DANSK VÆRKTØJS SALG A/S — Credit Rating and Financial Key Figures

CVR number: 27222560
Energivej 10, 6933 Kibæk
tel: 97191692

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit12 448.1714 996.0820 187.4524 745.9125 649.62
Employee benefit expenses-5 717.55-5 945.82-5 924.02-7 266.11-8 838.86
Total depreciation- 208.15- 233.60- 221.54- 468.73- 330.40
EBIT6 522.468 816.6614 041.8817 011.0716 480.35
Other financial income54.0869.9499.07237.00400.05
Other financial expenses-0.78-47.68-57.28-2.33- 160.21
Pre-tax profit6 575.768 838.9314 083.6717 245.7316 720.19
Income taxes-1 458.00-1 957.38-3 107.39-3 810.06-3 696.84
Net earnings5 117.776 881.5510 976.2813 435.6713 023.36

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Machinery and equipment672.09517.58363.07628.47828.82
Tangible assets total672.09517.58363.07628.47828.82
Investments total
Non-current loans receivable110.00110.00110.00110.00110.00
Long term receivables total110.00110.00110.00110.00110.00
Raw materials and consumables14 403.6717 058.99
Finished products/goods28 054.5435 925.3343 427.06
Advance payments748.77656.38291.60362.71757.97
Inventories total15 152.4317 715.3728 346.1436 288.0344 185.03
Current trade debtors2 797.823 310.565 380.435 813.906 482.87
Current amounts owed by group member comp.2 771.563 371.186 679.613 745.23
Current other receivables1 250.031 000.00200.001 407.00
Short term receivables total6 819.407 681.7512 260.049 559.147 889.87
Cash and bank deposits13 783.4114 662.0713 933.6612 892.1211 017.65
Cash and cash equivalents13 783.4114 662.0713 933.6612 892.1211 017.65
Balance sheet total (assets)36 537.3440 686.7755 012.9259 477.7664 031.38

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Shares repurchased1 600.0012 000.0012 000.00
Retained earnings20 486.1525 603.9120 485.4619 461.7432 897.41
Profit of the financial year5 117.776 881.5510 976.2813 435.6713 023.36
Shareholders equity total27 703.9132 985.4643 961.7445 397.4146 420.77
Provisions19.4013.390.4020.0944.36
Non-current liabilities total
Current trade creditors3 849.693 910.276 903.058 648.367 670.16
Current owed to group member5 553.74
Short-term deferred tax liabilities1 450.201 963.393 120.393 790.363 672.57
Other non-interest bearing current liabilities3 514.141 814.251 027.351 621.53669.78
Current liabilities total8 814.037 687.9111 050.7914 060.2617 566.25
Balance sheet total (liabilities)36 537.3440 686.7755 012.9259 477.7664 031.38
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