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2023, DKK
20.06.2024
Bruttoresultat

8.442'

Primær drift

-22.754'

Årets resultat

-29.076'

Aktiver

745''

Kortfristede aktiver

258''

Egenkapital

233''

Afkastningsgrad

-3 %

Soliditetsgrad

31 %

Likviditetsgrad

91 %

Resultat
20.06.2024
Årsrapport
2023
20.06.2024
2022
07.06.2023
2021
08.07.2022
2020
24.06.2021
2019
07.07.2020
2018
31.05.2019
2017
19.06.2018
2016
14.06.2017
2015
17.06.2016
Nettoomsætning652.455.000919.691.0001.091.290.000937.788.000931.543.0001.029.505.0001.002.535.000952.468.0001.062.783.000
Bruttoresultat8.442.00000000000
Resultat af primær drift-22.754.000-7.444.00046.283.00062.992.00023.375.00027.877.00049.064.00065.355.00084.930.000
Indtægter af kapitalandele (tilknyttede og associerede) 08.114.0000000000
Finansielle indtægter4.990.00010.771.0007.938.0002.531.00024.287.00024.873.00013.604.00021.227.00030.139.000
Finansieringsomkostninger-21.382.000-9.427.000-5.385.000-15.781.000-24.876.0000-32.256.000-14.652.0000
Andre finansielle omkostninger00000-18.476.00000-12.275.000
Resultat før skat-37.655.000-4.808.00057.590.00070.950.00032.522.00041.219.00047.299.00088.027.000123.333.000
Resultat-29.076.000-2.723.00047.043.00060.082.00027.404.00033.433.00041.462.00072.020.000100.100.000
Forslag til udbytte0000-66.759.0000000
Aktiver
20.06.2024
Årsrapport
2023
20.06.2024
2022
07.06.2023
2021
08.07.2022
2020
24.06.2021
2019
07.07.2020
2018
31.05.2019
2017
19.06.2018
2016
14.06.2017
2015
17.06.2016
Kortfristede varebeholdninger55.160.00071.524.00086.059.00065.921.00076.433.00075.687.00069.676.00056.576.00061.544.000
Kortfristede tilgodehavender fra salg og tjenesteydelser 175.097.000185.807.000196.802.000177.900.000241.922.000174.263.000225.428.000185.165.000142.995.000
Likvider27.437.00026.028.00026.406.000101.102.00029.309.00047.327.00025.464.00016.390.00019.386.000
Kortfristede aktiver257.694.000283.359.000309.267.000344.923.000347.664.000297.277.000320.568.000258.131.000223.925.000
Immaterielle aktiver og goodwill000000000
Finansielle anlægsaktiver291.440.000294.461.000291.620.000274.099.000256.544.000324.081.000337.739.000393.407.000382.513.000
Materielle aktiver195.593.000194.743.000189.054.000170.184.000170.546.000173.643.000169.668.000169.968.000165.274.000
Langfristede aktiver487.032.000489.203.000480.674.000444.282.000427.090.000497.724.000507.407.000563.375.000547.787.000
Aktiver744.726.000772.562.000789.941.000789.205.000774.754.000795.001.000827.975.000821.506.000771.712.000
Aktiver
20.06.2024
Passiver
20.06.2024
Årsrapport
2023
20.06.2024
2022
07.06.2023
2021
08.07.2022
2020
24.06.2021
2019
07.07.2020
2018
31.05.2019
2017
19.06.2018
2016
14.06.2017
2015
17.06.2016
Forslag til udbytte000066.759.0000000
Egenkapital232.912.000266.500.000269.098.000273.368.000283.698.000256.144.000543.684.000518.314.000449.534.000
Hensatte forpligtelser62.735.00069.518.00071.603.00071.495.00073.784.00074.026.00073.818.00072.320.00072.010.000
Langfristet gæld til banker000000000
Anden langfristet gæld003.700.0000000
Leverandører af varer og tjenesteydelser24.389.00041.092.00098.114.00088.740.00087.351.00094.731.00067.009.00075.402.00079.895.000
Kortfristede forpligtelser284.068.000269.049.000283.103.000280.590.000249.158.000255.747.00088.414.000110.578.000130.356.000
Gældsforpligtelser449.079.000436.544.000449.240.000444.342.000417.272.000464.831.000210.473.000230.872.000250.168.000
Forpligtelser449.079.000436.544.000449.240.000444.342.000417.272.000464.831.000210.473.000230.872.000250.168.000
Passiver744.726.000772.562.000789.941.000789.205.000774.754.000795.001.000827.975.000821.506.000771.712.000
Passiver
20.06.2024
Nøgletal
20.06.2024
Årsrapport
2023
20.06.2024
2022
07.06.2023
2021
08.07.2022
2020
24.06.2021
2019
07.07.2020
2018
31.05.2019
2017
19.06.2018
2016
14.06.2017
2015
17.06.2016
Afkastningsgrad -3,1 %-1,0 %5,9 %8,0 %3,0 %3,5 %5,9 %8,0 %11,0 %
