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DANSK KONSUM GRUPPEN A/S — Credit Rating and Financial Key Figures

CVR number: 10300797
Finlandsgade 1-11, 4690 Haslev
tel: 57617800
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit71.8617.47- 613.50-28.1617.29
Employee benefit expenses- 227.57- 216.83- 115.25-87.61-95.34
Total depreciation-7.92
EBIT- 163.64- 199.36- 728.75- 115.77-78.05
Other financial income63.2487.23246.88289.58336.12
Other financial expenses-0.47-15.57-26.10-22.42-65.64
Net income from associates (fin.)2 814.453 590.452 843.031 674.716 671.04
Pre-tax profit2 713.583 462.752 335.051 826.106 863.48
Income taxes55.4656.4321.89-35.13-54.32
Net earnings2 769.043 519.182 356.931 790.976 809.16

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Tangible assets total
Holdings in group member companies15 381.5616 967.9918 580.2620 167.3725 963.23
Investments total15 381.5616 967.9918 580.2620 167.3725 963.23
Non-curr. owed by group member comp.7 000.0010 536.6811 136.53
Non-current loans receivable24.0724.0724.0722.1922.19
Long term receivables total24.0724.077 024.0710 558.8711 158.72
Inventories total
Current amounts owed by group member comp.5 535.527 935.271 736.6443.91
Prepayments and accrued income3.673.673.674.681.34
Current other receivables1 155.661 393.45550.82633.83966.71
Current deferred tax assets1 189.001 774.201 689.151 112.013 501.52
Short term receivables total7 883.8511 106.603 980.281 750.524 513.48
Cash and bank deposits1 162.60113.9164.88
Cash and cash equivalents1 162.60113.9164.88
Balance sheet total (assets)24 452.0728 212.5629 649.4932 476.7641 635.43

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Shares repurchased600.00600.00600.00600.001 500.00
Other reserves10 614.1112 283.5613 454.5915 072.9421 178.25
Retained earnings8 962.429 462.0011 210.1612 854.808 142.05
Profit of the financial year2 769.043 519.182 356.931 790.976 809.16
Shareholders equity total23 445.5626 364.7528 121.6830 818.7038 129.46
Non-current owed to group member435.97456.97610.03514.04
Non-current deferred tax liabilities652.52832.90560.93238.782 950.05
Non-current liabilities total652.521 268.861 017.90848.813 464.10
Current loans from credit institutions44.6119.24
Current owed to group member300.64
Short-term deferred tax liabilities299.42573.52484.90441.936.78
Other non-interest bearing current liabilities54.575.4325.0122.0615.85
Current liabilities total353.99578.95509.91809.2441.87
Balance sheet total (liabilities)24 452.0728 212.5629 649.4932 476.7641 635.43
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