REWAIR A/S — Credit Rating and Financial Key Figures

CVR number: 26580501
Falckvænget 1, 4900 Nakskov

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit4 242.841 942.70834.911 706.4110.22
Employee benefit expenses-1 713.85-1 206.43- 853.33-1 339.22-13.73
Total depreciation-1 243.44- 551.88- 433.53- 216.93
EBIT1 285.55184.38- 451.95150.26-3.51
Other financial income27.5321.327.63
Other financial expenses- 182.59-53.80-21.41-76.67-34.81
Pre-tax profit1 130.49151.91- 465.7473.59-38.32
Income taxes- 249.65-34.79100.23-16.308.43
Net earnings880.84117.13- 365.5157.29-29.89

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings1 000.20467.58102.88
Machinery and equipment19.26
Advance payments and construction in progress301.43
Tangible assets total1 019.46467.58404.31
Investments total43.6043.60
Non-current other receivables43.60
Long term receivables total43.60
Raw materials and consumables1 490.94328.76212.46
Finished products/goods836.23246.9720.27
Inventories total2 327.17575.73232.73
Current trade debtors1 892.681 190.89884.31249.49
Current amounts owed by group member comp.34.70742.60885.40189.05
Current other receivables33.6126.69156.56117.768.51
Current deferred tax assets405.17370.39438.30303.1370.78
Short term receivables total2 366.161 587.972 221.761 555.78268.33
Cash and bank deposits1 593.891 793.315.001 402.05261.53
Cash and cash equivalents1 593.891 793.315.001 402.05261.53
Balance sheet total (assets)7 350.294 468.192 907.412 957.82529.86

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Shares repurchased1 500.001 000.001 800.00
Retained earnings2 121.702 002.542 119.67-45.8411.46
Profit of the financial year880.84117.13- 365.5157.29-29.89
Shareholders equity total5 002.543 619.672 254.162 311.45481.56
Non-current other liabilities55.26
Non-current liabilities total55.26
Current loans from credit institutions1.5057.38130.051.061.50
Current trade creditors794.25475.19469.6074.9027.04
Current owed to group member1 024.85228.13
Short-term deferred tax liabilities304.33
Other non-interest bearing current liabilities167.5587.8353.59570.4119.76
Current liabilities total2 292.48848.52653.25646.3748.30
Balance sheet total (liabilities)7 350.294 468.192 907.412 957.82529.86
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