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WEST-MARINE A/S — Credit Rating and Financial Key Figures

CVR number: 13801282
Fiskerihavnsgade 30, 6700 Esbjerg
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit19 415.4922 416.0121 073.5622 318.9821 457.66
Employee benefit expenses-15 937.15-17 053.03-16 688.78-17 160.28-16 269.96
Total depreciation- 986.13- 823.59- 993.81- 978.61-1 065.11
EBIT2 492.214 539.393 390.984 180.094 122.59
Other financial income39.3595.4420.85117.3651.44
Other financial expenses-38.59-5.62-4.61
Net income from associates (fin.)104.39812.71833.121 321.762 180.76
Pre-tax profit2 597.355 441.934 240.335 619.206 354.80
Income taxes- 541.95-1 032.90- 632.35- 957.78- 923.66
Net earnings2 055.404 409.033 607.984 661.425 431.14

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters4 802.914 472.216 915.096 378.935 842.78
Machinery and equipment1 238.741 312.661 256.231 131.53880.68
Tangible assets total6 041.655 784.878 171.327 510.456 723.46
Holdings in group member companies3 158.193 970.913 804.024 425.785 906.54
Investments total3 158.193 970.913 804.024 425.785 906.54
Non-current loans receivable50.0050.0050.0050.0050.00
Long term receivables total50.0050.0050.0050.0050.00
Semifinished products512.61496.531 075.011 033.44468.40
Raw materials and consumables15.36
Finished products/goods5 545.955 650.335 934.845 189.706 496.35
Inventories total6 058.566 146.867 025.216 223.156 964.75
Current trade debtors8 207.529 492.386 795.185 379.877 282.88
Current amounts owed by group member comp.3 500.005 496.363 429.662 801.601 498.71
Prepayments and accrued income95.4897.09139.93134.79240.78
Current other receivables74.3299.69103.7133.4824.75
Current deferred tax assets165.30440.00607.00784.00972.00
Short term receivables total12 042.6215 625.5111 075.489 133.7410 019.12
Other current investments576.467.227.227.227.22
Cash and bank deposits552.023 316.332 206.333 778.913 683.71
Cash and cash equivalents1 128.483 323.562 213.553 786.143 690.94
Balance sheet total (assets)28 479.5034 901.7132 339.5931 129.2633 354.81

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00500.00500.00500.00
Shares repurchased675.004 375.004 375.004 500.005 000.00
Other reserves2 763.153 470.913 304.023 925.785 406.54
Retained earnings15 434.1612 406.8012 607.7211 093.949 274.60
Profit of the financial year2 055.404 409.033 607.984 661.425 431.14
Shareholders equity total21 427.7125 161.7424 394.7324 681.1525 612.28
Non-current liabilities total
Current loans from credit institutions45.831 615.6328.7745.1249.55
Current trade creditors2 975.793 634.962 659.403 291.993 578.06
Current owed to group member242.50
Short-term deferred tax liabilities562.411 307.60928.69234.78116.39
Other non-interest bearing current liabilities3 225.273 181.774 328.012 876.223 998.53
Current liabilities total7 051.799 739.977 944.876 448.117 742.52
Balance sheet total (liabilities)28 479.5034 901.7132 339.5931 129.2633 354.81
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