VISSENBJERG IDRÆTS-OG KULTURCENTER(FOND) — Credit Rating and Financial Key Figures

CVR number: 34050546
Idrætsvej 3, 5492 Vissenbjerg
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales3 972.483 799.224 360.284 574.804 722.37
Other operating income489.9479.11
Purchases during the financial year-59.71-43.27-63.12- 269.67- 105.77
External services-1 748.81-1 341.50-1 605.11-1 443.16-1 434.47
Gross profit2 653.912 493.562 692.052 861.973 182.13
Employee benefit expenses- 973.42-1 119.36-1 301.53-1 324.00-1 531.19
Total depreciation- 878.71- 924.79- 952.70- 918.21- 905.44
EBIT801.79449.42437.82619.77745.50
Other financial income129.97158.13
Other financial expenses- 266.23- 267.88- 262.75- 220.41- 210.54
Pre-tax profit535.56181.53175.07529.33693.09
Income taxes- 117.82-39.94-38.52- 111.06- 150.54
Net earnings417.73141.60136.55418.28542.55

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters23 936.5724 003.1023 209.7522 416.4021 623.05
Machinery and equipment437.94649.64490.29365.43253.34
Advance payments and construction in progress185.20185.20
Tangible assets total24 374.5124 652.7423 700.0422 967.0322 061.59
Investments total
Long term receivables total
Inventories total
Current trade debtors43.6125.2684.56180.7172.89
Current other receivables184.04248.26159.9790.9552.25
Short term receivables total227.65273.53244.53271.65125.14
Cash and bank deposits6 651.286 032.366 845.017 495.148 852.32
Cash and cash equivalents6 651.286 032.366 845.017 495.148 852.32
Balance sheet total (assets)31 253.4430 958.6330 789.5830 733.8231 039.05

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital18 500.0018 500.0018 500.0018 500.0018 500.00
Retained earnings769.331 187.071 328.661 465.221 883.49
Profit of the financial year417.73141.60136.55418.28542.55
Shareholders equity total19 687.0719 828.6619 965.2220 383.4920 926.04
Provisions215.71255.65294.16405.22555.76
Non-current loans from credit institutions10 298.619 851.879 401.678 946.208 485.41
Non-current other liabilities378.25322.00322.00
Non-current deferred tax liabilities322.00322.00
Non-current liabilities total10 676.8610 173.879 723.679 268.208 807.41
Current loans from credit institutions438.12445.00450.20455.47460.79
Current trade creditors20.44106.84207.6360.58132.04
Other non-interest bearing current liabilities215.25148.60- 509.14160.86157.01
Current liabilities total673.81700.44148.70676.91749.84
Balance sheet total (liabilities)31 253.4430 958.6330 131.7430 733.8231 039.05
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