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Siemens Gamesa Renewable Energy A/S — Credit Rating and Financial Key Figures

CVR number: 76486212
Borupvej 16, 7330 Brande
tel: 32746110
Free credit report Annual report

Income statement (mDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales26 265.0022 159.0024 837.0527 095.0826 406.87
Other operating income102.6573.78326.40
Costs of manufacturing-40 029.28-32 404.22-25 943.94
Gross profit1 035.00-5 795.00-15 192.24-5 309.14462.93
Costs of management-60.30-83.48- 242.19
Costs of distribution- 449.79-1 059.59-1 742.03
Other operating expenses-3.31-22.06- 183.37
EBIT438.00-6 315.00-15 602.98-6 400.48-1 378.27
Other financial income95.32566.54484.59
Other financial expenses-49.44- 517.30- 264.56
Reduction non-current investment assets-27.05-93.49- 126.94
Net income from associates (fin.)0.220.03-0.69
Pre-tax profit421.00-5 850.00-15 556.88-6 351.21-1 158.92
Income taxes-33.36-41.99-42.86
Net earnings421.00-5 850.00-15 590.24-6 393.20-1 201.79

Assets (mDKK)

2021
2022
2023
2024
2025
Development expenditure3 979.984 611.354 873.19
Intangible rights0.59
Intangible assets total3 979.984 611.354 873.78
Land and waters1 928.341 960.902 860.73
Buildings1 579.242 904.323 524.97
Machinery and equipment1 924.182 046.982 835.61
Advance payments and construction in progress1 180.452 101.951 085.82
Tangible assets total6 612.229 014.1510 307.12
Participating interests2.5881.9881.39
Investments total25 232.0025 677.002.5881.9881.39
Long term receivables total
Semifinished products1 105.221 004.701 105.90
Raw materials and consumables1 920.1366.50602.10
Finished products/goods128.132 102.851 793.19
Advance payments768.071 289.69286.94
Inventories total3 921.564 463.733 788.14
Current trade debtors172.73543.53332.33
Current amounts owed by group member comp.7 425.9016 403.4219 247.55
Prepayments and accrued income199.89289.9167.27
Current other receivables2 144.271 252.501 663.54
Short term receivables total9 942.7818 489.3721 310.68
Cash and bank deposits119.23183.20110.95
Cash and cash equivalents119.23183.20110.95
Balance sheet total (assets)25 232.0025 677.0024 578.3536 843.7940 472.05

Equity and liabilities (mDKK)

2021
2022
2023
2024
2025
Share capital1 052.00-3 268.00120.00120.00120.00
Other reserves3 025.813 495.373 710.05
Retained earnings- 421.005 850.00-89.442 473.853 251.42
Profit of the financial year421.00-5 850.00-15 590.24-6 393.20-1 201.79
Shareholders equity total1 052.00-3 268.00-12 533.86- 303.985 879.69
Provisions7 705.4515 266.0216 666.5812 549.43
Non-current loans from credit institutions1 508.912 742.923 414.19
Non-current deferred tax liabilities237.12166.62166.07
Non-current liabilities total1 746.042 909.543 580.26
Current loans from credit institutions361.12219.91384.43
Advances received11 509.019 851.9211 215.64
Current trade creditors5 252.446 225.884 500.56
Current owed to group member2 323.28679.62992.38
Other non-interest bearing current liabilities634.53558.521 355.35
Accruals and deferred income19.7835.8014.31
Current liabilities total20 100.1617 571.6418 462.67
Balance sheet total (liabilities)1 052.004 437.4524 578.3536 843.7940 472.05
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