SGI Wholesale & Invest A/S — Credit Rating and Financial Key Figures

CVR number: 28712707
Agerskellet 2, 8920 Randers NV
sand@sand-europe.dk
tel: 87113290
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit14 810.0021 794.0041 521.0042 643.6040 097.30
Employee benefit expenses-22 221.00-20 470.00-20 631.00-22 898.34-20 254.64
Total depreciation-6 412.00-4 247.00-3 137.00-2 016.64-1 572.61
EBIT-13 823.00-2 923.0017 753.0017 728.6218 270.06
Other financial income20 334.0019 041.0010 307.0026 648.0135 591.50
Other financial expenses-1 222.00- 694.00-4 740.00-5 799.98-6 843.28
Pre-tax profit5 289.0015 424.0023 320.0038 576.6547 018.28
Income taxes-1 171.00-2 438.00-5 696.00-8 427.33-10 367.57
Net earnings4 118.0012 986.0017 624.0030 149.3236 650.71

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings7 856.004 152.003 194.001 775.251 084.25
Machinery and equipment591.00345.00358.00426.18635.18
Tangible assets total8 447.004 497.003 552.002 201.431 719.43
Investments total2 866.001 013.001 009.001 009.60852.08
Long term receivables total
Raw materials and consumables3 145.004 696.008 679.007 556.79
Finished products/goods49 906.0033 151.0028 121.0052 446.5046 130.32
Advance payments1 412.00864.00295.15
Inventories total49 906.0037 708.0033 681.0061 125.5053 982.26
Current trade debtors22 293.0016 088.0020 877.0022 352.5516 875.05
Current amounts owed by group member comp.55 261.0061 612.0087 379.0064 044.1968 323.62
Prepayments and accrued income5 775.006 817.006 371.009 671.799 301.26
Current other receivables200 733.00221 658.00235 693.00251 294.18280 714.86
Short term receivables total284 062.00306 175.00350 320.00347 362.71375 214.79
Other current investments12 650.0015 684.4123 979.00
Cash and bank deposits4 984.007 929.008 694.001 815.803 617.25
Cash and cash equivalents4 984.007 929.0021 344.0017 500.2127 596.25
Balance sheet total (assets)350 265.00357 322.00409 906.00429 199.45459 364.81

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital25 000.0025 000.0025 000.0025 000.0025 000.00
Retained earnings267 501.00271 619.00284 605.00302 228.74332 378.06
Profit of the financial year4 118.0012 986.0017 624.0030 149.3236 650.71
Shareholders equity total296 619.00309 605.00327 229.00357 378.06394 028.77
Provisions1 303.00687.00451.001 029.001 074.00
Non-current accruals and deferred income3 750.002 750.001 750.00750.00
Non-current deferred tax liabilities1 739.001 739.00
Non-current liabilities total1 739.005 489.002 750.001 750.00750.00
Current loans from credit institutions28 881.0012 572.0028 350.0037 990.0635 526.62
Advances received3 118.001 146.002 152.592 307.73
Current trade creditors15 906.0014 885.0014 572.0019 487.5215 790.42
Current owed to participating228.00261.001 635.0092.38527.52
Current owed to group member40.003 749.0027 344.0040.0040.00
Short-term deferred tax liabilities1 562.001 172.004 188.006 625.867 685.82
Other non-interest bearing current liabilities3 987.005 784.002 241.002 653.991 633.93
Current liabilities total50 604.0041 541.0079 476.0069 042.3863 512.04
Balance sheet total (liabilities)350 265.00357 322.00409 906.00429 199.45459 364.81
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