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WeMarket Ikast A/S — Credit Rating and Financial Key Figures

CVR number: 25133242
Strøget 38, 7430 Ikast
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit12 207.4616 044.5216 812.9922 445.0124 056.96
Employee benefit expenses-8 729.00-14 050.22-14 656.03-18 582.19-19 691.08
Other operating expenses-35.33
Total depreciation-67.02- 182.59- 325.31- 371.35- 361.44
EBIT3 411.441 776.381 831.653 491.474 004.44
Other financial income22.382.4748.4628.7550.76
Other financial expenses-75.06- 231.49- 274.52- 113.19-20.21
Income from other inv. held as non-curr. assets92.436.932.961.88
Net income from associates (fin.)993.971 241.93620.97- 323.894 729.02
Pre-tax profit4 445.172 796.232 229.513 085.018 764.02
Income taxes- 753.86- 360.04- 383.40- 788.42- 983.58
Net earnings3 691.312 436.191 846.122 296.587 780.45

Assets (kDKK)

2021
2022
2023
2024
2025
Goodwill368.13276.10184.0692.03
Intangible assets total368.13276.10184.0692.03
Buildings92.68186.29434.41235.4140.44
Machinery and equipment30.93216.28223.12195.27120.85
Tangible assets total123.60402.57657.52430.69161.28
Holdings in group member companies8 387.179 034.927 652.395 364.8770.81
Participating interests701.93
Investments total9 089.109 172.197 789.665 502.14208.09
Non-current loans receivable7.697.697.697.697.69
Non-current other receivables640.50647.43256.68256.895 000.53
Long term receivables total648.19655.12264.37264.595 008.22
Inventories total
Current trade debtors1 825.442 345.052 824.463 526.153 550.59
Current amounts owed by group member comp.1 515.55272.68304.094 632.115 491.04
Current owed by particip. interest comp.50.0050.00
Prepayments and accrued income210.26242.47161.44114.99
Current other receivables291.68162.83122.4746.71
Current deferred tax assets23.0025.0061.30
Short term receivables total3 655.663 040.823 543.498 344.709 264.63
Cash and bank deposits3 447.342 476.401 164.83816.93
Cash and cash equivalents3 447.342 476.401 164.83816.93
Balance sheet total (assets)16 963.8916 115.2413 695.9714 726.1815 551.18

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital400.00400.00400.00400.00400.00
Shares repurchased2 000.003 500.00400.002 000.006 000.00
Other reserves202.85202.85-1 000.00
Retained earnings-1 034.67-1 046.22989.971 038.94-2 664.48
Profit of the financial year3 691.312 436.191 846.122 296.587 780.45
Shareholders equity total5 056.645 492.823 838.945 735.5210 515.97
Provisions243.99286.00
Non-current other liabilities440.59456.64470.83495.46
Non-current deferred tax liabilities2 322.001 057.99
Non-current liabilities total2 762.591 514.63470.83495.46
Current loans from credit institutions2 266.221 556.411 331.8178.0273.53
Current trade creditors180.46619.03321.96144.4344.75
Current owed to participating715.50
Current owed to group member204.734 409.204 243.255 034.95599.27
Short-term deferred tax liabilities877.06329.04341.40859.421 879.30
Other non-interest bearing current liabilities5 616.191 741.112 146.292 378.392 438.37
Accruals and deferred income209.00
Current liabilities total9 144.668 863.799 100.218 495.205 035.22
Balance sheet total (liabilities)16 963.8916 115.2413 695.9714 726.1815 551.18
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