Copied
 
 
2023, DKK
06.05.2024
Bruttoresultat

12.580'

Primær drift
Na.
Årets resultat

4.062'

Aktiver

59.760'

Kortfristede aktiver

35.373'

Egenkapital

47.772'

Afkastningsgrad

0 %

Soliditetsgrad

80 %

Likviditetsgrad

295 %

Resultat
06.05.2024
Årsrapport
2023
06.05.2024
2022
30.06.2023
2021
28.06.2022
2020
12.03.2021
2019
14.05.2020
2018
15.05.2019
2017
16.05.2018
2016
29.05.2017
2015
31.05.2016
Nettoomsætning
Bruttoresultat12.579.62911.161.14111.979.21211.627.19910.741.50913.078.97912.404.17312.779.6540
Resultat af primær drift004.040.2824.343.7903.383.5365.040.8804.450.2775.642.1610
Indtægter af kapitalandele (tilknyttede og associerede) 000000000
Finansielle indtægter409.896181.738119.387104.916109.00564.26953.37840.2170
Finansieringsomkostninger-17.241-73.470-89.892-89.953-69.725-60.998-41.238-48.484-17.930
Andre finansielle omkostninger000000000
Resultat før skat5.189.1583.588.4884.069.7774.358.7533.422.8165.044.1514.462.4175.633.8943.268.530
Resultat4.061.7612.798.4073.171.1933.386.5732.655.7173.919.3863.462.9314.377.3882.483.323
Forslag til udbytte000000000
Aktiver
06.05.2024
Årsrapport
2023
06.05.2024
2022
30.06.2023
2021
28.06.2022
2020
12.03.2021
2019
14.05.2020
2018
15.05.2019
2017
16.05.2018
2016
29.05.2017
2015
31.05.2016
Kortfristede varebeholdninger017.196.31210.217.34412.244.55913.385.04917.958.91216.986.94815.220.63711.137.428
Kortfristede tilgodehavender fra salg og tjenesteydelser 6.551.16228.182.2534.709.76722.345.08021.352.63117.222.25814.422.46214.210.9824.481.789
Likvider15.103.9517.497.2878.816.95911.860.0926.263.7967.003.6952.497.8101.128.15110.425.245
Kortfristede aktiver35.373.29252.875.85223.744.07046.449.73141.001.47642.184.86533.907.22030.559.77026.044.462
Immaterielle aktiver og goodwill00035.32273.979162.781255.74500
Finansielle anlægsaktiver0024.036.020000000
Materielle aktiver105.805179.414298.429229.219227.779617.7411.088.2911.582.8281.834.516
Langfristede aktiver24.386.711179.41424.334.449264.541301.758780.5221.344.0361.582.8281.834.516
Aktiver59.760.00353.055.26648.078.51946.714.27241.303.23442.965.38735.251.25632.142.59827.878.978
Aktiver
06.05.2024
Passiver
06.05.2024
Årsrapport
2023
06.05.2024
2022
30.06.2023
2021
28.06.2022
2020
12.03.2021
2019
14.05.2020
2018
15.05.2019
2017
16.05.2018
2016
29.05.2017
2015
31.05.2016
Forslag til udbytte000000000
Egenkapital47.771.78343.768.14141.322.43937.747.64034.554.78131.736.18727.417.09024.908.08920.060.085
Hensatte forpligtelser0000037.06987.18074.63494.204
Langfristet gæld til banker000000000
Anden langfristet gæld000192.6490000
Leverandører af varer og tjenesteydelser8.108.4326.508.9103.436.3113.021.0393.854.3867.617.5364.062.3922.824.4894.352.517
Kortfristede forpligtelser11.988.2209.287.1256.756.0808.966.6326.555.80411.192.1317.746.9867.159.8757.724.689
Gældsforpligtelser006.756.0808.966.6326.748.45311.192.1317.746.9867.159.8757.724.689
Forpligtelser006.756.0808.966.6326.748.45311.192.1317.746.9867.159.8757.724.689
Passiver59.760.00353.055.26648.078.51946.714.27241.303.23442.965.38735.251.25632.142.59827.878.978
Passiver
06.05.2024
Nøgletal
06.05.2024
Årsrapport
2023
06.05.2024
2022
30.06.2023
2021
28.06.2022
2020
12.03.2021
2019
14.05.2020
2018
15.05.2019
2017
16.05.2018
2016
29.05.2017
2015
31.05.2016
Afkastningsgrad Na.Na.8,4 %9,3 %8,2 %11,7 %12,6 %17,6 %Na.
Dækningsgrad Na.Na.Na.Na.Na.Na.Na.Na.Na.
Resultatgrad Na.Na.Na.Na.Na.Na.Na.Na.Na.
Varelagerets omsætningshastighed Na.Na.Na.Na.Na.Na.Na.Na.Na.
Egenkapitals-forretning 8,5 %6,4 %7,7 %9,0 %7,7 %12,3 %12,6 %17,6 %12,4 %
Payout-ratio Na.Na.Na.Na.Na.Na.Na.Na.Na.
Gældsdæknings-nøgletal Na.Na.4.494,6 %4.829,0 %4.852,7 %8.264,0 %10.791,7 %11.637,2 %Na.
Soliditestgrad 79,9 %82,5 %85,9 %80,8 %83,7 %73,9 %77,8 %77,5 %72,0 %
Likviditetsgrad 295,1 %569,3 %351,4 %518,0 %625,4 %376,9 %437,7 %426,8 %337,2 %
Resultat
06.05.2024
Gæld
06.05.2024
Årsrapport
06.05.2024
Nyeste:01.01.2023- 31.12.2023(offentliggjort: 06.05.2024)
Oplysning om pantsætninger og sikkerhedsstillelser:As security for the Group's debt to banks, the Company has provided collateral in its assets at at total amount of DKK 17,000,000. The total carrying amount of the assets for which collateral has been provided, amounts to DKK 20,053,990 as per 31 December 2023. The collateral and the carrying amount of the financial captions can be divided as follows: Property, plant and equipment, DKK 105,805, Inventories, DKK 13,718,181, Trade receivables, DKK 6,230,004. The Company's equity represents DKK 43.710.023.
Beretning
06.05.2024
Statement by Management on the annual report
Identifikation af den godkendte årsrapport:The Board of Directors and the Executive Board have today discussed and approved the annual report for REESINK TURFCARE DK A/S for the financial year 1 January - 31 December 2023.
Management's review
Beskrivelse af virksomhedens væsentligste aktiviteter: Principal activities The Company imports and markets quality equipment for lawn care in the form of TORO products for commercial and private use, which are offered through the Company's sales channels, especially on the Danish market.