Ennogie Solar Group A/S financials

Ennogie Solar Group A/S

Country: DK Reporting currency: DKK Latest annual report: 2025-12-31
LEI: 549300JUGBT2EH17X827
Source filing ↗
Financial statements (DKK, as reported — unscaled; 80 line items across 2 annual periods)
Line item 20252024
Income statement
Revenue DKK 52.8MDKK 46.2M
Other income DKK 1.0MDKK 1.8M
Employee benefits expense DKK 13.6MDKK 18.3M
Operating profit (EBIT) -DKK 2.8M-DKK 12.6M
Finance costs DKK 1.3MDKK 1.3M
Profit before tax -DKK 3.8M-DKK 13.9M
Income tax expense DKK 0DKK 0
Profit for the year -DKK 3.8M-DKK 13.9M
Total comprehensive income -DKK 3.9M-DKK 13.9M
Per share
Basic EPS DKK -0.12DKK -0.44
Diluted EPS DKK -0.12DKK -0.45
Free cash flow / share DKK -0.15DKK -0.16
Cash flow statement
Cash generated from operations -DKK 1.1M-DKK 2.9M
Net cash from operating activities -DKK 2.0M-DKK 4.2M
Net cash from investing activities -DKK 5.5M-DKK 3.1M
Purchase of PP&E (capex) DKK 2.6MDKK 805.0K
Purchase of intangibles DKK 3.1MDKK 2.7M
Net cash from financing activities DKK 8.2M-DKK 4.4M
Repayments of borrowings DKK 1.2MDKK 3.7M
Lease liability payments -DKK 1.1MDKK 693.0K
Balance sheet
Total assets DKK 76.7MDKK 52.6M
Non-current assets DKK 27.4MDKK 21.0M
Property, plant & equipment DKK 2.8MDKK 1.8M
Current assets DKK 49.2MDKK 31.6M
Inventories DKK 15.2MDKK 13.8M
Trade & other receivables DKK 19.0MDKK 4.4M
Cash & equivalents DKK 2.6MDKK 2.1M
Total equity DKK 19.6MDKK 15.2M
Non-current liabilities DKK 14.9MDKK 14.2M
Long-term borrowings DKK 7.5MDKK 8.7M
Lease liabilities (non-current) DKK 1.8MDKK 459.0K
Current liabilities DKK 42.2MDKK 23.2M
Short-term borrowings DKK 3.7MDKK 3.0M
Current portion of long-term borrowings DKK 3.3MDKK 4.0M
Lease liabilities (current) DKK 736.0KDKK 1.0M
Derived metrics
Free cash flow -DKK 4.6M-DKK 5.0M
Operating margin -5.3%-27.3%
Net margin -7.1%-30.1%
Return on equity -19.2%-91.6%
Cash conversion ratio 0.54×0.30×
Capex coverage -0.79×-5.25×
Other reported items
Adjustments For Decrease Increase In Inventories -DKK 1.5MDKK 5.5M
Adjustments For Decrease Increase In Other Operating Receivables -DKK 11.3M-DKK 2.3M
Adjustments For Decrease Increase In Trade Account Receivable -DKK 8.5MDKK 5.6M
Adjustments For Depreciation and Amortisation Expense and Impairment Loss Reversal of Impairment Loss Recognised In Profit Or Loss DKK 3.1MDKK 3.1M
Adjustments For Finance Income Cost -DKK 933.0K-DKK 1.3M
Adjustments For Increase Decrease In Other Liabilities DKK 2.8MDKK 821.0K
Adjustments For Increase Decrease In Trade Account Payable DKK 8.7M-DKK 4.9M
Adjustments For Provisions DKK 11.1MDKK 3.2M
Adjustments For Sharebased Payments DKK 38.0KDKK 88.0K
Cash Flows From Used In Operations Before Changes In Working Capital DKK 357.0K-DKK 9.4M
Current Advances DKK 1.3MDKK 4.1M
Current Contract Assets DKK 0DKK 6.1M
Current Prepayments DKK 726.0KDKK 1.0M
Current Provisions DKK 10.0MDKK 0
Depreciation Amortisation and Impairment Loss Reversal of Impairment Loss Recognised In Profit Or Loss DKK 3.1MDKK 3.1M
Effect of Exchange Rate Changes On Cash and Cash Equivalents -DKK 162.0KDKK 16.0K
Equity and Liabilities DKK 76.7MDKK 52.6M
Finance Income DKK 381.0KDKK 0
Government Grants DKK 627.0KDKK 627.0K
Increase Decrease In Cash and Cash Equivalents DKK 616.0K-DKK 11.7M
Increase Decrease Through Sharebased Payment Transactions DKK 38.0K
Intangible Assets Other Than Goodwill DKK 18.3MDKK 16.8M
Interest Paid Classified As Operating Activities DKK 933.0KDKK 1.3M
Issue of Equity DKK 8.3M
Issued Capital DKK 33.3MDKK 31.4M
Liabilities DKK 57.1MDKK 37.4M
Noncurrent Government Grants DKK 640.0KDKK 1.3M
Noncurrent Provisions DKK 5.0MDKK 3.8M
Other Comprehensive Income -DKK 162.0K-DKK 14.0K
Other Comprehensive Income Net of Tax Exchange Differences On Translation -DKK 162.0K-DKK 14.0K
Other Current Liabilities DKK 6.2MDKK 2.9M
Other Current Receivables DKK 11.7MDKK 4.1M
Other Noncurrent Financial Assets DKK 2.0MDKK 2.2M
Other Noncurrent Receivables DKK 4.0MDKK 0
Other Work Performed By Entity and Capitalised DKK 1.7MDKK 1.6M
Reserve of Exchange Differences On Translation -DKK 191.0K-DKK 30.0K
Retained Earnings -DKK 13.0M-DKK 15.6M
Trade and Other Current Payables To Trade Suppliers DKK 16.3MDKK 7.6M
Treasury Shares DKK 561.0KDKK 561.0K
Methodology

Every line item above is a fact tagged in Ennogie Solar Group A/S's annual report filed in the European Single Electronic Format (ESEF) under the IFRS taxonomy (ifrs-full) — the income statement, balance sheet and cash-flow statement as the filer reported them. Values are shown as-is, in the reporting currency (DKK), without rescaling; the row labels map to the underlying concept name (e.g. Revenue → ifrs-full:Revenue, Operating profit → ifrs-full:ProfitLossFromOperatingActivities, Diluted EPS → ifrs-full:DilutedEarningsLossPerShare), and any concept without a curated label is shown under “Other reported items” with its de-camel-cased tag name. Only consolidated, default-member facts are shown (segment / dimensional breakdowns are excluded).

“Derived metrics” (free cash flow, margins, ROE, …) are computed from those facts by the same model the U.S. financials pages use — not tagged by the filer.

Source: machine-readable OIM xBRL-JSON aggregated by filings.xbrl.org (XBRL International). Entity identity is resolved by LEI via the public-domain GLEIF register. This is reference data, not investment advice.