BAUHAUS DANMARK A/S — Credit Rating and Financial Key Figures

CVR number: 19555305
Anelystparken 16, True 8381 Tilst
tel: 87450500
Free credit report Annual report

Income statement (mDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales3 195.673 066.793 003.312 796.892 844.36
Other operating income4.813.504.854.112.82
Costs of manufacturing-1 935.11-1 869.02-1 886.15-1 778.98-1 804.02
External services- 455.10- 470.81- 479.21- 479.09- 500.02
Gross profit810.28730.47642.80542.93543.14
Employee benefit expenses- 455.59- 440.13- 451.59- 435.19- 439.56
Other operating expenses-2.66-0.47-0.79
Total depreciation-60.56-65.51-68.74-76.97-68.39
EBIT294.13224.83119.8030.3134.40
Other financial income0.020.010.333.236.08
Other financial expenses-6.79-4.80-3.50-1.82-1.60
Pre-tax profit287.37220.03116.6231.7238.89
Income taxes-63.74-48.49-25.97-7.00-8.70
Net earnings223.63171.5490.6524.7230.19

Assets (mDKK)

2020
2021
2022
2023
2024
Intangible rights18.1422.0142.2223.308.65
Intangible assets total18.1422.0142.2223.308.65
Buildings16.6814.2611.1819.2217.61
Machinery and equipment185.49189.06217.81211.48204.87
Tangible assets total202.17203.32228.99230.70222.48
Investments total
Long term receivables total
Finished products/goods658.38672.25793.66769.48722.74
Inventories total658.38672.25793.66769.48722.74
Current trade debtors26.4557.8037.1983.6174.42
Current amounts owed by group member comp.10.5047.3165.5632.943.19
Prepayments and accrued income7.205.038.780.436.34
Current other receivables11.760.120.8114.374.25
Current deferred tax assets42.3532.2964.0462.6025.63
Short term receivables total98.26142.55176.38193.95113.83
Cash and bank deposits37.67127.2060.4277.54216.02
Cash and cash equivalents37.67127.2060.4277.54216.02
Balance sheet total (assets)1 014.631 167.331 301.661 294.971 283.72

Equity and liabilities (mDKK)

2020
2021
2022
2023
2024
Share capital32.0032.0032.0032.0032.00
Retained earnings324.52548.15719.69810.34835.06
Profit of the financial year223.63171.5490.6524.7230.19
Shareholders equity total580.15751.69842.34867.06897.25
Provisions8.189.9316.9913.0510.13
Non-current leasing loans4.893.583.303.444.22
Non-current owed to group member100.00100.00
Non-current deferred tax liabilities30.36
Non-current liabilities total135.24103.583.303.444.22
Current loans from credit institutions27.815.674.514.883.72
Current trade creditors149.90163.97179.23257.16245.73
Current owed to group member12.703.58139.3417.827.81
Other non-interest bearing current liabilities98.20125.30111.58129.59112.17
Accruals and deferred income2.443.624.381.952.69
Current liabilities total291.05302.14439.03411.41372.12
Balance sheet total (liabilities)1 014.631 167.331 301.661 294.971 283.72
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