BONE CONSULT A/S — Credit Rating and Financial Key Figures

CVR number: 35211543
K. Christensens Vej 2 D, 9200 Aalborg SV
ob@boneconsult.com
tel: 82306100
www.boneconsult.com
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit8 299.687 923.145 775.693 788.324 321.37
Employee benefit expenses-3 909.16-4 781.81-3 237.78-4 258.83-3 389.29
Other operating expenses-1.85
Total depreciation- 340.33-1 884.75-1 148.14-1 267.05-1 105.16
EBIT4 050.181 256.581 389.77-1 737.56- 174.93
Other financial income5.285.520.11
Other financial expenses-13.75-86.45-72.44- 146.53- 205.44
Pre-tax profit4 036.441 175.401 317.33-1 878.56- 380.26
Income taxes- 892.04- 269.52- 284.23417.9088.51
Net earnings3 144.40905.881 033.10-1 460.66- 291.75

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings67.2760.92
Machinery and equipment3 278.252 687.263 353.392 116.651 017.83
Tangible assets total3 278.252 687.263 353.392 183.921 078.75
Investments total88.5975.5291.22146.97142.14
Long term receivables total
Finished products/goods431.68297.83167.48434.09272.86
Inventories total431.68297.83167.48434.09272.86
Current trade debtors2 745.962 949.091 808.252 136.382 683.46
Current amounts owed by group member comp.11.3721.19
Prepayments and accrued income147.0371.5842.14269.87186.00
Current other receivables18.87128.9352.26
Current deferred tax assets140.20173.97528.00589.21
Short term receivables total2 911.863 160.872 024.363 074.553 532.12
Cash and bank deposits1 242.38538.3474.2181.55106.77
Cash and cash equivalents1 242.38538.3474.2181.55106.77
Balance sheet total (assets)7 952.766 759.815 710.655 921.075 132.65

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital501.00501.00501.00501.00501.00
Shares repurchased226.00228.801 000.00
Retained earnings- 226.00- 228.80- 322.92710.18- 750.48
Profit of the financial year3 144.40905.881 033.10-1 460.66- 291.75
Shareholders equity total3 645.401 406.882 211.18- 249.48- 541.23
Provisions54.57
Non-current owed to group member2 500.001 000.00
Non-current other liabilities98.26
Non-current liabilities total98.262 500.001 000.00
Current loans from credit institutions313.311 058.221 655.49
Current trade creditors1 635.77314.662 383.881 436.051 328.59
Current owed to participating1 091.0227.7278.75
Current owed to group member1 091.0243.45
Short-term deferred tax liabilities613.60246.29
Other non-interest bearing current liabilities1 860.122 609.93466.31633.76630.13
Accruals and deferred income45.04264.79463.771 059.66
Current liabilities total4 154.535 352.933 499.473 670.554 673.87
Balance sheet total (liabilities)7 952.766 759.815 710.655 921.075 132.65
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