: 28298684
Askebyvej 60, Særslev 5471 Søndersø
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit1 592.322 990.532 335.841 681.343 448.76
Employee benefit expenses-98.08- 544.80- 330.11- 241.84- 275.00
Other operating expenses- 235.66-40.00- 315.65
Total depreciation- 122.40- 365.68- 348.86- 350.73- 331.22
Reduction in value of non-current assets-48.60-42.90
EBIT1 136.182 080.051 616.871 088.762 526.89
Other financial income21.8226.5711.523.4349.55
Other financial expenses- 295.82- 448.75- 424.53-1 086.86-1 228.70
Net income from associates (fin.)0.2796.3791.98-16.11
Pre-tax profit862.181 658.131 300.2497.311 331.63
Income taxes- 207.27- 409.79- 314.48-71.38287.29
Net earnings654.901 248.35985.7625.931 618.91

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights40.00
Intangible assets total40.00
Land and waters12 744.6422 244.6422 244.6422 244.6410 459.76
Buildings3 466.808 922.898 668.028 353.686 906.64
Tangible assets total16 211.4431 167.5230 912.6630 598.3217 366.39
Participating interests86.57531.09607.64664.94606.98
Investments total86.57531.09607.64664.94606.98
Long term receivables total
Semifinished products75.1089.82107.1666.2656.00
Raw materials and consumables201.60279.11274.6883.2082.01
Finished products/goods847.60750.00644.501 120.00502.50
Inventories total1 124.301 118.931 026.341 269.46640.51
Current trade debtors54.75859.1980.72127.7542.85
Current other receivables69.8269.8213.74226.91
Short term receivables total124.56929.0080.72141.48269.76
Cash and bank deposits112.75785.441.171 841.69
Cash and cash equivalents112.75785.441.171 841.69
Balance sheet total (assets)17 546.8733 899.2933 412.7932 675.3620 725.34

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital125.00125.00125.00125.00130.00
Share premium account3 669.59
Shares repurchased250.00
Retained earnings414.38881.055 798.986 784.746 555.67
Profit of the financial year654.901 248.35985.7625.931 618.91
Shareholders equity total1 194.285 923.986 909.746 935.678 554.59
Provisions121.371 525.391 477.071 525.801 238.51
Non-current loans from credit institutions8 674.9418 681.9718 093.4717 354.577 752.65
Non-current liabilities total8 674.9418 681.9718 093.4717 354.577 752.65
Current loans from credit institutions432.85575.47569.971 026.00245.00
Current trade creditors142.7841.6746.8099.6575.02
Current owed to participating5 522.292 738.66
Current owed to group member850.52761.80652.56
Other non-interest bearing current liabilities6 130.136 389.015 663.19211.39120.91
Current liabilities total7 556.277 767.946 932.516 859.323 179.59
Balance sheet total (liabilities)17 546.8733 899.2933 412.7932 675.3620 725.34
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