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VVSPlan ApS — Credit Rating and Financial Key Figures

CVR number: 34086826
Farum Gydevej 63, 3520 Farum
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit6 803.217 518.507 897.199 770.4311 491.28
Employee benefit expenses-6 099.96-6 653.47-7 196.91-8 882.04-10 383.12
Other operating expenses-40.00
Total depreciation- 137.95- 158.30- 186.03- 145.60- 142.78
EBIT565.31666.74514.25742.79965.38
Other financial income1.9913.199.12166.0218.31
Other financial expenses-33.62-57.47- 156.48- 412.57- 332.56
Pre-tax profit533.68622.46366.88496.24651.12
Income taxes- 168.05- 197.65-33.26- 221.64- 219.29
Net earnings365.63424.81333.62274.59431.83

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings112.0775.90675.86610.23528.68
Machinery and equipment415.97345.75231.92112.07162.61
Tangible assets total528.04421.64907.79722.30691.29
Investments total
Non-current other receivables210.40177.90122.9032.7033.68
Long term receivables total210.40177.90122.9032.7033.68
Raw materials and consumables788.29756.191 025.421 192.041 323.62
Finished products/goods238.03372.39
Inventories total788.29994.221 397.811 192.041 323.62
Current trade debtors3 254.643 181.134 979.596 025.786 495.14
Current amounts owed by group member comp.343.42311.50326.03
Prepayments and accrued income209.57305.33205.80233.86332.90
Current other receivables134.76458.601 209.85340.14298.00
Short term receivables total3 598.973 945.066 738.666 911.287 452.07
Cash and bank deposits82.0062.604.4221.8352.61
Cash and cash equivalents82.0062.604.4221.8352.61
Balance sheet total (assets)5 207.695 601.429 171.578 880.159 553.28

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital182.00182.00182.00182.00182.00
Retained earnings770.121 135.751 560.551 894.172 168.77
Profit of the financial year365.63424.81333.62274.59431.83
Shareholders equity total1 317.751 742.562 076.172 350.772 782.60
Provisions50.47152.8464.2870.9074.35
Non-current other liabilities478.32488.36
Non-current deferred tax liabilities505.45821.12540.40
Non-current liabilities total478.32488.36505.45821.12540.40
Current loans from credit institutions797.55971.072 521.511 983.061 335.30
Current trade creditors697.38699.942 152.831 429.912 145.38
Current owed to group member182.34151.98
Other non-interest bearing current liabilities1 683.891 394.681 851.322 224.382 675.25
Current liabilities total3 361.163 217.676 525.665 637.366 155.93
Balance sheet total (liabilities)5 207.695 601.429 171.578 880.159 553.28
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