SCANVAEGT SYSTEMS A/S — Credit Rating and Financial Key Figures

CVR number: 34113416
Johann Gutenbergs Vej 5-9, Skejby 8200 Aarhus N
info@scanvaegt.dk
tel: 86785500
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Other operating income35 767.0030 223.00
Rents-19 759.00-21 021.00
Gross profit35 767.0030 223.0028 039.0034 523.0029 941.00
Costs of management-10 086.00-2 692.00-2 643.00-11 171.00-9 969.00
Costs of distribution-20 807.00-25 264.00-26 542.00
Total depreciation-1 695.00- 937.00
EBIT5 922.006 510.004 590.00-1 912.00-6 570.00
Other financial income239.00726.002 190.00870.001 042.00
Other financial expenses-1 671.00-1 338.00-1 803.00-1 779.00-3 133.00
Reduction non-current investment assets1 085.00720.00776.00
Net income from associates (fin.)10 442.006 142.005 568.005 362.008 161.00
Pre-tax profit13 237.0012 977.0011 630.003 261.00276.00
Income taxes- 970.00-1 313.00-1 101.00675.001 978.00
Net earnings12 267.0011 664.0010 529.003 936.002 254.00

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure3 057.002 275.002 008.004 408.006 743.00
Intangible assets total3 057.002 275.002 008.004 408.006 743.00
Land and waters15 060.0014 952.0014 942.0015 663.0015 506.00
Buildings300.00210.00138.00140.00107.00
Machinery and equipment2 711.002 688.008 175.008 461.0016 418.00
Tangible assets total18 071.0017 850.0023 255.0024 264.0032 031.00
Holdings in group member companies54 717.0036 433.0075 708.0073 678.0083 125.00
Investments total43 751.0036 699.0075 828.0073 813.0083 263.00
Long term receivables total
Raw materials and consumables36 530.0028 149.0029 597.0026 313.0027 960.00
Finished products/goods16 587.0019 680.0018 636.0021 614.0020 483.00
Inventories total53 117.0047 829.0048 233.0047 927.0048 443.00
Current trade debtors34 812.0033 712.0037 150.0030 292.0030 657.00
Current amounts owed by group member comp.12 437.004 618.006 789.006 364.006 398.00
Prepayments and accrued income1 334.001 292.00
Current other receivables4 055.003 572.003 500.004 010.006 133.00
Current deferred tax assets549.00579.001 253.001 155.00
Short term receivables total51 304.0042 451.0048 018.0043 253.0045 635.00
Cash and bank deposits14 004.0013 165.00
Cash and cash equivalents14 004.0013 165.00
Balance sheet total (assets)183 304.00160 269.00197 342.00193 665.00216 115.00

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital5 000.005 000.005 000.005 000.005 000.00
Shares repurchased7 500.00
Other reserves18 089.009 853.0014 948.0016 504.0020 517.00
Retained earnings59 131.0079 086.0082 493.0090 638.0092 053.00
Profit of the financial year12 267.0011 664.0010 529.003 936.002 254.00
Shareholders equity total101 987.00105 603.00112 970.00116 078.00119 824.00
Provisions3 245.00954.00954.00954.00954.00
Non-current other liabilities7 378.00
Non-current deferred tax liabilities1 591.001 130.00
Non-current liabilities total7 378.001 591.001 130.00
Current loans from credit institutions22 663.0014 575.0029 819.00
Advances received4 168.00373.00
Current trade creditors13 869.0020 121.0018 950.0015 877.0020 160.00
Current owed to group member28 516.005 284.0011 404.0017 066.0020 052.00
Short-term deferred tax liabilities922.00922.001 591.001 127.00
Other non-interest bearing current liabilities15 365.0014 921.0016 713.0016 655.0015 024.00
Accruals and deferred income9 864.0010 500.0010 967.0011 333.0010 282.00
Current liabilities total72 704.0052 121.0082 288.0076 633.0095 337.00
Balance sheet total (liabilities)185 314.00160 269.00197 342.00193 665.00216 115.00
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