SCANWILL FLUID POWER ApS — Credit Rating and Financial Key Figures

CVR number: 25865316
Hassellunden 14, Lille Smørum 2765 Smørum
info@scanwill.com
tel: 74423430
www.scanwill.com
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit5 792.626 446.215 674.375 589.627 180.13
Employee benefit expenses-4 634.40-4 351.01-3 414.93-3 742.00-3 971.76
Total depreciation- 473.13- 241.22-11.79-39.60-66.03
EBIT685.091 853.982 247.641 808.023 142.34
Other financial income291.9519.66207.67100.29539.87
Other financial expenses- 300.66-46.92- 123.58- 229.46- 221.12
Pre-tax profit676.381 826.722 331.731 678.853 461.09
Income taxes- 156.54- 496.68- 516.41- 376.53- 764.28
Net earnings519.831 330.031 815.321 302.322 696.82

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights45.00
Intangible assets total45.00
Machinery and equipment264.0122.8011.00199.08163.98
Tangible assets total264.0122.8011.00199.08163.98
Other non-current investments-10.00
Investments total121.58124.01114.01139.14142.52
Long term receivables total
Semifinished products4 145.344 063.093 480.183 166.182 468.48
Finished products/goods1 406.821 898.621 928.301 213.511 954.45
Inventories total5 552.165 961.715 408.484 379.704 422.93
Current trade debtors1 937.921 944.363 030.042 417.793 136.63
Current amounts owed by group member comp.886.41
Prepayments and accrued income80.000.08
Current other receivables0.56
Current deferred tax assets235.3452.5043.21
Short term receivables total2 173.261 944.363 162.552 461.644 023.04
Cash and bank deposits1 353.42162.28
Cash and cash equivalents1 353.42162.28
Balance sheet total (assets)9 464.448 215.168 741.047 179.568 752.47

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital145.00145.00145.00145.00145.00
Shares repurchased5 900.001 600.002 000.003 800.00
Retained earnings1 704.77624.60-45.371 769.96- 730.95
Profit of the financial year519.831 330.031 815.321 302.322 696.82
Shareholders equity total8 269.603 699.633 914.963 217.275 910.86
Non-current liabilities total
Current trade creditors578.47550.021 220.33940.071 068.36
Current owed to group member3 086.922 977.612 657.35
Short-term deferred tax liabilities344.621 088.30
Other non-interest bearing current liabilities616.37533.96628.14364.87684.94
Current liabilities total1 194.844 515.524 826.083 962.282 841.61
Balance sheet total (liabilities)9 464.448 215.168 741.047 179.568 752.47
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