Skjern Bank A/S (CPH:SKJE)
Denmark flag Denmark · Delayed Price · Currency is DKK
281.00
-5.00 (-1.75%)
Mar 9, 2026, 4:59 PM CET

Skjern Bank Balance Sheet

Millions DKK. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025 FY 2024 FY 2023 FY 2022 FY 2021 2020 - 2016
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21 2020 - 2016
Cash & Equivalents
4,3473,0832,3462,8302,566
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Investment Securities
1,135909.851,0351,0851,142
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Mortgage-Backed Securities
---8.928.48
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Total Investments
1,135909.851,0351,0931,150
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Gross Loans
7,7207,2767,0365,7555,001
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Allowance for Loan Losses
-327.34-313.48-309.77-290.76-281.19
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Net Loans
7,3936,9636,7265,4644,720
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Property, Plant & Equipment
82.4485.5281.0769.5670.21
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Investments in Real Estate
3.113.093.023.023.02
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Other Receivables
114.4394.368.1261.1177.94
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Other Current Assets
0.030.140.590.060.33
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Other Long-Term Assets
2,6972,1111,7071,7071,391
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Total Assets
15,77213,25011,96711,2289,978
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Interest Bearing Deposits
4,5543,8602,8612,3071,876
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Non-Interest Bearing Deposits
8,4247,0267,0167,1486,458
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Total Deposits
12,97810,8869,8779,4558,334
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Short-Term Borrowings
151.392.982.392.97-
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Long-Term Debt
74.6199.8499.3498.8498.33
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Long-Term Deferred Tax Liabilities
5.134.525.433.752.3
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Other Long-Term Liabilities
580.26449.62396.6305.02296.46
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Total Liabilities
13,78911,44310,3819,8658,731
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Common Stock
192.8192.8192.8192.8192.8
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Retained Earnings
1,7281,5531,3321,110993.4
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Comprehensive Income & Other
61.4161.2861.1561.0260.88
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Shareholders' Equity
1,9821,8071,5861,3631,247
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Total Liabilities & Equity
15,77213,25011,96711,2289,978
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Total Debt
226102.81101.72101.8198.33
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Net Cash (Debt)
4,1212,9802,2442,7292,468
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Net Cash Growth
38.28%32.80%-17.76%10.55%18.24%
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Net Cash Per Share
427.16309.29232.67284.24323.32
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Filing Date Shares Outstanding
9.499.639.639.649.64
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Total Common Shares Outstanding
9.499.639.639.649.64
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Book Value Per Share
202.50181.20158.28135.16123.11
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Tangible Book Value
1,9821,8071,5861,3631,247
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Tangible Book Value Per Share
202.50181.20158.28135.16123.11
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Source: S&P Capital IQ. Banks template. Financial Sources.