Copied
 
 
2023, DKK
17.05.2024
Bruttoresultat

22.002'

Primær drift

1.317'

Årets resultat

477'

Aktiver

41.415'

Kortfristede aktiver

37.197'

Egenkapital

15.765'

Afkastningsgrad

3 %

Soliditetsgrad

38 %

Likviditetsgrad

151 %

Resultat
17.05.2024
Årsrapport
2023
17.05.2024
2022
21.06.2023
2021
06.06.2022
2020
08.07.2021
2019
30.03.2020
2018
12.04.2019
2017
19.04.2018
2016
11.05.2017
2015
20.05.2016
Nettoomsætning
Bruttoresultat22.001.75319.412.04020.611.03016.410.93820.336.67914.832.51813.817.66712.679.2750
Resultat af primær drift1.317.475-1.263.5944.623.6811.891.3935.196.3102.011.1772.266.1411.844.7220
Indtægter af kapitalandele (tilknyttede og associerede) 000000000
Finansielle indtægter981.160987.819895.398653.663492.474558.489524.358389.9500
Finansieringsomkostninger-1.862.995-1.018.221-943.182-1.372.421-1.379.751-1.302.784-1.116.539-1.177.6620
Andre finansielle omkostninger000000000
Resultat før skat435.640-1.293.9964.575.8971.172.6354.309.0331.266.8821.673.9601.057.0100
Resultat476.787-1.040.2743.488.845873.9393.290.419962.8111.258.413815.4530
Forslag til udbytte00-1.500.000000000
Aktiver
17.05.2024
Årsrapport
2023
17.05.2024
2022
21.06.2023
2021
06.06.2022
2020
08.07.2021
2019
30.03.2020
2018
12.04.2019
2017
19.04.2018
2016
11.05.2017
2015
20.05.2016
Kortfristede varebeholdninger16.313.41814.983.27614.988.12211.572.11610.180.04410.001.2509.888.34012.845.1460
Kortfristede tilgodehavender fra salg og tjenesteydelser 17.686.45320.905.84134.241.89625.612.42032.834.65624.234.71320.196.15420.466.7510
Likvider3.196.770917.5972.010.3837.198.886940.889839.155250.072229.4280
Kortfristede aktiver37.196.64136.806.71451.240.40144.383.42243.955.58935.075.11830.334.56633.575.1380
Immaterielle aktiver og goodwill000000000
Finansielle anlægsaktiver19.41819.41819.41819.41818.71418.000000
Materielle aktiver4.198.5534.518.2881.950.618820.854965.0701.338.1611.285.7921.497.1570
Langfristede aktiver4.217.9714.537.7061.970.036840.272983.7841.356.1611.285.7921.497.1570
Aktiver41.414.61241.344.42053.210.43745.223.69444.939.37336.431.27931.620.35835.072.2950
Aktiver
17.05.2024
Passiver
17.05.2024
Årsrapport
2023
17.05.2024
2022
21.06.2023
2021
06.06.2022
2020
08.07.2021
2019
30.03.2020
2018
12.04.2019
2017
19.04.2018
2016
11.05.2017
2015
20.05.2016
Forslag til udbytte001.500.000000000
Egenkapital15.765.04615.295.79617.836.07114.347.22613.473.28710.182.8689.220.0577.961.6440
Hensatte forpligtelser000000000
Langfristet gæld til banker0000000299.3820
Anden langfristet gæld1.100.1901.189.178000000
Leverandører af varer og tjenesteydelser8.777.6889.258.8849.544.5298.365.0587.032.3266.242.7175.794.8808.493.9210
Kortfristede forpligtelser24.658.49624.948.43434.185.18830.876.46831.466.08626.160.31522.203.10726.811.2690
Gældsforpligtelser25.649.56626.048.62435.374.36630.876.46831.466.08626.248.41122.400.30127.110.6510
Forpligtelser25.649.56626.048.62435.374.36630.876.46831.466.08626.248.41122.400.30127.110.6510
Passiver41.414.61241.344.42053.210.43745.223.69444.939.37336.431.27931.620.35835.072.2950
Passiver
17.05.2024
Nøgletal
17.05.2024
Årsrapport
2023
17.05.2024
2022
21.06.2023
2021
06.06.2022
2020
08.07.2021
2019
30.03.2020
2018
12.04.2019
2017
19.04.2018
2016
11.05.2017
2015
20.05.2016
Afkastningsgrad 3,2 %-3,1 %8,7 %4,2 %11,6 %5,5 %7,2 %5,3 %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 3,0 %-6,8 %19,6 %6,1 %24,4 %9,5 %13,6 %10,2 %Na.
Payout-ratio Na.Na.43,0 %Na.Na.Na.Na.Na.Na.
Gældsdæknings-nøgletal 70,7 %-124,1 %490,2 %137,8 %376,6 %154,4 %203,0 %156,6 %Na.
Soliditestgrad 38,1 %37,0 %33,5 %31,7 %30,0 %28,0 %29,2 %22,7 %Na.
Likviditetsgrad 150,8 %147,5 %149,9 %143,7 %139,7 %134,1 %136,6 %125,2 %Na.
Resultat
17.05.2024
Gæld
17.05.2024
Årsrapport
17.05.2024
Nyeste:01.01.2023- 31.12.2023(offentliggjort: 17.05.2024)
Information om virksomhedens regnskabsklasse:The annual report of Scanlux Packaging A/S for 2023 has been prepared in accordance with the provisions of the Danish Financial Statements Act applying to enterprises of reporting class B. The accounting policies applied are consistent with those of last year. The annual report for 2023 is presented in kr.
Oplysning om pantsætninger og sikkerhedsstillelser:As collateral for the company's balance with Jyske Bank, the company has entered a mortgage amount of DKK 16,500 thousand with a mortgage in the company's simple receivables, inventories and assets. The book value of the pledged assets amounts to DKK 30,901 thousand. As collateral for the affiliated company Scan Lux Ejendomme ApS's engagement with Jyske Bank, there is a self-declaration guarantee. At the end of December 2023, the contingent liabilties amounts to DKK 0.
Beretning
17.05.2024
Beskrivelse af usikkerhed ved indregning eller måling:Recognition and measurement uncertainties Management refers to note 6 Contingent liabilities and the risk referred to therein regarding a claim related to packaging tax.
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 Scanlux Packaging A/S for the financial year 1 January - 31 December 2023.
Management's review
Beskrivelse af virksomhedens væsentligste aktiviteter:Business review The purpose of the company is to trade inwrapping materials, plastic bags and other packaging products for retail stores.