GAVDI GROUP A/S — Credit Rating and Financial Key Figures

CVR number: 29799644
Lyngbyvej 2, 2100 København Ø

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Other operating income23 710.59
External services- 368.50- 177.17-2 586.06-55.40
Gross profit- 878.11- 368.50- 177.1721 124.52-55.40
EBIT- 878.11- 368.50- 177.1721 124.52-55.40
Other financial income193.221 985.131 523.893 172.431 898.71
Other financial expenses- 477.06-1 186.57- 396.46- 981.64-1 190.08
Net income from associates (fin.)12 042.4613 081.2810 159.5518 836.98-7 065.06
Pre-tax profit10 880.5113 511.3411 109.8142 152.30-6 411.83
Income taxes79.21-69.32422.13-1.15- 143.71
Net earnings10 959.7213 442.0211 531.9442 151.15-6 555.54

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Tangible assets total
Holdings in group member companies71 600.1777 073.6188 029.0653 184.6044 485.63
Investments total71 600.1777 073.6188 029.0653 184.6044 485.63
Non-curr. owed by group member comp.1 052.58
Non-current loans receivable3 768.113 768.113 768.113 768.113 768.11
Non-current other receivables1 113.50
Long term receivables total5 934.193 768.113 768.113 768.113 768.11
Inventories total
Current amounts owed by group member comp.2 491.254 050.703 333.244 504.561 879.17
Current other receivables1 233.971 120.001 513.181 481.93
Current deferred tax assets79.2125.29453.81330.00
Short term receivables total3 804.445 195.993 787.056 347.753 361.11
Cash and bank deposits947.232 994.912 758.533 429.853 899.36
Cash and cash equivalents947.232 994.912 758.533 429.853 899.36
Balance sheet total (assets)82 286.0389 032.6298 342.7566 730.3255 514.21

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital501.00501.00513.11513.11513.11
Shares repurchased3 000.004 000.003 000.0072 000.005 600.00
Other reserves5 081.2829 474.2641 685.75-64 708.933 768.11
Retained earnings41 598.1720 781.9420 639.61-5 587.6334 489.65
Profit of the financial year10 959.7213 442.0211 531.9442 151.15-6 555.54
Shareholders equity total61 140.1768 199.2377 370.4144 367.7037 815.34
Provisions6 456.299 261.65976.056 144.801 016.95
Non-current liabilities total
Current trade creditors163.0364.9942.901 649.3846.30
Current owed to group member14 526.5511 437.4319 953.3914 445.8016 461.11
Short-term deferred tax liabilities69.3291.85143.71
Other non-interest bearing current liabilities30.8030.80
Current liabilities total14 689.5711 571.7419 996.2916 217.8316 681.92
Balance sheet total (liabilities)82 286.0389 032.6298 342.7566 730.3255 514.21
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