LAKUDA ApS — Credit Rating and Financial Key Figures

CVR number: 25628829
Spettrupvej 1 A, 8722 Hedensted
llh@lakuda.dk
tel: 76407010
www.lakuda.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit16 209.7613 844.5820 359.5918 257.7822 628.54
Employee benefit expenses-11 676.03-16 174.50-16 500.81-14 878.40-17 805.52
Total depreciation- 363.18- 336.13- 295.08- 271.64- 297.33
EBIT4 170.55-2 666.053 563.703 107.754 525.70
Other financial income9.1810.4312.6047.6556.22
Other financial expenses- 311.93- 509.09-1 101.65-1 580.49-1 888.46
Net income from associates (fin.)-57.77- 576.76- 275.0085.6573.51
Pre-tax profit3 810.03-3 741.472 199.651 660.562 766.96
Income taxes- 852.93835.28- 297.77- 410.58- 631.40
Net earnings2 957.10-2 906.191 901.881 249.982 135.56

Assets (kDKK)

2020
2021
2022
2023
2024
Goodwill1 340.981 149.41957.85766.28574.71
Intangible assets total1 340.981 149.41957.85766.28574.71
Buildings3.36
Machinery and equipment295.86250.32179.09223.30232.07
Tangible assets total299.23250.32179.09223.30232.07
Holdings in group member companies38.16
Investments total38.16
Long term receivables total
Finished products/goods23 533.6129 877.7827 264.6124 957.3325 933.21
Advance payments742.271 403.13851.90834.65999.82
Inventories total24 275.8731 280.9228 116.5125 791.9826 933.03
Current trade debtors8 106.969 968.139 376.279 961.249 563.33
Current amounts owed by group member comp.930.341 329.71419.651 638.271 873.79
Prepayments and accrued income697.02699.76757.66874.361 148.88
Current other receivables566.51604.17409.41366.39331.32
Current deferred tax assets578.01315.80
Short term receivables total10 300.8413 179.7811 278.8112 840.2512 917.31
Other current investments5.255.255.255.255.25
Cash and bank deposits3 439.17387.57616.84799.721 509.08
Cash and cash equivalents3 444.42392.82622.09804.971 514.33
Balance sheet total (assets)39 699.5046 253.2541 154.3440 426.7942 171.46

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital1 000.001 000.001 000.001 000.001 000.00
Shares repurchased226.00250.00250.00250.00
Retained earnings5 763.558 720.655 564.467 216.348 216.32
Profit of the financial year2 957.10-2 906.191 901.881 249.982 135.56
Shareholders equity total9 946.656 814.468 716.349 716.3211 601.89
Provisions242.5852.50257.69
Non-current loans from credit institutions3 208.953 693.054 231.24
Non-current deferred tax liabilities203.85
Non-current liabilities total3 208.953 693.054 435.10
Current loans from credit institutions10 573.5614 843.408 735.089 325.817 276.35
Current trade creditors13 504.9919 992.6317 254.4613 407.8313 024.35
Short-term deferred tax liabilities906.95832.46
Other non-interest bearing current liabilities4 524.773 770.303 239.514 231.285 576.08
Current liabilities total29 510.2839 438.7929 229.0526 964.9225 876.78
Balance sheet total (liabilities)39 699.5046 253.2541 154.3440 426.7942 171.46
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