RAVN'S VÆRKTØJS-OG MASKINFABRIK A/S — Credit Rating and Financial Key Figures
CVR number: 13170002
Virkelyst 20, Harte 6000 Kolding
ravn@ravnas.com
tel: 75542220
ravnas.dk
Income statement (kDKK)
2020 | 2021 | 2022 | 2023 | 2024 | |
---|---|---|---|---|---|
Fiscal period length | 12 | 12 | 12 | 12 | 12 |
Net sales | |||||
Gross profit | 5 708.08 | 7 074.21 | 7 461.95 | 7 668.38 | 10 703.53 |
Employee benefit expenses | -3 919.62 | -4 334.51 | -4 803.26 | -6 061.31 | -7 134.70 |
Other operating expenses | - 234.07 | - 456.78 | - 599.29 | - 623.62 | |
Total depreciation | -1 301.31 | -1 290.94 | -1 127.32 | -1 413.14 | -1 646.67 |
EBIT | 253.08 | 991.97 | 932.08 | - 429.68 | 1 922.16 |
Other financial expenses | - 102.79 | - 103.02 | - 295.54 | - 557.14 | - 507.17 |
Pre-tax profit | 150.29 | 888.95 | 636.54 | - 986.82 | 1 414.99 |
Income taxes | -30.42 | - 194.63 | - 164.54 | 215.58 | - 311.46 |
Net earnings | 119.87 | 694.32 | 472.00 | - 771.24 | 1 103.53 |
Assets (kDKK)
2020 | 2021 | 2022 | 2023 | 2024 | |
---|---|---|---|---|---|
Intangible assets total | |||||
Buildings | 5 928.57 | 5 575.14 | 6 048.55 | 8 895.13 | 7 265.71 |
Machinery and equipment | 115.00 | 97.75 | 80.50 | 63.25 | |
Tangible assets total | 5 928.57 | 5 690.14 | 6 146.30 | 8 975.63 | 7 328.96 |
Investments total | 83.50 | 83.50 | 2 000.00 | 2 000.00 | 2 000.00 |
Long term receivables total | |||||
Semifinished products | 246.81 | 260.31 | 322.95 | 217.98 | 169.10 |
Raw materials and consumables | 820.60 | 1 207.83 | 1 626.00 | 2 340.85 | 2 687.00 |
Finished products/goods | 1 556.04 | 2 280.27 | 2 027.50 | 2 740.96 | 2 393.50 |
Inventories total | 2 623.46 | 3 748.41 | 3 976.45 | 5 299.79 | 5 249.60 |
Current trade debtors | 1 212.45 | 1 814.87 | 1 899.72 | 4 567.63 | 5 751.11 |
Prepayments and accrued income | 120.00 | 38.95 | 604.98 | 390.05 | 374.27 |
Current other receivables | 50.10 | 8.00 | 798.41 | 8.19 | |
Current deferred tax assets | 41.80 | ||||
Short term receivables total | 1 382.55 | 1 861.82 | 3 303.11 | 4 999.48 | 6 133.57 |
Cash and bank deposits | 1 448.48 | 287.42 | 4.58 | 4.93 | 5.54 |
Cash and cash equivalents | 1 448.48 | 287.42 | 4.58 | 4.93 | 5.54 |
Balance sheet total (assets) | 11 466.56 | 11 671.28 | 15 430.43 | 21 279.83 | 20 717.67 |
Equity and liabilities (kDKK)
2020 | 2021 | 2022 | 2023 | 2024 | |
---|---|---|---|---|---|
Share capital | 550.00 | 550.00 | 550.00 | 550.00 | 550.00 |
Asset revaluation reserve | 5.51 | ||||
Retained earnings | 4 943.11 | 5 062.98 | 5 757.30 | 6 229.30 | 5 458.07 |
Profit of the financial year | 119.87 | 694.32 | 472.00 | - 771.24 | 1 103.53 |
Shareholders equity total | 5 618.49 | 6 307.30 | 6 779.30 | 6 008.07 | 7 111.60 |
Provisions | 417.45 | 281.38 | 283.81 | 110.02 | 250.96 |
Non-current leasing loans | 2 384.22 | 2 628.48 | 1 808.06 | 3 998.91 | 3 173.36 |
Non-current owed to group member | 2 133.47 | 1 854.25 | 1 320.56 | ||
Non-current other liabilities | 282.89 | ||||
Non-current liabilities total | 2 667.11 | 2 628.48 | 3 941.53 | 5 853.16 | 4 493.92 |
Current loans from credit institutions | 546.73 | 619.49 | 3 028.74 | 3 741.85 | 2 446.00 |
Current trade creditors | 604.04 | 622.08 | 684.47 | 3 779.45 | 5 018.90 |
Current owed to group member | 233.23 | 84.42 | |||
Short-term deferred tax liabilities | 64.44 | 330.70 | 162.12 | 170.52 | |
Other non-interest bearing current liabilities | 1 315.06 | 797.42 | 550.46 | 1 787.28 | 1 225.76 |
Current liabilities total | 2 763.50 | 2 454.12 | 4 425.79 | 9 308.58 | 8 861.19 |
Balance sheet total (liabilities) | 11 466.56 | 11 671.28 | 15 430.43 | 21 279.83 | 20 717.67 |
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