Virksomhedsform
Aktieselskab
Etableret
1941
Størrelse
Små
Ansatte
18
Omsætning
32 MDKK
Bruttofortj.
1.370.000 DKK
Primært resultat (EBIT)
-4.219.000 DKK
Årets resultat
-210.835.000 DKK
Egenkapital
15 MDKK
annonce

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Rang Årets resultat

Rang i branche
18.191/18.192
"Bund 10%"
Rang i Danmark
342.163/342.443
"Bund 10%"

Direktion top 3

Bestyrelse top 3

Aurélien Philippe Marie Cadars 1Bestyrelsesformand
Anders Urban Drotz 1Bestyrelsesmedlem
Ville Liisanantti 1Bestyrelsesmedlem

Legale ejere top 3

Tegningsregler

Selskabet tegnes af én direktør alene, af to medlemmer af bestyrelsen eller af den samlede bestyrelse

Stamoplysninger baseret på CVR

NavnCalderys Danmark A/S
BinavneA/S Sten- & Klinker-Kompagniet, Höganäs Eldfast A/S, Slipnaxos Danmark A/S Vis mere
CVR23102714
AdresseHammerholmen 48E, 2650 Hvidovre
BrancheAnden bygge- og anlægsvirksomhed, som kræver specialisering [439990]
Etableret13-11-1941 (82 år)
VirksomhedsformAktieselskab
Antal ansatte26 (årsværk:16)
ReklamebeskyttelseJa
RevisorPricewaterhousecoopers Statsautoriseret Revisionspartnerselskab siden 29-06-2022
Regnskabsperiode01-01 til 31-12
Selskabskapital1.300.050 DKK
1.300.000 DKK (30-08-1987 - 27-11-2022)
Vedtægter seneste28-11-2022

Medlem af brancherne

Formål

Selskabets formål er fabrikation og handel

Regnskab

 202220212020
Valuta/enhed000' DKK000' DKK000' DKK
Omsætning
32.045
+16%
27.570
-44%
49.643
+19%
Bruttofortjeneste
1.370
-48%
2.621
+16%
2.253
-61%
Årets resultat
-210.835
-
-3.543
-
-60.160
-
Egenkapital
15.467
-77%
66.302
-5%
69.845
-46%
Balance
26.861
-92%
334.250
-3%
345.333
-13%

Ledelsesberetning

The Company's principal activities The Company's principal activities consist of sale and installation of refractories for refuse disposal plants and ovens. Development in the activities and the financial situation of the Company The Company's Income Statement of the financial year 1 January 2022 - 31 December 2022 shows a loss of DKK 210.8 million. During the year a sale of a subsidiary was performed with a loss of DKK 205.8 million. Even excluding this transaction, the result is not satisfactory and actions are taken so that the result will improve in the coming years. As a result of the loss a Capital injection was received from the Parent company for DKK 160.0 million. This will secure the running operations in the coming years. The Balance Sheet at 31 December 2022 shows a balance sheet total of DKK 28.8 million and an equity of DKK 15.5 million. The Company has not encountered any substantial impact from the Covid pandemic during 2022. Nor have we encountered any major impact due to the war situation in Ukraine. However, the war situation has partly impacted Customers and therefore also had an indirect effect on our Sales. Post financial year events In the early part of 2023 Calderys Group was sold out of the Imerys Group and are now forming its own Group. The Group ownership is now with a Private Equity company and subsequently the Company is not part of a listed Group anymore. The owners, Platinum Equity, consolidate the Group numbers in a UK based Holding company. Calderys Danmark A/S is still directly owned by Calderys Nordic AB in Sweden. In 2023 we will continue to build a strong position and brand in Denmark and group related activities.

Development in the activities and the financial situation of the Company The Company's Income Statement of the financial year 1 January 2022 - 31 December 2022 shows a loss of DKK 210.8 million. During the year a sale of a subsidiary was performed with a loss of DKK 205.8 million. Even excluding this transaction, the result is not satisfactory and actions are taken so that the result will improve in the coming years. As a result of the loss a Capital injection was received from the Parent company for DKK 160.0 million. This will secure the running operations in the coming years. The Balance Sheet at 31 December 2022 shows a balance sheet total of DKK 28.8 million and an equity of DKK 15.5 million. The Company has not encountered any substantial impact from the Covid pandemic during 2022. Nor have we encountered any major impact due to the war situation in Ukraine. However, the war situation has partly impacted Customers and therefore also had an indirect effect on our Sales. , The Company's Income Statement of the financial year 1 January 2022 - 31 December 2022 shows a loss of DKK 210.8 million. During the year a sale of a subsidiary was performed with a loss of DKK 205.8 million. Even excluding this transaction, the result is not satisfactory and actions are taken so that the result will improve in the coming years. As a result of the loss a Capital injection was received from the Parent company for DKK 160.0 million. This will secure the running operations in the coming years. The Balance Sheet at 31 December 2022 shows a balance sheet total of DKK 28.8 million and an equity of DKK 15.5 million. The Company has not encountered any substantial impact from the Covid pandemic during 2022. Nor have we encountered any major impact due to the war situation in Ukraine. However, the war situation has partly impacted Customers and therefore also had an indirect effect on our Sales.
05-07-2023

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