WIEBEN DESIGN A/S — Credit Rating and Financial Key Figures

CVR number: 20099607
Porsborgparken 8 B, 9530 Støvring
WD@WIEBENDESIGN.DK
tel: 70231111
www.wiebendesign.dk

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit-2 098.93280.962 752.731 032.223 483.33
Employee benefit expenses-3 422.24-1 770.99-2 389.48-2 215.37-2 007.81
Other operating expenses- 100.23
Total depreciation- 195.05- 184.82- 175.64- 211.26- 295.69
EBIT-5 716.22-1 674.84187.60-1 494.631 179.83
Other financial income1.48113.2452.4320.1775.93
Other financial expenses- 194.65- 444.33- 208.70-18.62-35.11
Pre-tax profit-5 909.39-2 005.9331.34-1 493.081 220.65
Income taxes- 154.001 879.48-5.90119.21-60.40
Net earnings-6 063.39- 126.4525.43-1 373.871 160.25

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings19.8612.68
Machinery and equipment1 000.41822.78869.101 402.861 590.55
Tangible assets total1 020.28835.46869.101 402.861 590.55
Investments total287.50287.50287.50337.93
Long term receivables total
Semifinished products159.22124.20102.15
Raw materials and consumables254.98191.27143.46360.96
Inventories total254.98191.27302.67485.15102.15
Current trade debtors124.4093.581 921.04891.61281.04
Current amounts owed by group member comp.0.561 888.706.7721.07
Prepayments and accrued income154.68232.41228.3774.43503.80
Current other receivables232.06699.41276.542.416.90
Current deferred tax assets0.060.260.8116.321.51
Short term receivables total511.762 914.362 426.75991.54814.31
Other current investments53.3579.3193.9297.73166.06
Cash and bank deposits3.42687.25876.2017.821 279.53
Cash and cash equivalents56.77766.55970.12115.551 445.59
Balance sheet total (assets)1 843.794 995.154 856.153 282.614 290.54

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital719.00719.00719.00719.00719.00
Retained earnings1 120.41-4 942.9830.571 456.0082.13
Profit of the financial year-6 063.39- 126.4525.43-1 373.871 160.25
Shareholders equity total-4 223.98-4 350.43775.00801.131 961.38
Provisions98.44104.3960.40
Non-current loans from credit institutions550.005 466.67
Non-current other liabilities55.43
Non-current liabilities total605.425 466.67
Current loans from credit institutions3 814.822 671.62
Advances received423.08399.81
Current trade creditors140.42264.54680.551 038.57854.71
Current owed to group member509.942 461.441 042.211 025.23
Other non-interest bearing current liabilities574.08444.50834.76400.69388.81
Current liabilities total5 462.353 780.473 976.762 481.472 268.75
Balance sheet total (liabilities)1 843.794 995.154 856.153 282.614 290.54
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