VEJLEFJORD REHABILITERINGSCENTER A/S — Credit Rating and Financial Key Figures

CVR number: 32761682
Sanatorievej 27 B, 7140 Stouby
sekretariatet@vejlefjord.dk
tel: 76823333

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit56 904.3969 173.0470 767.7767 243.2278 458.31
Employee benefit expenses-51 634.00-62 729.53-62 017.34-61 734.68-65 766.26
Total depreciation- 374.48- 365.41- 621.16- 688.28-1 833.54
EBIT4 895.916 078.108 129.274 820.2610 858.51
Other financial income367.18331.02278.95295.02557.29
Other financial expenses- 166.69- 296.67- 278.51- 277.42-25.06
Pre-tax profit5 096.406 112.448 129.704 837.8711 390.74
Income taxes-1 121.25-1 326.60-1 771.92-1 057.85-2 498.77
Net earnings3 975.154 785.846 357.783 780.028 891.97

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Machinery and equipment1 004.042 861.262 747.713 024.322 185.28
Tangible assets total1 004.042 861.262 747.713 024.322 185.28
Investments total
Long term receivables total
Inventories total
Current trade debtors7 022.479 817.309 096.208 152.597 671.23
Current amounts owed by group member comp.26 741.4419 361.5321 861.7115 920.9925 902.74
Prepayments and accrued income679.20732.05756.43267.07754.69
Current other receivables1 262.433 787.94168.30137.03132.06
Current deferred tax assets122.00779.66
Short term receivables total35 827.5533 698.8231 882.6324 477.6735 240.38
Cash and bank deposits2 765.642 848.242 163.452 174.191 994.22
Cash and cash equivalents2 765.642 848.242 163.452 174.191 994.22
Balance sheet total (assets)39 597.2339 408.3136 793.7829 676.1839 419.89

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Shares repurchased5 000.0010 000.0010 000.00
Retained earnings14 074.8613 050.017 835.8514 193.637 973.65
Profit of the financial year3 975.154 785.846 357.783 780.028 891.97
Shareholders equity total18 550.0123 335.8524 693.6318 473.6527 365.62
Provisions27.0092.57101.57
Non-current deferred tax liabilities3 584.92
Non-current liabilities total3 584.92
Advances received97.28251.1524.41106.25
Current trade creditors3 011.392 477.061 729.241 648.834 698.31
Current owed to group member884.64648.64992.26719.52372.77
Short-term deferred tax liabilities1 060.251 177.60706.35448.84
Other non-interest bearing current liabilities9 043.728 377.146 088.577 139.366 876.94
Accruals and deferred income3 365.023 365.022 240.001 120.00
Current liabilities total17 462.3016 045.4712 007.5811 100.9512 054.27
Balance sheet total (liabilities)39 597.2339 408.3136 793.7829 676.1839 419.89
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