DANOTEK A/S — Credit Rating and Financial Key Figures

CVR number: 31367255
Messingvej 22 D, 8940 Randers SV
os@danotek.dk
tel: 86448206

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit12 740.3617 033.9219 694.0517 841.8917 888.85
Employee benefit expenses-12 571.98-13 387.61-15 784.30-15 021.28-15 680.74
Total depreciation-1 602.80-1 638.24-1 597.25-1 477.07-1 485.62
EBIT-1 457.212 008.072 312.501 343.55722.50
Other financial income84.3613.6943.6859.5293.26
Other financial expenses- 780.53- 540.52- 248.95- 595.65- 765.96
Pre-tax profit-2 153.381 481.242 107.23807.4249.80
Income taxes473.04- 329.20- 470.07- 201.76-45.95
Net earnings-1 680.341 152.041 637.16605.663.85

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure2 271.171 817.381 390.84988.33815.34
Intangible assets total2 271.171 817.381 390.84988.33815.34
Land and waters643.48643.48643.48643.48643.48
Buildings1 107.93822.10517.55337.37272.59
Machinery and equipment3 683.323 143.562 557.261 998.272 591.73
Advance payments and construction in progress130.00
Other tangible assets0.00
Tangible assets total5 434.734 609.143 718.293 109.133 507.81
Other non-current investments-0.00
Investments total21.4521.4521.4522.5322.53
Long term receivables total
Semifinished products2 837.302 976.042 972.623 145.903 429.96
Raw materials and consumables4 054.049 417.7110 080.149 894.617 823.68
Finished products/goods1 201.961 051.86975.801 037.181 260.94
Inventories total8 093.3013 445.6014 028.5714 077.6912 514.58
Current trade debtors2 868.254 412.678 343.043 171.462 763.91
Current amounts owed by group member comp.98.03171.47182.95216.54237.37
Prepayments and accrued income31.7545.965.410.10
Current other receivables9.1458.222.08
Current deferred tax assets69.75
Short term receivables total3 076.924 688.328 533.483 388.113 001.27
Cash and bank deposits839.180.229.4010.229.18
Cash and cash equivalents839.180.229.4010.229.18
Balance sheet total (assets)19 736.7524 582.1127 702.0221 596.0119 870.72

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00556.00556.00556.00556.00
Shares repurchased110.00
Other reserves742.66566.09458.55369.75311.42
Retained earnings1 220.88- 138.581 121.002 736.963 400.95
Profit of the financial year-1 680.341 152.041 637.16605.663.85
Shareholders equity total783.202 135.553 772.714 378.374 272.22
Provisions-0.00299.00259.00188.00112.00
Non-current loans from credit institutions3 012.202 215.741 600.72
Non-current other liabilities2 570.402 078.78
Non-current deferred tax liabilities1 552.40970.221 793.24
Non-current liabilities total2 570.402 078.784 564.603 185.963 393.95
Current loans from credit institutions8 098.784 799.892 458.355 090.445 617.32
Advances received2 100.003 800.003 327.642 080.71
Current trade creditors2 185.094 880.335 557.743 007.442 803.69
Short-term deferred tax liabilities510.07272.76121.95
Other non-interest bearing current liabilities6 099.288 288.566 779.552 145.401 468.88
Current liabilities total16 383.1520 068.7819 105.7113 843.6812 092.54
Balance sheet total (liabilities)19 736.7524 582.1127 702.0221 596.0119 870.72
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