Vest VVS ApS — Credit Rating and Financial Key Figures

CVR number: 37094412
Kanalholmen 1, 2650 Hvidovre
benjamin@vestvvs.dk
tel: 42303030

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit11 915.5417 170.2420 238.6725 878.3631 246.73
Employee benefit expenses-8 799.78-12 096.39-15 741.04-18 727.01-23 210.84
Total depreciation- 380.06- 515.94- 551.67- 520.51- 494.51
EBIT2 735.694 557.903 945.976 630.847 541.38
Other financial income8.946.142.049.16
Other financial expenses-59.58-8.07-29.57-34.75- 189.93
Pre-tax profit2 685.054 555.983 916.406 598.127 360.60
Income taxes- 588.22-1 016.00- 877.65-1 477.21-1 675.38
Net earnings2 096.833 539.983 038.755 120.915 685.23

Assets (kDKK)

2020
2021
2022
2023
2024
Goodwill883.02750.68618.34485.99481.37
Intangible assets total883.02750.68618.34485.99481.37
Buildings33.937.62
Machinery and equipment1 025.96856.13972.76808.29992.41
Tangible assets total1 059.89863.74972.76808.29992.41
Investments total
Non-current other receivables186.42186.42186.42186.42186.42
Long term receivables total186.42186.42186.42186.42186.42
Finished products/goods325.19589.93486.86683.63412.78
Inventories total325.19589.93486.86683.63412.78
Current trade debtors7 546.157 625.529 400.4713 657.6712 334.28
Prepayments and accrued income30.06401.17
Current other receivables229.51249.6920.03390.1149.71
Short term receivables total7 805.727 875.219 420.5014 047.7812 785.15
Cash and bank deposits785.723 242.271 941.032 248.772 890.18
Cash and cash equivalents785.723 242.271 941.032 248.772 890.18
Balance sheet total (assets)11 045.9613 508.2513 625.9018 460.8917 748.32

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital50.0050.0050.0050.0050.00
Shares repurchased2 000.001 539.982 000.0010 252.03
Retained earnings1 995.54552.402 092.38-5 120.91
Profit of the financial year2 096.833 539.983 038.755 120.915 685.23
Shareholders equity total6 142.385 682.367 181.1210 302.035 735.22
Provisions55.7035.2215.632.98
Non-current liabilities total
Current trade creditors984.991 607.232 437.092 582.771 580.82
Current owed to participating5 357.07
Current owed to group member191.703 228.18
Other non-interest bearing current liabilities3 671.192 955.263 992.065 573.115 075.21
Current liabilities total4 847.887 790.676 429.158 155.8812 013.10
Balance sheet total (liabilities)11 045.9613 508.2513 625.9018 460.8917 748.32
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