MAX JESSEN A/S — Credit Rating and Financial Key Figures

CVR number: 31286328
Industrivej 2, 9575 Terndrup
lau@ilva.dk
tel: 98336111
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit11 376.5613 004.8110 184.058 919.4810 028.28
Employee benefit expenses-8 162.17-10 159.36-9 806.87-8 428.01-9 556.01
Total depreciation- 188.09- 208.51- 208.44- 312.66- 405.28
EBIT3 026.312 636.94168.74178.8166.99
Other financial income17.776.146.812.2719.82
Other financial expenses- 149.48-51.65- 101.25- 109.40-47.34
Pre-tax profit2 894.602 591.4374.3071.6839.48
Income taxes- 640.28- 577.59-18.29-19.89-9.87
Net earnings2 254.322 013.8456.0151.7929.60

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights162.85483.24353.25
Intangible assets total162.85483.24353.25
Machinery and equipment967.70759.20845.76634.21506.70
Tangible assets total967.70759.20845.76634.21506.70
Investments total901.70901.70901.70901.70901.70
Long term receivables total
Finished products/goods15 612.9217 434.3016 614.9616 765.7215 959.15
Inventories total15 612.9217 434.3016 614.9616 765.7215 959.15
Current trade debtors2 211.841 366.00835.67784.241 423.12
Current amounts owed by group member comp.756.42183.98
Prepayments and accrued income260.00217.50261.99
Current other receivables172.19622.47365.69293.8318.68
Current deferred tax assets5.27
Short term receivables total3 140.461 988.471 466.631 295.571 887.76
Cash and bank deposits3 660.5342.7424.48320.0320.98
Cash and cash equivalents3 660.5342.7424.48320.0320.98
Balance sheet total (assets)24 283.3221 126.4220 016.3820 400.4719 629.55

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital510.00510.00510.00510.00510.00
Shares repurchased2 000.001 000.00
Retained earnings4 485.225 739.537 753.387 809.397 861.18
Profit of the financial year2 254.322 013.8456.0151.7929.60
Shareholders equity total9 249.539 263.388 319.398 371.188 400.78
Provisions22.3120.9344.4932.660.44
Non-current loans from credit institutions240.77179.65
Non-current leasing loans118.6757.55
Non-current other liabilities440.27402.62
Non-current deferred tax liabilities416.70429.62452.37
Non-current liabilities total681.05582.26535.38487.17452.37
Current loans from credit institutions61.131 933.222 172.27183.66907.49
Current trade creditors5 016.004 088.242 714.683 545.393 789.75
Current owed to group member269.022 996.763 001.42
Short-term deferred tax liabilities633.69578.9731.7342.10
Other non-interest bearing current liabilities8 619.604 390.403 233.414 747.266 036.63
Current liabilities total14 330.4211 259.8511 117.1211 509.4610 775.97
Balance sheet total (liabilities)24 283.3221 126.4220 016.3820 400.4719 629.55
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