VOLUE TECHNOLOGY DENMARK A/S — Credit Rating and Financial Key Figures

CVR number: 34477396
Mileparken 22, 2740 Skovlunde
richard.schytte@volue.com
tel: 70707404
www.volue.com
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit27 232.3826 897.8930 607.1035 264.2728 526.08
Employee benefit expenses-20 942.12-20 246.77-25 869.75-25 684.47-25 618.05
Total depreciation-43.16-38.41-29.65- 144.01-74.05
EBIT6 247.106 612.714 707.709 435.792 833.99
Other financial income68.650.0616.54650.451 686.47
Other financial expenses-46.96- 137.63-22.21-65.76-1 040.70
Pre-tax profit6 268.796 475.154 702.0310 020.483 479.76
Income taxes-1 346.61-1 427.97-1 039.04-2 297.60- 779.59
Net earnings4 922.185 047.173 662.997 722.882 700.17

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Machinery and equipment164.36125.9496.29121.0446.99
Tangible assets total164.36125.9496.29121.0446.99
Investments total635.35530.72530.72537.31
Long term receivables total
Inventories total
Current trade debtors6 075.186 024.218 830.329 372.986 586.52
Current amounts owed by group member comp.17 885.6811 064.8116 722.7830 478.3936 863.69
Prepayments and accrued income5 769.027 499.443 071.002 140.25
Current other receivables921.85539.22208.85601.086 721.38
Current deferred tax assets26.76221.88616.503 490.56281.61
Short term receivables total30 678.4925 349.5629 449.4643 943.0152 593.46
Cash and bank deposits106.79193.44
Cash and cash equivalents106.79193.44
Balance sheet total (assets)30 842.8526 110.8630 076.4744 701.5653 371.20

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital1 500.001 500.001 500.001 500.001 500.00
Retained earnings4 685.389 479.2214 526.3918 189.3925 912.27
Profit of the financial year4 922.185 047.173 662.997 722.882 700.17
Shareholders equity total11 107.5616 026.3919 689.3927 412.2730 112.44
Provisions414.511 480.13458.07
Non-current liabilities total
Advances received312.88334.38174.25
Current trade creditors5 741.04837.253 357.351 665.062 715.23
Current owed to group member414.39672.82380.986 172.184 867.33
Short-term deferred tax liabilities1 089.07750.10427.98571.30
Other non-interest bearing current liabilities6 850.584 612.983 486.067 042.5212 811.98
Accruals and deferred income5 327.332 876.922 573.93501.431 834.84
Current liabilities total19 735.2910 084.469 972.5715 809.1622 800.69
Balance sheet total (liabilities)30 842.8526 110.8630 076.4744 701.5653 371.20
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