Copied
 
 
2021, DKK
28.02.2022
Bruttoresultat

21.675'

Primær drift

-14.641'

Årets resultat

-13.179'

Aktiver

52.708'

Kortfristede aktiver

24.187'

Egenkapital

7.208'

Afkastningsgrad

-28 %

Soliditetsgrad

14 %

Likviditetsgrad

87 %

Resultat
28.02.2022
Årsrapport
2021
28.02.2022
2020
05.03.2021
2019
30.03.2020
2018
24.01.2019
2017
31.05.2018
2016
31.05.2017
2015
17.06.2016
Nettoomsætning
Bruttoresultat21.674.99637.061.63035.647.84533.750.20628.503.98425.188.71624.166.498
Resultat af primær drift-14.640.6741.124.9503.551.5455.931.100000
Indtægter af kapitalandele (tilknyttede og associerede) 0000000
Finansielle indtægter81311.272124.167033.5905.731
Finansieringsomkostninger-647.744-557.676-729.897-985.824000
Andre finansielle omkostninger0000-800.379-893.246-965.570
Resultat før skat-15.288.410567.2872.832.9205.069.443000
Resultat-13.178.650436.5852.063.7604.065.0631.730.9761.155.0371.072.119
Forslag til udbytte0-3.500.000-500.000-2.000.0000-500.0000
Aktiver
28.02.2022
Årsrapport
2021
28.02.2022
2020
05.03.2021
2019
30.03.2020
2018
24.01.2019
2017
31.05.2018
2016
31.05.2017
2015
17.06.2016
Kortfristede varebeholdninger1.238.3841.723.5421.291.832926.8351.126.8591.110.939967.246
Kortfristede tilgodehavender fra salg og tjenesteydelser 19.075.85125.956.90919.713.14917.587.49812.950.14420.727.32016.157.871
Likvider3.872.578067.048358.957308.00047.510133.513
Kortfristede aktiver24.186.81327.680.45121.072.02918.873.29014.385.00221.885.76917.258.630
Immaterielle aktiver og goodwill1.172.038000000
Finansielle anlægsaktiver979.500979.500979.500979.500000
Materielle aktiver26.369.83626.179.15827.453.10424.735.475000
Langfristede aktiver28.521.37427.158.65828.432.60425.714.97525.715.29321.417.13620.210.884
Aktiver52.708.18754.839.10949.504.63344.588.26540.100.29543.302.90637.469.514
Aktiver
28.02.2022
Passiver
28.02.2022
Årsrapport
2021
28.02.2022
2020
05.03.2021
2019
30.03.2020
2018
24.01.2019
2017
31.05.2018
2016
31.05.2017
2015
17.06.2016
Forslag til udbytte03.500.000500.0002.000.0000500.0000
Egenkapital7.208.24623.886.89623.933.70915.869.94711.804.8849.812.2878.657.250
Hensatte forpligtelser02.109.7602.368.0981.858.8461.641.3841.230.8561.017.280
Langfristet gæld til banker5.782.233000000
Anden langfristet gæld0000000
Leverandører af varer og tjenesteydelser2.262.8232.909.0894.354.5102.344.8794.069.4901.520.4681.346.940
Kortfristede forpligtelser27.878.38820.585.48115.494.02516.834.78718.590.72622.916.90618.211.763
Gældsforpligtelser45.499.94128.842.45323.202.82626.859.47226.654.02832.259.76327.794.984
Forpligtelser45.499.94128.842.45323.202.82626.859.47226.654.02832.259.76327.794.984
Passiver52.708.18754.839.10949.504.63344.588.26540.100.29543.302.90637.469.514
Passiver
28.02.2022
Nøgletal
28.02.2022
Årsrapport
2021
28.02.2022
2020
05.03.2021
2019
30.03.2020
2018
24.01.2019
2017
31.05.2018
2016
31.05.2017
2015
17.06.2016
Afkastningsgrad -27,8 %2,1 %7,2 %13,3 %Na.Na.Na.
Dækningsgrad Na.Na.Na.Na.Na.Na.Na.
Resultatgrad Na.Na.Na.Na.Na.Na.Na.
Varelagerets omsætningshastighed Na.Na.Na.Na.Na.Na.Na.
Egenkapitals-forretning -182,8 %1,8 %8,6 %25,6 %14,7 %11,8 %12,4 %
Payout-ratio Na.801,7 %24,2 %49,2 %Na.43,3 %Na.
Gældsdæknings-nøgletal -2.260,3 %201,7 %486,6 %601,6 %Na.Na.Na.
Soliditestgrad 13,7 %43,6 %48,3 %35,6 %29,4 %22,7 %23,1 %
Likviditetsgrad 86,8 %134,5 %136,0 %112,1 %77,4 %95,5 %94,8 %
Resultat
28.02.2022
Gæld
28.02.2022
Årsrapport
28.02.2022
Nyeste:01.01.2021- 31.12.2021(offentliggjort: 28.02.2022)
Information om virksomhedens regnskabsklasse:The annual report of Hjernø Værktøjsfabrik A/S for 2021 has been prepared in accordance with the provisions of the Danish Financial Statements Act applying to medium-sized enterprises of reporting class C. The accounting policies applied are consistent with those of last year. The annual report for 2021 is presented in DKK.
Oplysning om pantsætninger og sikkerhedsstillelser:For Hjernø Værktøjsfabrik A/S' account with Sparekassen Kronjylland, Hjernø Værktøjsfabrik A/S has given below as security: DKK 7,500,000, floating charge with security in the stock of raw materials, semimanufactures and finished goods, fuel and ancillary material, unsecured debts stemming from sale of goods and services, vehicles which are not or have not previously been registered, goodwill, domains, rights according to the Act of Patents, the Act of Trade Marks, the Act of Design, the Act of Utility Models, (typography), as well as operating fixtures and working plant. Book value of tangible fixed assets 31.12.2021 8,834 t.kr. Book value of raw materials 31.12.2021 1,238 t.kr. Book value of trade receivables 31.12.2021 15,890 t.kr.
Beretning
28.02.2022
Statement by Management on the annual report
Identifikation af den godkendte årsrapport:The Board of Directors and Executive Board have today discussed and approved the annual report of Hjernø Værktøjsfabrik A/S for the financial year 1 January - 31 December 2021.
Management's review
Beskrivelse af virksomhedens væsentligste aktiviteter:Business activities The activities of Hjernø Tool Factory A/S comprise the manufacturing of advanced injection moulding tools for the plastics industry, as well as maintenance of and renovation of our customers' existing production tool.