Copied
 
 
2023, DKK
12.06.2024
Bruttoresultat

91.722'

Primær drift

14.785'

Årets resultat

12.448'

Aktiver

226''

Kortfristede aktiver

106''

Egenkapital

65.732'

Afkastningsgrad

7 %

Soliditetsgrad

29 %

Likviditetsgrad

262 %

Resultat
12.06.2024
Årsrapport
2023
12.06.2024
2022
15.06.2023
2021
23.05.2022
2020
25.05.2021
2019
09.06.2020
2018
28.05.2019
2017
28.05.2018
2016
30.05.2017
2015
26.05.2016
Nettoomsætning345.578.000323.267.000250.561.000240.723.000216.170.000227.143.000244.609.000241.229.000235.480.000
Bruttoresultat91.722.00078.242.000132.652.00076.402.00068.867.00072.072.00085.054.00085.050.00079.440.000
Resultat af primær drift14.785.00024.920.00083.843.00025.281.00017.457.00021.161.00038.323.00035.373.00029.619.000
Indtægter af kapitalandele (tilknyttede og associerede) 000000000
Finansielle indtægter1.019.000649.000384.000934.000480.000630.000454.000718.000844.000
Finansieringsomkostninger-6.656.000-2.740.000-2.401.000-4.201.000-4.254.000-4.422.000-4.327.000-4.056.000-4.481.000
Andre finansielle omkostninger000000000
Resultat før skat14.474.00027.981.00084.003.00027.030.00015.649.00019.333.00035.777.00035.867.00032.333.000
Resultat12.448.00023.146.00065.854.00021.971.00012.790.00015.501.00028.203.00028.891.00026.601.000
Forslag til udbytte-11.000.000-17.000.000-71.000.000-18.000.000-11.000.000-14.000.000-28.000.000-31.000.000-18.000.000
Aktiver
12.06.2024
Årsrapport
2023
12.06.2024
2022
15.06.2023
2021
23.05.2022
2020
25.05.2021
2019
09.06.2020
2018
28.05.2019
2017
28.05.2018
2016
30.05.2017
2015
26.05.2016
Kortfristede varebeholdninger41.157.00034.888.00030.950.00038.130.00026.747.00024.951.00023.719.00024.905.00026.250.000
Kortfristede tilgodehavender fra salg og tjenesteydelser 50.900.00061.668.00042.671.00036.416.00042.984.00043.334.00054.475.00047.834.00047.168.000
Likvider14.112.00015.726.00013.451.0008.873.00010.646.0008.128.00017.455.00010.234.0005.063.000
Kortfristede aktiver106.169.000112.282.00087.072.00083.419.00080.377.00076.413.00089.973.00082.973.00078.480.000
Immaterielle aktiver og goodwill000013.000237.000525.000720.00010.000
Finansielle anlægsaktiver49.226.00045.883.00045.591.00049.617.00046.687.00044.595.00045.014.00046.910.00044.654.000
Materielle aktiver70.711.00062.560.00048.524.00049.395.00053.210.00050.840.00053.426.00055.152.00059.135.000
Langfristede aktiver119.937.000108.443.00094.115.00099.012.00099.910.00095.672.00098.965.000102.782.000103.799.000
Aktiver226.106.000220.725.000181.187.000182.431.000180.287.000172.085.000188.938.000185.755.000182.279.000
Aktiver
12.06.2024
Passiver
12.06.2024
Årsrapport
2023
12.06.2024
2022
15.06.2023
2021
23.05.2022
2020
25.05.2021
2019
09.06.2020
2018
28.05.2019
2017
28.05.2018
2016
30.05.2017
2015
26.05.2016
Forslag til udbytte11.000.00017.000.00071.000.00018.000.00011.000.00014.000.00028.000.00031.000.00018.000.000
Egenkapital65.732.00072.240.000122.856.00073.873.00064.037.00065.200.00078.550.00083.331.00072.321.000
Hensatte forpligtelser19.803.0004.272.0004.069.0004.256.0004.543.0004.787.0005.246.0005.455.0005.771.000
Langfristet gæld til banker000000000
Anden langfristet gæld0001.196.0000000
Leverandører af varer og tjenesteydelser18.750.00018.980.00011.923.00013.984.00012.780.00018.246.00014.294.00010.331.00013.216.000
Kortfristede forpligtelser40.571.00064.213.00024.260.000104.185.00039.380.00031.319.00034.363.00026.190.00033.924.000
Gældsforpligtelser140.571.000144.213.00054.262.000104.302.000111.707.000102.098.000105.142.00096.969.000104.187.000
Forpligtelser140.571.000144.213.00054.262.000104.302.000111.707.000102.098.000105.142.00096.969.000104.187.000
