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A/S O.V. JØRGENSEN. HUNDESTED FISKEEXPORT — Credit Rating and Financial Key Figures

CVR number: 20106093
Færgevejen 2, 3390 Hundested
tel: 47940801
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit17 648.6114 187.0118 183.2014 387.8314 978.70
Employee benefit expenses-17 019.23-16 874.58-16 233.82-17 534.42-16 215.87
Other operating expenses-73.75
Total depreciation-1 172.15-1 098.70- 975.40-1 940.98- 775.17
EBIT- 542.77-3 786.26973.98-5 161.32-2 012.35
Other financial income107.5265.7534.7752.0918.06
Other financial expenses- 447.14- 332.20- 226.85- 418.54- 427.36
Pre-tax profit- 882.40-4 052.71781.90-5 527.77-2 421.65
Income taxes207.10312.99684.07
Net earnings- 675.30-4 052.71781.90-5 214.77-1 737.58

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights131.6589.67
Goodwill27.00
Intangible assets total158.6589.67
Buildings1 273.311 520.801 144.77815.09392.66
Machinery and equipment2 141.852 273.222 310.841 289.17201.42
Tangible assets total3 415.163 794.023 455.602 104.25594.08
Investments total
Long term receivables total
Raw materials and consumables279.49309.07175.03142.99169.83
Finished products/goods1 275.051 204.37915.761 024.01292.16
Inventories total1 554.541 513.441 090.791 167.00461.99
Current trade debtors7 975.666 382.535 633.544 673.222 786.67
Current amounts owed by group member comp.479.73110.70312.99
Prepayments and accrued income184.31177.49486.43212.2558.24
Current other receivables298.15187.11287.93258.555.66
Current deferred tax assets353.25455.6218.74312.99684.07
Short term receivables total9 291.117 313.456 426.645 457.013 847.62
Cash and bank deposits240.95149.143 304.56581.142 391.78
Cash and cash equivalents240.95149.143 304.56581.142 391.78
Balance sheet total (assets)14 660.4212 859.7214 277.609 309.407 295.47

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital700.00700.00700.00700.00700.00
Retained earnings2 751.403 876.101 323.404 805.302 647.77
Profit of the financial year- 675.30-4 052.71781.90-5 214.77-1 737.58
Shareholders equity total2 776.10523.402 805.30290.521 610.19
Non-current leasing loans2 783.342 974.562 788.372 556.17874.94
Non-current liabilities total2 783.342 974.562 788.372 556.17874.94
Current loans from credit institutions1 651.363 177.39841.41846.51447.00
Current trade creditors4 341.674 616.373 567.293 258.491 941.87
Current owed to group member162.982 358.49715.221 182.39
Other non-interest bearing current liabilities2 944.971 568.011 916.741 642.491 239.08
Current liabilities total9 100.989 361.778 683.936 462.714 810.35
Balance sheet total (liabilities)14 660.4212 859.7214 277.609 309.407 295.47
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