KARDEX DANMARK A/S — Credit Rating and Financial Key Figures

CVR number: 35859136
Agerhatten 16 A, Tornbjerg 5220 Odense SØ
info.remstar.dk@kardex.com
tel: 66128224
https://www.kardex-remstar.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit8 106.2710 528.6010 054.7314 168.4018 821.08
Employee benefit expenses-5 424.54-6 411.87-7 336.18-7 683.36-11 593.84
Total depreciation-26.14-30.13-35.09-34.88-41.08
EBIT2 655.594 086.602 683.466 450.167 186.16
Other financial income43.5230.7156.74244.35283.27
Other financial expenses- 148.59- 153.47- 308.69- 117.91- 165.13
Pre-tax profit2 550.523 963.842 431.526 576.607 304.29
Income taxes- 562.21- 874.64- 544.20-1 453.86-1 608.62
Net earnings1 988.313 089.201 887.315 122.745 695.67

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Machinery and equipment64.6265.5355.5320.6590.92
Tangible assets total64.6265.5355.5320.6590.92
Investments total
Long term receivables total
Finished products/goods204.44177.82218.36287.99360.56
Inventories total204.44177.82218.36287.99360.56
Current trade debtors4 467.076 212.075 052.845 162.8514 849.00
Current amounts owed by group member comp.139.901 279.985 828.816 239.3410 405.46
Prepayments and accrued income68.4794.2777.19141.56197.69
Current other receivables405.39896.0644.710.88
Current deferred tax assets2.12151.45
Short term receivables total5 082.968 482.3710 958.8411 588.4625 604.47
Cash and bank deposits12 357.4711 994.5610 208.4615 423.543 194.81
Cash and cash equivalents12 357.4711 994.5610 208.4615 423.543 194.81
Balance sheet total (assets)17 709.4920 720.2821 441.1927 320.6429 250.76

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Share premium account1 300.00
Shares repurchased1 800.002 225.001 500.004 000.005 600.00
Retained earnings3 753.204 816.516 405.704 293.013 815.76
Profit of the financial year1 988.313 089.201 887.315 122.745 695.67
Shareholders equity total9 341.5110 630.7010 293.0113 915.7615 611.43
Provisions0.002.163.03
Non-current accruals and deferred income747.91975.88
Non-current other liabilities- 115.39
Non-current liabilities total632.52975.88
Advances received621.02824.392 820.381 625.832 656.43
Current trade creditors383.30595.02719.001 041.771 142.63
Current owed to group member2 504.571 818.841 124.882 943.651 511.75
Short-term deferred tax liabilities197.86554.36197.341 110.42
Other non-interest bearing current liabilities2 099.704 086.973 971.554 008.165 180.26
Accruals and deferred income1 929.012 207.852 312.002 675.053 148.26
Current liabilities total7 735.4610 087.4211 145.1513 404.8813 639.33
Balance sheet total (liabilities)17 709.4921 696.1621 441.1927 320.6429 250.76
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