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COLOPLAST A/S — Credit Rating and Financial Key Figures

CVR number: 69749917
Holtedam 1, Dageløkke 3050 Humlebæk
tel: 49111555
Free credit report

Income statement (mDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales19 426.0022 579.0024 500.0027 030.0027 874.00
Other operating income73.0074.0056.0075.00159.00
Costs of manufacturing-6 113.00-7 050.00-8 172.00-8 761.00-8 929.00
Gross profit13 313.0015 529.0016 328.0018 269.0018 945.00
Costs of management- 762.00-1 005.00-1 115.00-1 244.00-1 270.00
Costs of distribution-5 485.00-6 797.00-7 518.00-8 825.00-9 150.00
Other operating expenses- 984.00-1 362.00- 980.00- 955.00-1 483.00
EBIT6 155.006 439.006 771.007 320.007 201.00
Other financial income137.00119.00191.00175.00107.00
Other financial expenses-59.00- 431.00- 937.00-1 100.00-1 151.00
Pre-tax profit6 233.006 127.006 025.006 395.006 157.00
Income taxes-1 408.00-1 421.00-1 242.00-1 343.00-2 521.00
Net earnings4 825.004 706.004 783.005 052.003 636.00

Assets (mDKK)

2021
2022
2023
2024
2025
Intangible rights3 651.0022 767.0031 255.0030 332.0029 811.00
Intangible assets total3 651.0022 767.0031 255.0030 332.0029 811.00
Other tangible assets3 785.004 474.005 131.005 649.006 201.00
Tangible assets total3 785.004 474.005 131.005 649.006 201.00
Other non-current investments642.00728.00913.00996.00974.00
Investments total642.00728.00913.00996.00974.00
Non-current other receivables26.0031.0039.0028.0025.00
Deferred tax assets743.00674.00884.00624.00903.00
Long term receivables total769.00705.00923.00652.00928.00
Inventories total2 428.003 187.003 522.003 672.003 919.00
Current trade debtors3 212.003 940.004 315.004 675.004 658.00
Prepayments and accrued income172.00293.00384.00434.00411.00
Current other receivables226.00383.00273.00366.00454.00
Current deferred tax assets282.00336.00532.00509.0064.00
Fair value of financial assets226.00219.00
Short term receivables total4 118.005 171.005 504.005 984.005 587.00
Cash and bank deposits448.00414.00911.00788.00947.00
Cash and cash equivalents448.00414.00911.00788.00947.00
Balance sheet total (assets)15 841.0037 446.0048 159.0048 073.0048 367.00

Equity and liabilities (mDKK)

2021
2022
2023
2024
2025
Share capital216.00216.00228.00228.00228.00
Other reserves2 546.002 690.002 439.002 323.002 276.00
Retained earnings581.00680.009 849.0010 339.009 982.00
Profit of the financial year4 825.004 706.004 783.005 052.003 636.00
Shareholders equity total8 168.008 292.0017 299.0017 942.0016 122.00
Non-current bonds16 359.0011 558.0011 557.0011 570.00
Non-current leasing loans449.00496.00664.00734.00696.00
Non-current accruals and deferred income2.007.006.007.006.00
Provisions237.00373.00195.00147.00136.00
Non-current other liabilities16.004.005 001.007 802.00
Non-current deferred tax liabilities671.004 567.002 122.002 481.005 530.00
Non-current liabilities total1 359.0021 818.0014 549.0019 927.0025 740.00
Current loans from credit institutions2 160.001 644.00
Current leasing loans177.00209.00230.00253.00262.00
Current trade creditors1 036.001 242.001 294.001 519.001 324.00
Short-term deferred tax liabilities928.001 342.004 229.00866.00149.00
Other non-interest bearing current liabilities1 840.002 544.0010 364.007 510.004 710.00
Current provisions165.00353.00193.0055.0059.00
Accruals and deferred income8.002.001.001.001.00
Current liabilities total6 314.007 336.0016 311.0010 204.006 505.00
Balance sheet total (liabilities)15 841.0037 446.0048 159.0048 073.0048 367.00
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