WE LOVE BURGERS A/S — Credit Rating and Financial Key Figures

CVR number: 34613052
Gammeltorv 4, 1457 København K
info@max.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit11 251.247 865.3812 656.7947 882.8148 111.50
Employee benefit expenses-18 384.84-19 159.38-29 151.85-38 966.90-38 632.77
Total depreciation-1 289.71-1 939.73-2 291.78-3 454.70-3 663.86
EBIT-8 423.30-13 233.74-18 786.845 461.215 814.87
Other financial income60.0026.92740.05551.56509.11
Other financial expenses- 597.92- 674.82- 656.69-2 780.74-2 573.53
Pre-tax profit-8 961.22-13 881.64-18 703.483 232.033 750.45
Income taxes1 411.94-2 738.059 408.72- 914.55
Net earnings-7 549.28-13 881.64-21 441.5312 640.752 835.90

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights255.58546.52395.01258.77
Intangible assets total255.58546.52395.01258.77
Land and waters25 731.5726 443.3027 114.82
Buildings11 295.429 793.679 362.588 784.2827 662.26
Machinery and equipment4 659.814 679.5812 963.8612 473.6712 997.68
Advance payments and construction in progress1 826.424 474.0413 641.191 594.52
Tangible assets total15 955.2316 299.6752 532.0561 342.4469 369.28
Investments total97.50339.97339.971 065.37114.97
Long term receivables total
Raw materials and consumables484.96451.93810.85832.831 084.67
Inventories total484.96451.93810.85832.831 084.67
Current trade debtors353.101 108.5312 045.47
Current amounts owed by group member comp.245.434 948.514 919.39
Prepayments and accrued income683.51675.531 055.051 021.001 360.62
Current other receivables536.7083.672 901.102 900.003.19
Current deferred tax assets2 738.052 738.059 408.728 494.17
Short term receivables total3 958.263 497.264 554.6719 386.7626 822.84
Cash and bank deposits2 494.11754.243 723.451 563.982 131.02
Cash and cash equivalents2 494.11754.243 723.451 563.982 131.02
Balance sheet total (assets)22 990.0621 598.6462 507.5184 586.3999 781.55

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00502.00503.00504.00504.00
Retained earnings8 612.9521 061.6727 179.0325 736.4938 377.24
Profit of the financial year-7 549.28-13 881.64-21 441.5312 640.752 835.90
Shareholders equity total1 563.677 682.036 240.4938 881.2441 717.14
Non-current loans from credit institutions4 133.79
Non-current deferred tax liabilities1 054.60
Non-current liabilities total4 133.791 054.60
Current loans from credit institutions5 796.49
Current trade creditors3 424.603 774.035 857.384 447.505 844.58
Current owed to group member1 126.57823.2142 153.2535 161.5147 451.91
Other non-interest bearing current liabilities6 944.949 319.377 201.796 096.144 767.92
Current liabilities total17 292.6013 916.6155 212.4245 705.1558 064.41
Balance sheet total (liabilities)22 990.0621 598.6462 507.5184 586.3999 781.55
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