Passiver226.106.000220.725.000181.187.000182.431.000180.287.000172.085.000188.938.000185.755.000182.279.000
Passiver
12.06.2024
Nøgletal
12.06.2024
Årsrapport
2023
12.06.2024
2022
15.06.2023
2021
23.05.2022
2020
25.05.2021
2019
09.06.2020
2018
28.05.2019
2017
28.05.2018
2016
30.05.2017
2015
26.05.2016
Afkastningsgrad 6,5 %11,3 %46,3 %13,9 %9,7 %12,3 %20,3 %19,0 %16,2 %
Dækningsgrad 26,5 %24,2 %52,9 %31,7 %31,9 %31,7 %34,8 %35,3 %33,7 %
Resultatgrad 3,6 %7,2 %26,3 %9,1 %5,9 %6,8 %11,5 %12,0 %11,3 %
Varelagerets omsætningshastighed 8,4 9,3 8,1 6,3 8,1 9,1 10,3 9,7 9,0
Egenkapitals-forretning 18,9 %32,0 %53,6 %29,7 %20,0 %23,8 %35,9 %34,7 %36,8 %
Payout-ratio 88,4 %73,4 %107,8 %81,9 %86,0 %90,3 %99,3 %107,3 %67,7 %
Gældsdæknings-nøgletal 222,1 %909,5 %3.492,0 %601,8 %410,4 %478,5 %885,7 %872,1 %661,0 %
Soliditestgrad 29,1 %32,7 %67,8 %40,5 %35,5 %37,9 %41,6 %44,9 %39,7 %
Likviditetsgrad 261,7 %174,9 %358,9 %80,1 %204,1 %244,0 %261,8 %316,8 %231,3 %
Resultat
12.06.2024
Gæld
12.06.2024
Årsrapport
12.06.2024
Nyeste:01.01.2023- 31.12.2023(offentliggjort: 12.06.2024)
Information om virksomhedens regnskabsklasse:The annual report of Faxe Kalk A/S for 2023 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 2023 is presented in TDKK
Beretning
12.06.2024
Beskrivelse af usikkerhed ved indregning eller måling:Recognition and measurement uncertainties It is recognized that measurement of raw materials and semi processed materials is inherently difficult in a quarry environment. The directors are confident that adequate controls are in place to avoid overvaluing such inventories
Beskrivelse af usædvanlige forhold, der kan have påvirket indregningen eller målingen:Unusual matters The company's financial position at 31 December 2023 and the results of its operations and cash flows for the financial year ended 31 December 2023 are not affected by any unusual matters expect for a provision for restructuring of lime supply. On December 8th 2023 the board of directors approved a project for restructuring of lime supply. A provision of kDKK 18,200, for future cost of dismantling and cleaning was approved along with financing via once off sales of balance sheet contingent assets.
Oplysning om usædvanlige forhold:Special items relating to income and expenses are special in character and in relation to the company's operations. Special items for 2023 relates to sale of CO2 emission allowances classified as other operating income and amount to kDKK 21,033 in 2023 and kDKK 0 in 2022. On December 8th 2023 the board of directors approved a project for restructuring of lime supply. A provision of kDKK 18,200, for future cost of dismantling and cleaning was approved along with financing via once off sales of balance sheet contingent assets.
Statement by Management on the annual report
Identifikation af den godkendte årsrapport:The supervisory board and executive board have today discussed and approved the annual report of Faxe Kalk A/S for the financial year 1 January - 31 December 2023.
Management's review
Beskrivelse af virksomhedens væsentligste aktiviteter:Business review The Company is primarily engaged in the quarrying, manufacture, sale and distribution of limestone based products. Limestone is extracted from its quarry at Faxe Kalkbrud for sale as agricultural limestone. Limestone is also used for the manufacture of quicklime at its plant in Faxe Ladeplads. In addition, quicklime is reprocessed at the Company's plant in Vejle, Denmark. There have not been any significant changes in the Company's main activities in the year. The director are not aware, at the date of this report, of any likely major changes in the Company's activities in the next year.