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WOW PARK Skjern ApS — Credit Rating and Financial Key Figures

CVR number: 35141030
Løvstrupvej 1, Finderup 6900 Skjern
www.wowpark.dk
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit3 854.994 143.763 863.634 237.435 310.85
Employee benefit expenses-2 050.44-2 175.03-2 396.35-2 882.75-3 292.34
Other operating expenses-92.00-0.90
Total depreciation- 286.34- 353.70- 391.51- 576.46- 643.07
EBIT1 518.221 523.021 074.87778.221 375.44
Other financial income0.284.5014.3112.6613.87
Other financial expenses-48.34-24.66-6.20-10.00-6.34
Pre-tax profit1 470.161 502.861 082.97780.871 382.96
Income taxes- 324.95- 331.42- 238.63- 173.43- 305.64
Net earnings1 145.201 171.44844.33607.451 077.32

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters1 150.621 331.111 094.353 521.282 989.20
Buildings622.23575.83529.43791.51729.20
Machinery and equipment231.06198.69246.34138.03127.41
Advance payments and construction in progress661.5025.92
Tangible assets total2 003.912 105.632 531.624 450.823 871.72
Investments total
Long term receivables total
Raw materials and consumables38.5361.53132.75100.59113.26
Inventories total38.5361.53132.75100.59113.26
Current trade debtors12.8664.55
Prepayments and accrued income1.081.131.202.50
Current other receivables197.01157.04142.98147.71
Current deferred tax assets44.5930.22
Short term receivables total13.94242.72158.23237.75150.21
Cash and bank deposits3 108.573 221.602 895.551 956.023 118.66
Cash and cash equivalents3 108.573 221.602 895.551 956.023 118.66
Balance sheet total (assets)5 164.955 631.495 718.156 745.197 253.85

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital80.0080.0080.0080.0080.00
Shares repurchased250.00250.00500.001 000.00
Retained earnings1 315.272 210.473 381.923 726.253 333.70
Profit of the financial year1 145.201 171.44844.33607.451 077.32
Shareholders equity total2 790.473 711.924 306.254 913.705 491.01
Provisions45.6991.2092.93124.78137.17
Non-current loans from credit institutions51.59
Non-current liabilities total51.59
Current loans from credit institutions64.4951.59
Advances received35.6545.4052.92113.52212.83
Current trade creditors227.33645.08299.24478.89313.57
Current owed to group member371.90916.50672.94971.74899.74
Short-term deferred tax liabilities38.3536.868.65
Other non-interest bearing current liabilities1 539.48169.81257.01142.56190.88
Current liabilities total2 277.201 828.371 318.971 706.711 625.67
Balance sheet total (liabilities)5 164.955 631.495 718.156 745.197 253.85
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