Norslund ApS — Credit Rating and Financial Key Figures

CVR number: 38109634
Starupvej 225, 8340 Malling
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit-2 370.36-2 105.36-2 725.72-2 483.76-3 038.13
Employee benefit expenses- 648.53-1 028.35-1 627.56-2 273.05-2 632.30
Total depreciation-1 906.95-2 195.43-2 422.31-2 431.57-3 240.03
EBIT-4 925.84-5 329.14-6 775.59-7 188.38-8 910.46
Other financial income-87.08-92.350.36
Other financial expenses-2 056.73-1 986.23-1 944.71-3 166.08-4 083.95
Pre-tax profit-7 069.65-7 315.37-8 812.65-10 354.45-12 994.05
Income taxes1 555.321 617.411 947.682 283.882 863.05
Net earnings-5 514.33-5 697.96-6 864.97-8 070.58-10 130.99

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters130 963.43139 919.83156 793.52182 156.56193 791.02
Machinery and equipment1 875.822 258.741 800.491 569.97784.37
Tangible assets total132 839.25142 178.57158 594.01183 726.53194 575.40
Investments total37.9037.9037.9037.9037.90
Long term receivables total
Other stocks5 110.435 335.436 195.435 611.436 118.52
Finished products/goods20.0020.0020.0020.00
Inventories total5 130.435 355.436 215.435 631.436 118.52
Current trade debtors125.7414.7498.33
Prepayments and accrued income128.2630.0030.00246.21379.79
Current other receivables4 010.142 782.541 822.97354.522 469.64
Current deferred tax assets1 825.622 192.372 865.425 149.296 458.00
Short term receivables total5 964.025 130.644 733.135 750.029 405.76
Balance sheet total (assets)143 971.60152 702.54169 580.47195 145.88210 137.57

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital100.00100.00100.00100.00100.00
Retained earnings229.5444 715.2139 017.2532 152.28124 081.70
Profit of the financial year-5 514.33-5 697.96-6 864.97-8 070.58-10 130.99
Shareholders equity total-5 184.7939 117.2532 252.2824 181.70114 050.71
Non-current loans from credit institutions30 696.8130 786.6530 879.0030 879.0030 879.00
Non-current liabilities total30 696.8130 786.6530 879.0030 879.0030 879.00
Current loans from credit institutions27 506.1027 919.491 183.3128 315.2625 965.57
Current trade creditors2 597.344 926.174 302.531 545.823 355.92
Current owed to participating3.422.382.383.05
Current owed to group member88 192.9749 780.05100 893.15109 910.3035 784.84
Other non-interest bearing current liabilities163.16169.5367.83311.4298.48
Current liabilities total118 459.5882 798.64106 449.19140 085.1865 207.86
Balance sheet total (liabilities)143 971.60152 702.54169 580.47195 145.88210 137.57
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