ND WEB MARKETING ApS — Credit Rating and Financial Key Figures

CVR number: 34799725
Nr Hostrupvej 3 B, 6230 Rødekro
malene@kropsform.dk
tel: 74646474
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit2 814.851 884.71131.65948.44580.87
Employee benefit expenses-1 756.61-1 490.06-1 216.09- 965.06-1 086.13
Total depreciation-29.68-44.23-43.60-37.54-30.85
EBIT1 028.57350.42-1 128.03-54.16- 536.11
Other financial income153.90815.7558.60495.40485.04
Other financial expenses-39.14- 287.82- 818.95- 168.96- 206.81
Pre-tax profit1 143.33878.34-1 888.38272.28- 257.88
Income taxes- 258.46- 198.64408.12-64.3753.06
Net earnings884.86679.70-1 480.26207.91- 204.82

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Machinery and equipment173.19128.9685.3647.8216.96
Tangible assets total173.19128.9685.3647.8216.96
Investments total48.0048.0048.0048.0048.00
Non-curr. owed by group member comp.1 300.001 300.00
Long term receivables total1 300.001 300.00
Finished products/goods3 702.135 537.134 761.944 398.214 053.40
Advance payments1 180.0315.17
Inventories total4 882.165 537.134 777.114 398.214 053.40
Current trade debtors127.82115.1139.4812.23106.72
Current amounts owed by group member comp.197.5666.38326.52297.53
Prepayments and accrued income28.735.237.20
Current other receivables150.780.050.101.19
Current deferred tax assets408.7453.53
Short term receivables total504.88186.77455.52339.93457.77
Other current investments330.481 236.33543.50901.63532.49
Cash and bank deposits807.36164.448.1473.8086.69
Cash and cash equivalents1 137.841 400.77551.65975.43619.18
Balance sheet total (assets)8 046.078 601.625 917.645 809.395 195.31

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital80.0080.0080.0080.0080.00
Retained earnings3 326.744 211.604 891.303 411.043 618.95
Profit of the financial year884.86679.70-1 480.26207.91- 204.82
Shareholders equity total4 291.604 971.303 491.043 698.953 494.14
Non-current loans from credit institutions38.87
Non-current liabilities total38.87
Current loans from credit institutions102.311 094.00722.85798.86
Current trade creditors486.23350.61407.16220.24275.13
Current owed to group member975.601 274.47560.01845.41328.19
Short-term deferred tax liabilities251.79198.6426.01
Other non-interest bearing current liabilities2 001.981 704.29365.44295.93298.99
Current liabilities total3 715.603 630.322 426.602 110.441 701.18
Balance sheet total (liabilities)8 046.078 601.625 917.645 809.395 195.31
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