STYROMATIC A/S — Credit Rating and Financial Key Figures

CVR number: 76563314
Sintrupvej 25 A, 8220 Brabrand
tel: 87453111

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit27 888.6034 241.6141 048.8733 120.4736 173.53
Employee benefit expenses-23 791.92-28 069.56-34 326.07-31 719.65-27 100.62
Other operating expenses-4.66-57.05
Total depreciation-2 079.37-1 846.48-2 099.32-2 633.44-2 598.84
EBIT2 012.654 325.574 566.42-1 232.626 474.07
Other financial income432.411 403.881 675.871 195.084 495.68
Other financial expenses-2 544.73-1 921.08-8 980.18-4 526.96-2 370.82
Net income from associates (fin.)3 317.244 561.555 786.948 133.35-14.25
Pre-tax profit3 217.578 369.923 049.053 568.858 584.68
Income taxes2.79-1 077.43548.44381.14- 378.25
Net earnings3 220.367 292.493 597.493 949.998 206.43

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure172.30371.90822.97680.54511.80
Intangible rights53.6725.67858.74600.74
Goodwill2 000.251 787.771 575.301 362.831 150.67
Intangible assets total2 226.222 185.342 398.262 902.112 263.21
Buildings13.516.75
Machinery and equipment6 580.885 048.437 874.606 831.335 203.34
Advance payments and construction in progress465.66688.96
Tangible assets total7 046.545 737.407 874.606 844.845 210.09
Holdings in group member companies32 237.9538 158.5541 981.1049 163.3950 704.58
Investments total32 237.9538 158.5541 981.1049 163.3950 704.58
Non-curr. owed by group member comp.5 123.635 339.814 235.80
Long term receivables total5 123.635 339.814 235.80
Semifinished products3 107.955 332.195 493.234 139.411 009.81
Raw materials and consumables18 670.5332 454.3134 455.9125 451.6821 469.26
Finished products/goods17 947.1112 703.7517 090.7019 078.6120 644.79
Advance payments57.75418.7162.28123.106.11
Inventories total39 783.3450 908.9557 102.1348 792.8043 129.97
Current trade debtors32 363.8444 248.0246 365.8537 493.7740 091.66
Current amounts owed by group member comp.9 776.8229 910.6917 022.221 754.647 052.89
Prepayments and accrued income875.62890.18914.411 220.11892.63
Current other receivables1 642.852 090.62433.56368.291 379.56
Current deferred tax assets56.47548.78
Short term receivables total44 659.1277 139.5164 736.0540 893.2749 965.52
Other current investments2.302.302.3014.4016.67
Cash and bank deposits660.60311.9530.3216.0698.64
Cash and cash equivalents662.89314.2532.6230.46115.31
Balance sheet total (assets)131 739.69179 783.78178 360.55148 626.88151 388.68

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital1 600.001 600.001 600.001 600.001 600.00
Shares repurchased6 000.00
Other reserves2 922.468 939.5913 098.0620 240.7919 836.29
Retained earnings50 557.0149 060.1450 213.8545 789.3843 753.62
Profit of the financial year3 220.367 292.493 597.493 949.998 206.43
Shareholders equity total58 299.8466 892.2268 509.4071 580.1679 396.34
Provisions666.43488.96270.70270.70
Non-current loans from credit institutions8 712.7210 264.764 420.001 160.00
Non-current leasing loans3 619.162 674.124 119.992 671.321 676.48
Non-current other liabilities3 062.982 721.69
Non-current deferred tax liabilities2 747.712 771.012 740.76
Non-current liabilities total15 394.8615 660.5711 287.706 602.334 417.23
Current loans from credit institutions38 830.4763 225.3251 888.8340 637.2832 278.45
Advances received635.88162.63178.47
Current trade creditors10 062.5223 057.9015 470.1910 835.657 792.98
Current owed to group member502.8421 311.8112 000.0015 679.02
Short-term deferred tax liabilities42.92455.78397.5861.34
Other non-interest bearing current liabilities7 806.789 337.579 045.886 592.2111 823.93
Accruals and deferred income317.920.72
Current liabilities total57 378.5796 742.0498 292.7670 444.3967 575.10
Balance sheet total (liabilities)131 739.69179 783.78178 360.55148 897.58151 388.68
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