PILKINGTON DANMARK A/S — Credit Rating and Financial Key Figures

CVR number: 15790407
Ejby Industrivej 124, 2600 Glostrup
info@pilkington.dk
tel: 43967096
www.pilkington.dk/autoglas
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit13 001.2012 934.3414 494.4416 766.8013 536.23
Employee benefit expenses-10 572.04-10 086.50-10 190.68-11 664.75-11 021.45
Total depreciation-81.88
EBIT2 347.282 847.844 303.765 102.062 514.79
Other financial income68.7028.2888.90255.79174.55
Other financial expenses- 534.72- 190.75- 604.94- 755.46- 505.28
Pre-tax profit1 881.262 685.373 787.724 602.392 184.06
Income taxes725.003 250.00-4 190.00800.00
Net earnings2 606.262 685.377 037.72412.382 984.06

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Advance payments and construction in progress97.40
Tangible assets total97.40
Investments total853.13853.13891.98891.98891.98
Long term receivables total
Raw materials and consumables6.74
Finished products/goods9 258.638 693.909 632.988 511.5110 074.64
Inventories total9 265.378 693.909 632.988 511.5110 074.64
Current trade debtors7 526.367 364.059 147.4413 714.125 910.42
Current amounts owed by group member comp.662.385 532.453 183.82558.802 418.79
Prepayments and accrued income80.53132.37130.25107.62320.58
Current other receivables13.5936.9052.4782.00
Current deferred tax assets1 650.001 650.004 900.00710.001 510.00
Short term receivables total9 932.8614 715.7717 413.9715 172.5310 159.78
Cash and bank deposits2 515.262 030.73329.55315.633 478.51
Cash and cash equivalents2 515.262 030.73329.55315.633 478.51
Balance sheet total (assets)22 566.6226 293.5328 365.8824 891.6524 604.91

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital1 000.001 000.001 000.001 000.001 000.00
Shares repurchased14 700.005 500.00
Retained earnings9 488.90-2 604.8380.531 618.252 030.64
Profit of the financial year2 606.262 685.377 037.72412.382 984.06
Shareholders equity total13 095.1715 780.538 118.258 530.646 014.69
Non-current owed to group member8 602.863 717.375 038.52
Non-current other liabilities800.80771.57
Non-current deferred tax liabilities771.57741.13643.58
Non-current liabilities total800.80771.579 374.434 458.505 682.10
Current trade creditors1 956.953 184.494 047.774 228.317 638.75
Current owed to group member4 167.984 165.444 450.075 209.963 219.52
Other non-interest bearing current liabilities2 545.722 391.492 375.352 464.242 049.85
Current liabilities total8 670.669 741.4210 873.1911 902.5112 908.12
Balance sheet total (liabilities)22 566.6226 293.5328 365.8824 891.6524 604.91
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