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VILLIAM PETERSEN TANDHJULSFABRIKEN A/S — Credit Rating and Financial Key Figures

CVR number: 32890210
Islandsvej 30, 8700 Horsens
lgs@tandhjulsfabriken.dk
tel: 75618124
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit14 312.0116 150.1219 207.6322 910.6117 196.46
Employee benefit expenses-10 977.15-12 204.55-13 517.83-14 393.46-13 836.91
Other operating expenses-35.70-5.65
Total depreciation-1 400.08-1 723.38-1 688.40-1 893.43-2 034.38
EBIT1 934.782 222.203 965.706 618.071 325.17
Other financial income56.0641.99128.15187.0893.94
Other financial expenses-90.36-83.17-45.45- 116.07- 202.01
Pre-tax profit1 900.482 181.034 048.406 689.091 217.10
Income taxes- 419.13- 466.89- 879.55-1 462.73- 259.49
Net earnings1 481.361 714.133 168.855 226.35957.61

Assets (kDKK)

2020
2021
2022
2023
2024
Goodwill324.29338.58549.90394.89239.88
Intangible assets total324.29338.58549.90394.89239.88
Buildings9 885.809 609.8110 406.4513 203.5912 769.12
Machinery and equipment307.24263.98509.89401.66580.26
Tangible assets total10 193.049 873.7910 916.3413 605.2513 349.38
Investments total
Non-curr. owed by group member comp.353.32360.38367.59
Non-current other receivables826.66839.73500.00500.00
Long term receivables total826.66839.73853.32860.38367.59
Semifinished products1 278.003 114.003 415.003 305.003 258.04
Raw materials and consumables904.00922.31801.10939.271 074.64
Finished products/goods424.00513.00752.00790.00744.91
Inventories total2 606.004 549.314 968.105 034.275 077.59
Current trade debtors4 096.864 226.845 237.083 189.085 143.53
Current amounts owed by group member comp.886.491 184.721 326.5421.2432.62
Prepayments and accrued income854.82854.52868.58882.971 019.75
Current other receivables715.0273.8284.73186.4477.32
Current deferred tax assets2.49
Short term receivables total6 555.686 339.907 516.944 279.736 273.22
Other current investments49.7550.8452.5353.9953.22
Cash and bank deposits2 361.464 234.097 724.4910 927.365 253.99
Cash and cash equivalents2 411.214 284.937 777.0210 981.365 307.21
Balance sheet total (assets)22 916.8926 226.2432 581.6135 155.8930 614.88

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital900.00900.00900.00900.00900.00
Shares repurchased500.001 000.007 000.003 000.00
Retained earnings13 221.2214 202.5814 916.7111 085.5613 311.92
Profit of the financial year1 481.361 714.133 168.855 226.35957.61
Shareholders equity total15 602.5817 316.7119 985.5624 211.9218 169.52
Provisions1 300.391 257.001 203.001 351.001 348.24
Non-current leasing loans1 640.501 113.68619.432 640.614 046.79
Non-current liabilities total1 640.501 113.68619.432 640.614 046.79
Current loans from credit institutions438.87486.61494.251 004.37795.23
Advances received51.431 171.294 017.81715.531 635.51
Current trade creditors1 781.292 259.323 426.061 880.321 950.63
Current owed to participating209.04232.45321.75414.65461.45
Current owed to group member110.79
Short-term deferred tax liabilities507.33930.011 311.60261.29
Other non-interest bearing current liabilities1 892.781 881.831 583.731 625.881 810.83
Accruals and deferred income24.59
Current liabilities total4 373.426 538.8510 773.626 952.367 050.33
Balance sheet total (liabilities)22 916.8926 226.2432 581.6135 155.8930 614.88
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