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WELLMORE A/S — Credit Rating and Financial Key Figures

CVR number: 36499877
Tybovej 3, 6040 Egtved
post@wellmore.dk
tel: 75551702
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit8 180.806 418.145 618.796 926.448 277.32
Employee benefit expenses-4 845.87-5 088.85-3 885.58-4 344.60-5 268.84
Other operating expenses-5.00-96.01- 609.00- 345.74
Total depreciation- 345.81- 419.02-93.72- 119.78- 187.14
EBIT2 984.12910.271 543.471 853.072 475.60
Other financial income30.604.18
Other financial expenses- 107.98- 202.24- 266.89- 133.26- 270.78
Pre-tax profit2 906.74712.201 276.581 719.812 204.82
Income taxes- 643.15- 160.02- 284.89- 386.83- 486.77
Net earnings2 263.59552.18991.691 332.981 718.05

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Machinery and equipment401.41201.75213.62425.23729.78
Tangible assets total401.41201.75213.62425.23729.78
Investments total
Long term receivables total
Finished products/goods12 100.7517 143.6010 965.3210 165.7511 384.66
Advance payments5 318.901 156.20886.281 668.081 112.92
Inventories total17 419.6518 299.8011 851.6011 833.8312 497.59
Current trade debtors3 463.872 205.193 632.673 057.564 020.06
Current amounts owed by group member comp.991.5336.25
Prepayments and accrued income34.9840.0770.10131.80
Current other receivables40.00721.8827.6410.64
Current deferred tax assets8.0053.0053.3048.00
Short term receivables total4 530.382 213.194 447.623 208.604 246.76
Cash and bank deposits75.6543.8852.5431.8349.03
Cash and cash equivalents75.6543.8852.5431.8349.03
Balance sheet total (assets)22 427.1020 758.6116 565.3815 499.4917 523.15

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital1 000.001 000.001 000.001 000.001 000.00
Shares repurchased6 288.28
Other reserves-6 288.28
Retained earnings3 739.176 002.766 554.951 258.362 591.34
Profit of the financial year2 263.59552.18991.691 332.981 718.05
Shareholders equity total7 002.767 554.958 546.643 591.345 309.39
Provisions71.11120.85320.85350.00370.17
Non-current liabilities total
Current loans from credit institutions6 819.802 087.802 512.433 184.144 429.72
Advances received184.47183.26331.97258.86582.54
Current trade creditors1 591.821 080.291 554.961 449.401 540.06
Current owed to participating2 512.282 055.901 958.104 892.652 624.54
Current owed to group member6 589.20457.04
Short-term deferred tax liabilities602.38171.59329.89387.13481.47
Other non-interest bearing current liabilities3 642.48914.771 010.541 385.961 728.22
Current liabilities total15 353.2213 082.827 697.8911 558.1411 843.59
Balance sheet total (liabilities)22 427.1020 758.6116 565.3815 499.4917 523.15
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