INWATEC ApS — Credit Rating and Financial Key Figures

CVR number: 32139922
Hvidkærvej 30, Højme 5250 Odense SV
mads@inwatec.dk
tel: 26876503
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit48 825.6428 606.4950 373.3969 031.8041 190.52
Employee benefit expenses-21 220.35-23 396.39-31 289.50-38 779.76-50 492.08
Total depreciation-1 897.61-4 053.39-3 955.04-3 227.87-4 143.95
EBIT25 707.681 156.7115 128.8527 024.17-13 445.51
Other financial income1.9139.52381.30218.49
Other financial expenses- 274.11- 569.16- 260.92- 277.50-1 231.99
Pre-tax profit25 433.58589.4514 907.4527 127.97-14 459.01
Income taxes-5 328.47181.27-2 996.63-5 901.603 134.64
Net earnings20 105.11770.7211 910.8321 226.37-11 324.38

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure14 182.1415 965.4317 806.0720 240.9522 975.18
Intangible rights527.21517.43805.451 497.831 444.30
Intangible assets total14 709.3516 482.8718 611.5221 738.7824 419.48
Buildings59.71145.86104.9971.4345.31
Machinery and equipment444.93697.06750.991 173.19906.72
Tangible assets total504.63842.92855.981 244.62952.03
Investments total240.00240.00240.00240.00
Long term receivables total
Semifinished products107.0339.35196.382 357.949 492.03
Raw materials and consumables2 248.084 928.4911 218.4713 017.9513 559.72
Finished products/goods45.001 380.00195.00955.12
Inventories total2 400.116 347.8511 414.8515 570.8924 006.87
Current trade debtors5 296.912 022.864 360.215 227.6614 636.51
Current amounts owed by group member comp.14 951.3922 939.2118 491.8523 396.27
Prepayments and accrued income139.39668.07604.15892.91290.70
Current other receivables8 011.836 918.9616 147.8322 702.8715 054.69
Current deferred tax assets1 480.592 429.844 758.96
Short term receivables total13 448.1326 041.8746 481.2347 315.2958 137.13
Cash and bank deposits19 460.59247.27110.08396.65308.05
Cash and cash equivalents19 460.59247.27110.08396.65308.05
Balance sheet total (assets)50 522.8150 202.7677 713.6686 506.22108 063.56

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital140.00140.00140.00140.00140.00
Shares repurchased5 025.00192.002 978.005 307.00
Other reserves11 062.0712 453.0413 888.7415 787.9417 920.64
Retained earnings-6 874.2611 647.888 004.9012 709.5231 803.19
Profit of the financial year20 105.11770.7211 910.8321 226.37-11 324.38
Shareholders equity total29 457.9125 203.6336 922.4655 170.8338 539.45
Provisions4 499.446 130.329 598.287 820.729 336.36
Non-current other liabilities1 496.41
Non-current liabilities total1 496.41
Advances received1 615.837 499.1014 807.201 125.8518 570.26
Current trade creditors5 647.576 888.758 417.526 185.316 568.76
Current owed to group member1 744.134 991.521 851.6430 393.53
Short-term deferred tax liabilities3 810.86654.447 929.66
Other non-interest bearing current liabilities3 994.792 082.392 976.686 422.224 655.20
Current liabilities total15 069.0418 868.8131 192.9223 514.6760 187.74
Balance sheet total (liabilities)50 522.8150 202.7677 713.6686 506.22108 063.56
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