DALBO A/S — Credit Rating and Financial Key Figures

CVR number: 15661135
Bindeballevej 69, 7183 Randbøl
info@dal-bo.dk
tel: 75883500

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit54 231.0069 216.2471 616.3274 363.5052 801.24
Employee benefit expenses-45 258.72-51 352.51-53 760.75-48 366.19
Total depreciation-3 061.49-3 219.95-3 033.84-3 783.26
EBIT5 369.0020 896.0317 043.8617 568.91651.78
Other financial income5.207.347.7633.39
Other financial expenses- 738.76-1 228.02-1 708.15-1 709.92
Pre-tax profit3 501.0020 162.4615 823.1815 868.52-1 024.75
Income taxes-4 400.75-3 478.85-3 642.05164.99
Net earnings3 501.0015 761.7112 344.3312 226.47- 859.76

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure1 127.65
Intangible rights1 026.37752.78647.35
Intangible assets total1 127.651 026.37752.78647.35
Buildings5 604.866 782.1512 810.5212 834.16
Machinery and equipment5 116.944 741.566 417.517 550.24
Advance payments and construction in progress765.81
Tangible assets total11 487.6011 523.7119 228.0420 384.40
Investments total76 881.44
Long term receivables total
Semifinished products9 444.0820 343.6516 412.0810 881.69
Raw materials and consumables25 340.8332 458.6927 997.5527 544.92
Finished products/goods17 955.0825 221.0121 915.0318 394.64
Advance payments2 000.17991.09
Inventories total54 740.1779 014.4366 324.6656 821.25
Current trade debtors31 910.1947 915.9739 478.7516 736.59
Prepayments and accrued income533.82626.16583.03749.05
Current other receivables1 624.571 436.951 158.512 594.07
Current deferred tax assets1 541.02
Short term receivables total34 068.5849 979.0841 220.3021 620.73
Other current investments16.8522.5722.5722.57
Cash and bank deposits2 273.562 290.416 668.941 200.866 767.43
Cash and cash equivalents2 273.562 307.266 691.501 223.436 789.99
Balance sheet total (assets)79 155.00103 731.26148 235.08128 749.20106 263.72

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital32 538.001 111.111 000.001 000.001 000.00
Retained earnings-3 501.0036 464.3552 257.3065 309.8577 536.32
Profit of the financial year3 501.0015 761.7112 344.3312 226.47- 859.76
Shareholders equity total32 538.0053 337.1765 601.6478 536.3277 676.56
Provisions2 167.912 859.913 058.872 306.82
Non-current leasing loans1 360.351 052.86723.45462.42
Non-current deferred tax liabilities2 394.562 408.111 143.791 612.78
Non-current liabilities total3 754.913 460.961 867.232 075.20
Current loans from credit institutions5 216.6131 975.5216 722.561 583.51
Advances received2 131.261 002.523 032.44
Current trade creditors18 122.2027 867.8615 136.1911 928.92
Current owed to group member2 387.30
Short-term deferred tax liabilities2 311.382 626.042 047.17
Other non-interest bearing current liabilities15 023.9811 711.8910 378.345 272.96
Accruals and deferred income3 797.11
Current liabilities total44 471.2776 312.5645 286.7824 205.14
Balance sheet total (liabilities)32 538.00103 731.26148 235.08128 749.20106 263.72
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