GREENWOOD ENGINEERING A/S — Credit Rating and Financial Key Figures

CVR number: 16503592
H.J. Holst Vej 3-5, 2605 Brøndby
tel: 36360200
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit31 240.6846 656.8034 402.0817 243.5630 456.55
Employee benefit expenses-25 236.56-25 703.99-28 346.69-26 478.53-24 740.17
Other operating expenses-8.63-0.01
Total depreciation- 493.88- 486.00- 405.01- 327.82- 313.53
EBIT5 510.2320 466.815 650.38-9 571.425 402.85
Other financial income691.54480.3863.7136.4052.76
Other financial expenses- 565.55- 280.24- 305.19- 809.23-1 162.28
Pre-tax profit5 636.2320 666.955 408.91-10 344.254 293.33
Income taxes-1 227.65-4 557.19-1 210.2874.94142.36
Net earnings4 408.5816 109.764 198.63-10 269.314 435.68

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure1 181.25945.00708.75472.50236.25
Intangible assets total1 181.25945.00708.75472.50236.25
Buildings22.4210.66
Machinery and equipment609.53371.54213.44121.8644.59
Tangible assets total631.95382.20213.44121.8644.59
Holdings in group member companies0.560.560.560.560.56
Investments total161.59190.73190.25186.86188.64
Long term receivables total
Raw materials and consumables14 164.3618 982.1222 194.2122 373.3020 863.13
Inventories total14 164.3618 982.1222 194.2122 373.3020 863.13
Current trade debtors16 022.6227 340.0523 424.1219 866.4929 554.05
Current amounts owed by group member comp.634.142 599.235 039.796 959.145 068.70
Prepayments and accrued income351.72578.53524.25546.53680.81
Current other receivables3 786.715 141.5419 538.439 009.841 968.47
Current deferred tax assets2.7526.0724.7299.6690.57
Short term receivables total20 797.9335 685.4248 551.3036 481.6537 362.59
Other current investments3 045.26
Cash and bank deposits5 557.902 230.06274.55289.36709.56
Cash and cash equivalents8 603.162 230.06274.55289.36709.56
Balance sheet total (assets)45 540.2458 415.5372 132.5059 925.5359 404.76

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Shares repurchased2 000.005 000.00
Other reserves1 181.25945.00708.75472.50236.25
Retained earnings23 501.2523 146.0839 492.0843 926.9633 893.90
Profit of the financial year4 408.5816 109.764 198.63-10 269.314 435.68
Shareholders equity total31 591.0845 700.8344 899.4634 630.1539 065.84
Non-current other liabilities2 445.85
Non-current liabilities total2 445.85
Current loans from credit institutions125.209 480.409 968.052 623.20
Advances received1 479.801 467.52342.81
Current trade creditors2 160.724 361.906 591.275 125.562 375.76
Current owed to group member3 860.36137.766 587.087 378.7114 259.52
Short-term deferred tax liabilities1 252.834 580.511 208.92
Other non-interest bearing current liabilities2 749.602 041.803 365.372 480.241 080.45
Current liabilities total11 503.3112 714.7027 233.0325 295.3720 338.92
Balance sheet total (liabilities)45 540.2458 415.5372 132.5059 925.5359 404.76
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