AG SNUS AKTIESELSKAB — Credit Rating and Financial Key Figures

CVR number: 32883044
Axeltorv 2, 1609 København V
agsnus@pmi.com
agsnus.com

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit35 435.0082 067.3151 209.8376 363.822 458.79
Employee benefit expenses-19 140.00-21 403.86-32 505.57-49 001.55-3 322.15
Other operating expenses-10.35
Total depreciation-5 758.00-5 414.29-7 135.00-19 992.21
EBIT10 537.0055 238.8011 569.277 370.05- 863.36
Other financial income65.60676.151 085.55
Other financial expenses- 177.00-45.59- 156.24-0.91-18.11
Net income from associates (fin.)625.00561.1942.39
Pre-tax profit10 985.0055 754.4011 521.028 045.30204.08
Income taxes-2 279.00-12 148.50-2 495.37-1 709.17-48.88
Net earnings8 706.0043 605.909 025.656 336.13155.20

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings14 142.0017 824.5815 914.61
Machinery and equipment489.00703.34362.90
Tangible assets total14 631.0018 527.9216 277.51
Holdings in group member companies1 651.002 212.24
Investments total1 651.002 212.24
Long term receivables total
Semifinished products666.00575.90442.61
Raw materials and consumables8 559.005 261.316 973.00
Finished products/goods1 656.002 382.22532.99
Inventories total10 881.008 219.447 948.60
Current trade debtors14 016.008 545.690.20
Current amounts owed by group member comp.48 586.94171.3632 060.64
Current other receivables297.00346.183 122.93494.844.38
Short term receivables total14 313.0057 478.823 294.4932 555.484.38
Cash and bank deposits6 747.0016 901.4041 063.2833 475.7437 167.04
Cash and cash equivalents6 747.0016 901.4041 063.2833 475.7437 167.04
Balance sheet total (assets)48 223.00103 339.8268 583.8866 031.2137 171.42

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital7 500.007 500.007 500.007 500.007 500.00
Shares repurchased42 000.009 000.00
Retained earnings12 864.00-20 431.2013 991.4023 017.0429 353.17
Profit of the financial year8 706.0043 605.909 025.656 336.13155.20
Shareholders equity total29 070.0072 674.7139 517.0536 853.1737 008.37
Provisions351.00387.4231.15
Non-current liabilities total
Current trade creditors1 516.008 345.486 533.931 721.46
Current owed to group member12 972.90
Short-term deferred tax liabilities1 271.0010 682.022 851.651 740.3248.88
Other non-interest bearing current liabilities16 015.0011 250.196 677.2025 716.25114.16
Current liabilities total18 802.0030 277.6929 035.6829 178.04163.04
Balance sheet total (liabilities)48 223.00103 339.8268 583.8866 031.2137 171.42
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