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CWE Taastrup K/S — Credit Rating and Financial Key Figures

CVR number: 40937226
Meldahlsgade 5, 1613 København V
Free credit report Annual report

Income statement (mDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales5.1525.5333.0533.7534.65
Costs of manufacturing-1.39-6.71-9.81
External services-0.40-2.67-2.19-2.07-2.26
Rents-10.73-9.93
Gross profit3.3516.1521.0531.6832.39
Reduction in value of non-current assets3.7318.19- 173.01-41.9542.20
EBIT7.0834.34- 151.96-21.0064.66
Other financial income0.07
Other financial expenses-2.19-15.80-19.50-19.53-19.92
Pre-tax profit4.8918.54- 171.46-40.5444.81
Net earnings4.8918.54- 171.46-40.5444.81

Assets (mDKK)

2021
2022
2023
2024
2025
Intangible assets total
Buildings114.09907.46734.45692.50734.70
Tangible assets total114.09907.46734.45692.50734.70
Investments total
Long term receivables total
Inventories total
Current amounts owed by group member comp.3.983.985.58
Prepayments and accrued income0.050.630.750.720.44
Current other receivables0.161.130.791.550.20
Short term receivables total0.215.735.517.850.64
Cash and bank deposits1.4113.2310.819.8110.91
Cash and cash equivalents1.4113.2310.819.8110.91
Balance sheet total (assets)115.71926.42750.77710.16746.25

Equity and liabilities (mDKK)

2021
2022
2023
2024
2025
Share capital23.06194.11194.11194.11194.11
Shares repurchased1.160.361.0010.00
Other reserves-1.00-10.00
Retained earnings-1.313.2216.76- 155.70- 206.23
Profit of the financial year4.8918.54- 171.46-40.5444.81
Shareholders equity total27.79216.2239.41-2.1232.69
Capital loans34.59342.54355.89355.89355.89
Non-current loans from credit institutions51.00354.17340.87340.92340.98
Non-current liabilities total85.59696.71696.76696.82696.87
Advances received0.462.762.812.752.87
Current trade creditors0.361.231.742.402.16
Current owed to group member0.010.010.010.010.01
Other non-interest bearing current liabilities1.509.4910.0410.3011.65
Current liabilities total2.3313.4914.6015.4716.69
Balance sheet total (liabilities)115.71926.42750.77710.16746.25
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