VORDINGBORG VAND A/S — Credit Rating and Financial Key Figures

CVR number: 30238303
Danmarksvej 1, 4760 Vordingborg
tel: 55353701

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales20 075.8918 525.0118 691.8421 070.4420 298.45
Other operating income2 375.521 488.44187.84212.271.56
External services-10 776.23-10 042.51-9 072.44-10 005.18-12 388.21
Gross profit11 675.179 970.949 807.2411 277.537 911.80
Other operating expenses-1 076.39
Total depreciation-4 142.60-5 090.07-5 294.60-5 602.29-4 971.61
EBIT7 532.583 804.494 512.645 675.242 940.19
Other financial income332.87370.81
Other financial expenses- 516.29- 836.00- 722.22- 631.60- 594.82
Pre-tax profit7 016.292 968.493 790.425 376.512 716.18
Net earnings7 016.292 968.493 790.425 376.512 716.18

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters6 356.806 562.696 675.455 993.384 226.45
Buildings96 116.0297 350.0398 033.2894 960.8096 492.01
Machinery and equipment388.04269.2184.27770.52510.50
Advance payments and construction in progress685.161 178.13364.09548.883 050.66
Tangible assets total103 546.01105 360.06105 157.09102 273.59104 279.63
Investments total
Long term receivables total
Raw materials and consumables1 177.52848.11926.01
Finished products/goods905.06996.01
Inventories total905.06996.011 177.52848.11926.01
Current trade debtors10 056.139 097.337 739.718 342.777 994.69
Current amounts owed by group member comp.282.751 045.73
Current other receivables1 071.551 191.20638.332 359.973 006.07
Short term receivables total11 410.4310 288.538 378.0311 748.4711 000.75
Cash and bank deposits10 717.8413 339.7911 497.9415 385.2115 360.61
Cash and cash equivalents10 717.8413 339.7911 497.9415 385.2115 360.61
Balance sheet total (assets)126 579.34129 984.38126 210.58130 255.37131 566.99

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital5 000.005 000.005 000.005 000.005 000.00
Retained earnings59 448.1166 464.4069 432.8973 223.3178 599.82
Profit of the financial year7 016.292 968.493 790.425 376.512 716.18
Shareholders equity total71 464.4074 432.8978 223.3183 599.8286 316.00
Provisions5 812.01
Non-current loans from credit institutions38 570.5537 676.0037 223.6236 319.9735 411.73
Non-current owed to group member6 926.005 566.004 206.002 846.001 486.00
Non-current liabilities total45 496.5543 242.0041 429.6239 165.9736 897.73
Current loans from credit institutions892.281 341.25899.09903.65908.24
Current trade creditors1 472.961 493.15769.73929.151 073.56
Current owed to group member2 768.882 032.112 105.652 067.092 020.90
Other non-interest bearing current liabilities3 281.046 287.69-4 014.262 437.863 105.06
Accruals and deferred income1 203.241 155.28985.451 151.831 245.51
Current liabilities total9 618.3912 309.49745.657 489.588 353.26
Balance sheet total (liabilities)126 579.34129 984.38126 210.58130 255.37131 566.99
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