BUDDE SCHOU A/S — Credit Rating and Financial Key Figures

CVR number: 21477737
Dronningens Tværgade 30, 1302 København K
info@buddeschou.dk
tel: 70250901
www.buddeschou.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit27 197.0828 542.0028 382.5030 227.8528 921.70
Employee benefit expenses-21 722.36-23 887.26-24 157.28-24 180.75-24 484.37
Total depreciation-77.60- 113.61- 122.26- 110.09-65.28
EBIT5 397.124 541.124 102.965 937.014 372.05
Other financial income335.90389.12271.73241.10180.88
Other financial expenses- 201.22- 199.08- 306.26- 417.11- 432.13
Net income from associates (fin.)-3.54-18.87-13.26
Pre-tax profit5 528.264 712.284 055.175 761.004 120.80
Income taxes-1 217.42-1 046.53- 149.81-1 275.90- 900.04
Net earnings4 310.843 665.753 905.364 485.103 220.76

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings115.8275.4735.12
Machinery and equipment330.97518.84436.93361.95296.67
Tangible assets total446.79594.31472.04361.95296.67
Holdings in group member companies1 031.84993.75
Investments total1 031.84993.75
Non-current other receivables2 016.862 715.232 143.831 741.421 558.31
Long term receivables total2 016.862 715.232 143.831 741.421 558.31
Inventories total
Current trade debtors13 242.9913 310.2913 063.7116 742.0814 217.37
Current amounts owed by group member comp.17.7517.75
Prepayments and accrued income296.46160.25294.82193.39230.69
Current other receivables3 217.652 367.042 301.375 195.014 457.94
Current deferred tax assets7.94325.89
Short term receivables total16 782.7815 855.3315 659.9022 456.3618 906.01
Cash and bank deposits905.31675.28724.40
Cash and cash equivalents905.31675.28724.40
Balance sheet total (assets)21 183.5820 833.9019 000.1724 559.7320 760.98

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital1 000.001 000.001 000.001 000.001 000.00
Shares repurchased4 387.283 646.533 905.364 485.103 220.76
Retained earnings-2 310.84-1 665.75-1 905.36-2 485.10-1 220.76
Profit of the financial year4 310.843 665.753 905.364 485.103 220.76
Shareholders equity total7 387.286 646.536 905.367 485.106 220.76
Provisions64.7675.35163.7370.09
Non-current other liabilities1 621.431 657.10
Non-current deferred tax liabilities1 034.76973.841 730.312 696.892 528.89
Non-current liabilities total2 656.192 630.951 730.312 696.892 528.89
Current loans from credit institutions5 964.764 564.703 335.454 349.274 558.15
Current trade creditors1 428.692 037.312 705.686 570.654 481.66
Current owed to participating1 727.181 048.21392.82471.60
Other non-interest bearing current liabilities3 746.653 162.473 199.822 901.282 429.83
Current liabilities total11 140.1111 491.6610 289.1614 214.0211 941.24
Balance sheet total (liabilities)21 183.5820 833.9019 000.1724 559.7320 760.98
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