WPP HOLDING DENMARK A/S — Credit Rating and Financial Key Figures

CVR number: 56873619
Glentevej 61, 2400 København NV
heidi.jensen@wunderman.com
tel: 39178889

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales22 715.00
Other operating income9 949.0018 089.0015 845.0011 695.0015 046.00
External services-10 132.00-19 188.00-15 278.00-12 586.00-14 268.00
Gross profit22 532.00-1 099.00567.00- 891.00778.00
Employee benefit expenses- 791.00- 859.00-1 609.00
EBIT21 741.00-1 958.00-1 042.00- 891.00778.00
Other financial income480.00674.00673.00163.00680.00
Other financial expenses- 903.00-1 318.00-1 757.00-3 014.00-1 772.00
Net income from associates (fin.)42 936.0035 182.0049 730.0041 938.00
Pre-tax profit21 318.0040 334.0033 056.0045 988.0041 624.00
Income taxes349.00541.00461.00848.0069.00
Net earnings21 667.0040 875.0033 517.0046 836.0041 693.00

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Tangible assets total
Holdings in group member companies103 237.00145 379.00152 625.00141 561.0097 705.00
Participating interests79 425.0079 425.0079 425.0079 425.0079 425.00
Investments total182 662.00224 804.00232 050.00220 986.00177 130.00
Long term receivables total
Inventories total
Current amounts owed by group member comp.457 332.00496 192.009 264.0020 072.0056 053.00
Current other receivables1 960.002 476.001 474.002 855.0069.00
Current deferred tax assets557.005 805.00461.003 882.0069.00
Short term receivables total459 849.00504 473.0011 199.0026 809.0056 191.00
Cash and bank deposits3 433.0024 265.00
Cash and cash equivalents3 433.0024 265.00
Balance sheet total (assets)645 944.00753 542.00243 249.00247 795.00233 321.00

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital986.00986.00986.00986.00986.00
Shares repurchased30 000.00
Other reserves71 776.00113 918.00122 064.00111 000.0067 144.00
Retained earnings-30 764.00-51 238.00-18 509.0026 072.0086 764.00
Profit of the financial year21 667.0040 875.0033 517.0046 836.0041 693.00
Shareholders equity total63 665.00104 541.00138 058.00184 894.00226 587.00
Non-current liabilities total
Current trade creditors211.002 129.002 053.008 405.00256.00
Current owed to group member579 451.00631 763.00100 278.0051 717.003 912.00
Short-term deferred tax liabilities10 707.00
Other non-interest bearing current liabilities2 617.004 402.002 860.002 779.002 566.00
Current liabilities total582 279.00649 001.00105 191.0062 901.006 734.00
Balance sheet total (liabilities)645 944.00753 542.00243 249.00247 795.00233 321.00
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