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DANSKE VAERKTOEJ ApS — Credit Rating and Financial Key Figures

CVR number: 33266626
Sophienlund Alle 5, Dragstrup 3250 Gilleleje
info@thurmer.com
tel: 70275727
www.thurmer.com
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit5 342.345 982.397 001.996 789.416 955.11
Employee benefit expenses-3 084.72-3 203.08-3 786.57-3 798.81-4 318.04
Total depreciation- 269.73- 306.95- 756.30- 385.38- 310.59
EBIT1 987.892 472.362 459.122 605.222 326.48
Other financial income1.2669.5660.6811.6817.40
Other financial expenses-76.26- 305.53- 573.69- 735.94- 418.65
Pre-tax profit1 912.882 236.381 946.101 880.961 925.23
Income taxes- 573.68- 528.43- 458.80- 434.17- 444.07
Net earnings1 339.201 707.961 487.301 446.791 481.16

Assets (kDKK)

2021
2022
2023
2024
2025
Development expenditure358.83354.06
Intangible assets total358.83354.06
Buildings264.97211.48170.2246.082.82
Machinery and equipment572.20794.81539.84727.07461.74
Other tangible assets99.10302.29388.88
Tangible assets total837.181 105.39710.061 075.44853.45
Investments total
Long term receivables total
Finished products/goods10 120.1315 386.1119 216.5016 439.6118 129.07
Inventories total10 120.1315 386.1119 216.5016 439.6118 129.07
Current trade debtors2 863.052 371.842 303.812 001.552 686.90
Current amounts owed by group member comp.2 665.861 997.35779.07302.45
Prepayments and accrued income102.5878.8382.35113.95133.55
Current other receivables329.09304.01292.6899.52179.87
Current deferred tax assets8.2125.4538.02
Short term receivables total5 960.584 752.023 466.122 542.923 038.34
Cash and bank deposits404.49100.0010.50
Cash and cash equivalents404.49100.0010.50
Balance sheet total (assets)17 681.2121 697.5923 403.1820 057.9722 020.86

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital80.0080.0080.0080.0080.00
Asset revaluation reserve301.27249.10196.94144.7892.62
Shares repurchased2 222.801 881.50
Other reserves276.17276.17
Retained earnings3 176.912 686.774 723.066 262.527 761.47
Profit of the financial year1 339.201 707.961 487.301 446.791 481.16
Shareholders equity total7 396.356 881.506 487.307 934.099 415.25
Provisions115.24112.65
Non-current liabilities total
Current bonds6 826.384 715.605 458.403 176.94
Current loans from credit institutions68.275 335.657 517.433 851.555 004.52
Current trade creditors2 425.121 967.904 083.702 362.523 208.43
Current owed to participating73.3942.4919.494.42
Current owed to group member754.67
Short-term deferred tax liabilities443.06531.01579.66451.42456.63
Other non-interest bearing current liabilities7 159.78
Current liabilities total10 169.6214 703.4316 915.8812 123.8812 605.61
Balance sheet total (liabilities)17 681.2121 697.5923 403.1820 057.9722 020.86
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