NORDSTRAND FISKERI ApS — Credit Rating and Financial Key Figures

CVR number: 35390634
Østerbyvej 44, 9990 Skagen
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit69 797.259 918.9716 566.655 499.536 219.92
Employee benefit expenses-5 997.58-6 735.30-1 530.65- 853.41- 857.66
Total depreciation-7 414.43-7 417.02-4 470.03-4 843.64-3 837.44
EBIT56 385.23-4 233.3510 565.96- 197.511 524.82
Other financial income798.02
Other financial expenses-9 152.55-3 242.10-5 533.01-1 868.99-2 553.07
Reduction non-current investment assets-3 351.83-2 023.00-1 271.00
Pre-tax profit44 678.87-9 498.445 032.95-2 066.51-2 299.25
Income taxes-10 568.591 600.64-1 107.42454.63226.21
Net earnings34 110.28-7 897.803 925.53-1 611.88-2 073.03

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights103 542.01100 528.7897 515.5694 502.3391 489.10
Intangible assets total103 542.01100 528.7897 515.5694 502.3391 489.10
Machinery and equipment61 403.8257 000.032 344.122 212.812 081.50
Tangible assets total61 403.8257 000.032 344.122 212.812 081.50
Holdings in group member companies4 050.002 027.001 271.001 271.00
Investments total4 050.002 027.001 273.001 273.002.00
Long term receivables total
Finished products/goods3 530.801 831.701 138.80
Inventories total3 530.801 831.701 138.80
Current trade debtors6 924.90833.401 647.313 017.993 112.32
Current other receivables21 362.0813 836.6735.031.58
Short term receivables total28 286.98833.4015 483.983 053.033 113.91
Cash and bank deposits116 822.495 304.713 425.351 774.941 594.10
Cash and cash equivalents116 822.495 304.713 425.351 774.941 594.10
Balance sheet total (assets)314 105.30165 693.93123 572.81104 647.8099 419.41

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital80.0080.0080.0080.0080.00
Shares repurchased1 000.00
Retained earnings1 738.3435 848.6227 950.8231 876.3530 264.47
Profit of the financial year34 110.28-7 897.803 925.53-1 611.88-2 073.03
Shareholders equity total36 928.6228 030.8231 956.3430 344.4728 271.43
Provisions6 281.914 681.275 788.695 334.064 489.83
Non-current owed to group member9 431.1010 207.499 451.7410 450.258 266.93
Non-current other liabilities229 937.49118 064.35
Non-current deferred tax liabilities72 669.4356 136.5056 655.39
Non-current liabilities total239 368.58128 271.8482 121.1766 586.7464 922.32
Current loans from credit institutions0.400.410.31
Current trade creditors781.952 790.393 082.521 738.24324.15
Current owed to participating740.40
Short-term deferred tax liabilities4 939.96618.02
Other non-interest bearing current liabilities25 804.281 178.82623.66643.98793.65
Current liabilities total31 526.194 710.013 706.592 382.531 735.82
Balance sheet total (liabilities)314 105.30165 693.93123 572.81104 647.8099 419.41
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