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WIDEX DK A/S — Credit Rating and Financial Key Figures

CVR number: 29819521
Nymøllevej 6, 3540 Lynge
faktura-wdk@widexsound.com
tel: 44356080
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit17 012.2420 121.1732 238.0733 011.8236 000.12
Employee benefit expenses-16 830.86-18 219.71-30 233.69-30 876.52-33 577.10
Total depreciation- 308.15- 481.51- 537.28- 447.03- 486.85
EBIT- 126.771 419.961 467.101 688.271 936.17
Other financial income139.55487.97105.80165.59167.15
Other financial expenses- 735.71- 877.13-1 207.91-1 863.25-3 761.94
Pre-tax profit- 722.941 030.80364.99-9.39-1 658.61
Income taxes- 221.01- 513.99- 245.15- 269.53302.99
Net earnings- 943.95516.81119.84- 278.92-1 355.62

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Machinery and equipment102.06119.2440.4129.3918.37
Other tangible assets565.50336.581 176.681 053.38773.86
Tangible assets total667.56455.821 217.091 082.77792.23
Investments total
Long term receivables total
Raw materials and consumables2 801.032 811.42504.62554.23
Finished products/goods11 577.281 615.6811 186.6012 985.314 972.14
Inventories total14 378.314 427.1011 691.2213 539.544 972.14
Current trade debtors9 230.799 074.768 172.578 515.618 186.55
Current amounts owed by group member comp.14 188.0126 878.3733 780.8650 192.318 419.63
Prepayments and accrued income139.5680.3228.89803.500.69
Current other receivables139.75522.23
Current deferred tax assets59.0976.70207.92127.94
Short term receivables total23 617.4636 249.9242 712.4759 511.4116 734.82
Cash and bank deposits13.733 096.901.433.161.42
Cash and cash equivalents13.733 096.901.433.161.42
Balance sheet total (assets)38 677.0644 229.7355 622.2274 136.8822 500.61

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00500.00500.00500.00
Retained earnings6 073.575 711.826 228.636 348.476 069.56
Profit of the financial year- 943.95516.81119.84- 278.92-1 355.62
Shareholders equity total5 629.626 728.636 848.476 569.565 213.94
Provisions6 956.163 796.144 191.00473.00442.00
Non-current leasing loans322.68160.64810.31765.65345.39
Non-current advances received765.65345.39
Non-current other liabilities1 531.31690.78
Non-current deferred tax liabilities1 768.263 553.613.44
Non-current liabilities total2 090.943 714.25813.753 062.621 381.56
Current trade creditors727.791 305.69899.702 756.91901.17
Current owed to group member12 666.0116 951.4132 035.9550 826.6810 175.01
Short-term deferred tax liabilities761.61360.53597.78398.51
Other non-interest bearing current liabilities9 844.9311 373.0810 235.5712 346.575 423.11
Current liabilities total24 000.3429 990.7143 769.0066 328.6716 499.28
Balance sheet total (liabilities)38 677.0644 229.7355 622.2276 433.8523 536.78
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