DANA-SEALS A/S — Credit Rating and Financial Key Figures

CVR number: 26165458
Ole Rømers Vej 4, 3000 Helsingør
pf@dana-seals.dk
tel: 49224400
www.dana-seals.dk

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit9 624.139 921.6011 387.9613 342.9016 003.37
Employee benefit expenses-8 262.99-8 529.22-10 068.89-11 172.83-12 125.05
Total depreciation- 673.18- 662.47- 687.78- 709.65- 517.52
EBIT687.96729.90631.301 460.423 360.80
Other financial income14.9712.90
Other financial expenses- 112.56- 104.62- 139.76- 197.92-85.64
Pre-tax profit575.41625.29491.541 277.473 288.06
Income taxes- 128.98- 142.08- 116.98- 288.62- 733.87
Net earnings446.43483.20374.56988.852 554.19

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings319.89248.68307.79280.41218.24
Machinery and equipment2 971.342 536.082 127.001 676.061 359.96
Tangible assets total3 291.242 784.762 434.781 956.471 578.20
Investments total240.17243.87345.22354.82358.43
Long term receivables total
Semifinished products657.06427.50343.33221.14480.35
Raw materials and consumables1 994.433 024.663 144.223 670.784 080.66
Finished products/goods252.45199.97188.00231.41292.56
Inventories total2 903.943 652.133 675.544 123.344 853.57
Current trade debtors1 677.702 190.622 455.102 364.943 494.32
Current amounts owed by group member comp.58.90648.58
Prepayments and accrued income105.12216.95369.7672.8466.38
Current other receivables3.70274.16120.8612.52
Short term receivables total1 786.512 407.573 099.032 617.544 221.80
Cash and bank deposits56.76612.36527.80153.081 093.25
Cash and cash equivalents56.76612.36527.80153.081 093.25
Balance sheet total (assets)8 278.619 700.6910 082.389 205.2512 105.25

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital3 000.003 000.003 000.003 000.003 000.00
Retained earnings929.481 375.911 859.112 233.673 222.52
Profit of the financial year446.43483.20374.56988.852 554.19
Shareholders equity total4 375.914 859.115 233.676 222.528 776.71
Provisions371.71324.18267.71193.92154.34
Non-current loans from credit institutions18.17
Non-current other liabilities197.09
Non-current deferred tax liabilities201.23208.27214.73
Non-current liabilities total18.17197.09201.23208.27214.73
Current loans from credit institutions684.49824.191 226.99767.63
Current trade creditors870.851 757.842 264.13617.391 177.04
Current owed to participating77.5779.5981.9884.4587.82
Current owed to group member128.86634.50295.1430.79
Short-term deferred tax liabilities157.94189.62173.45362.41773.45
Other non-interest bearing current liabilities1 593.10834.56338.09717.88921.17
Current liabilities total3 512.824 320.314 379.782 580.542 959.48
Balance sheet total (liabilities)8 278.619 700.6910 082.389 205.2512 105.25
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