DANTOY A/S — Credit Rating and Financial Key Figures

CVR number: 14252096
Sjællandsvej 4, 9500 Hobro
tel: 98510008

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit34 732.1851 686.7538 245.6733 294.5331 742.36
Employee benefit expenses-24 066.72-34 826.74-29 598.75-25 566.67-23 341.69
Other operating expenses- 377.46- 235.51
Total depreciation-2 887.27-3 042.62-3 011.82-2 967.41-3 003.73
EBIT7 778.1913 817.395 635.094 382.995 161.43
Other financial income6.0614.4617.27
Other financial expenses- 766.88-1 063.16-1 384.46-1 517.47-1 490.21
Pre-tax profit7 011.3212 754.234 256.692 879.973 688.49
Income taxes-1 550.70-2 811.28- 916.48- 620.45- 799.30
Net earnings5 460.619 942.943 340.212 259.522 889.19

Assets (kDKK)

2020
2021
2022
2023
2024
Development expenditure156.05310.14
Intangible rights187.9144.7417.6057.6188.33
Intangible assets total187.9144.7417.60213.66398.46
Buildings16 755.0915 832.8918 312.6416 816.8513 983.73
Machinery and equipment1 239.141 184.95967.49767.051 739.11
Advance payments and construction in progress73.44276.121 035.1291.23115.80
Tangible assets total18 067.6717 293.9620 315.2517 675.1215 838.64
Investments total
Long term receivables total
Semifinished products11 729.2712 491.329 538.4611 653.839 572.87
Raw materials and consumables9 154.699 324.877 359.895 890.925 782.66
Finished products/goods10 256.7412 660.6712 142.118 293.869 621.81
Inventories total31 140.7034 476.8729 040.4725 838.6224 977.34
Current trade debtors7 109.0110 658.818 860.947 411.946 871.90
Current amounts owed by group member comp.14.78326.73386.38162.23950.39
Prepayments and accrued income222.17637.61357.10453.72589.83
Current other receivables1 470.041 443.721 253.751 348.64978.75
Current deferred tax assets362.16
Short term receivables total8 815.9913 066.8710 858.179 376.539 753.03
Cash and bank deposits19.0119.8127.09659.75609.94
Cash and cash equivalents19.0119.8127.09659.75609.94
Balance sheet total (assets)58 231.2864 902.2560 258.5853 763.6851 577.42

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital5 000.005 000.005 000.005 000.005 000.00
Shares repurchased5 200.001 000.003 000.002 300.002 850.00
Other reserves241.91
Retained earnings3 637.40298.017 240.968 281.177 448.78
Profit of the financial year5 460.619 942.943 340.212 259.522 889.19
Shareholders equity total19 298.0116 240.9618 581.1717 840.6818 429.88
Provisions2 484.002 396.002 455.292 350.432 557.89
Non-current leasing loans3 705.382 965.834 132.783 144.781 511.18
Non-current other liabilities1 781.771 631.10
Non-current deferred tax liabilities1 592.361 582.711 563.21
Non-current liabilities total5 487.154 596.935 725.144 727.483 074.39
Current loans from credit institutions18 963.0026 851.6726 290.6219 151.1723 173.60
Current trade creditors5 861.486 062.313 080.104 140.962 687.62
Current owed to group member255.40106.921 519.9934.71
Short-term deferred tax liabilities1 619.702 899.28857.19327.32
Other non-interest bearing current liabilities4 262.545 748.183 269.083 705.641 619.34
Current liabilities total30 962.1241 668.3633 496.9828 845.0827 515.27
Balance sheet total (liabilities)58 231.2864 902.2560 258.5853 763.6851 577.42
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