Dækningsgrad 1,3 %Na.Na.Na.Na.Na.Na.Na.Na.
Resultatgrad -4,5 %-0,3 %4,3 %6,4 %2,9 %3,2 %4,1 %7,6 %9,4 %
Varelagerets omsætningshastighed 11,8 12,9 12,7 14,2 12,2 13,6 14,4 16,8 17,3
Egenkapitals-forretning -12,5 %-1,0 %17,5 %22,0 %9,7 %13,1 %7,6 %13,9 %22,3 %
Payout-ratio Na.Na.Na.Na.243,6 %Na.Na.Na.Na.
Gældsdæknings-nøgletal -106,4 %-79,0 %859,5 %399,2 %94,0 %Na.152,1 %446,0 %Na.
Soliditestgrad 31,3 %34,5 %34,1 %34,6 %36,6 %32,2 %65,7 %63,1 %58,3 %
Likviditetsgrad 90,7 %105,3 %109,2 %122,9 %139,5 %116,2 %362,6 %233,4 %171,8 %
Resultat
20.06.2024
Gæld
20.06.2024
Årsrapport
20.06.2024
Nyeste:01.01.2023- 31.12.2023(offentliggjort: 20.06.2024)
Oplysning om pantsætninger og sikkerhedsstillelser:22CollateralsThe group has issued mortgage deeds totaling tDKK 382,000, which provide mortgages in the following assets with the following carrying amount: GroupParent company2023 202220232022DKK 1.000 DKK 1.000 DKK 1.000 DKK 1.000Land and buildings with a carrying amount of26.131 26.618 26.131 26.618Shares in Indorama Ventures Hygiene Denmark A/S and subsidiaries have been put up as securityfor all debts raised in the ultimate parent of the company, Indorama Ventures.Pledged assetsIndorama Ventures Hygiene Denmark A/S has concluded a factoring agreement, and in this connection a receivablescharge has been mad in the group´s unsecured claims originating from sale of goods and services ofwhich the accounting value as of 31 December 2023 amounts to tDKK 30.196 (31 December 2022 tDKK 18.246).
Beretning
20.06.2024
Dato for ledelsens godkendelse af årsrapporten:2024-06-14
Ledelsespåtegning:The Board of Directors and the Executive Board have today discussed and approved the annual report of Indorama Ventures Hygiene Denmark A/S for the financial year 1 January – 31 December 2023. The annual report has been prepared in accordance with the Danish Financial Statements Act. It is our opinion that the consolidated financial statements and the parent company financial statements give a true and fair view of the Group's and the Parent Company's assets, liabilities and financial position on 31 December 2023 and of the results of the Group's and the Parent Company's operations and consolidated cash flows for the financial year 1 January – 31 December 2023. In our opinion, the Management's review includes a fair review of the development in the Group's and the Parent Company's operations and financial matters, the results for the year and the Group's and the Parent Company's financial position. We recommend that the annual report is approved at the annual general meeting.
Management's review
Beskrivelse af virksomhedens væsentligste aktiviteter:Business Area Indorama Ventures Hygiene Denmark A/S develops, manufactures and markets synthetic fibers from polypropylene, polyethylene and polyester. These plastic types are characterized as being very pure and environmentally sound (consist of hydrogen and carbon) and have a high processability. Synthetic fibers are today used for packaging material, dispos-able equipment and articles in many different industries. Indorama Ventures Hygiene Denmark A/S is a high-technology production company, which develops in-dividual fiber solutions for our customers, ensuring the customers the required functional properties such as softness, bulk, strength, surface character and a three-dimensional structure - and at the same time meet-ing their demand for maximum processability on their production equipment. The fibers are further processed primarily by the nonwoven industry, where the fibers are used in the fol-lowing processes: • carded mechanically bonded textiles (spunlace and needlepunch processes) • wet and drylaid paper processes • carded thermal bonded textiles • air-laid process. Nonwoven products based on Indorama Ventures Hygiene Denmark A/S fibers are sold to the hygiene industry and the industry for technical textiles.