GLOSTRUP VAND A/S — Credit Rating and Financial Key Figures

CVR number: 33043201
Ørnebjergvej 7, 2600 Glostrup
forsyning@glostrupforsyning.dk
tel: 43208020
www.glostrupforsyning.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales17 328.7917 499.3218 872.6620 704.7215 623.16
Costs of manufacturing-4 191.05-4 426.29-5 255.42-4 510.46-4 328.21
Gross profit13 137.7413 073.0213 617.2416 194.2611 294.95
Costs of management-2 680.83-2 314.25-2 266.11-1 963.89-1 945.08
Costs of distribution-5 776.89-5 400.44-5 495.58-7 067.09-6 230.85
Other operating expenses- 399.05- 432.57- 424.73- 413.28- 459.58
EBIT4 680.035 358.345 855.567 163.283 119.03
Other financial income53.95688.76924.08
Other financial expenses-1 676.83-1 369.45-1 204.20-1 035.73-1 136.61
Pre-tax profit3 020.353 972.164 698.346 823.572 868.21
Income taxes- 766.94- 857.37-1 025.11-1 570.90- 648.22
Net earnings2 253.413 114.793 673.235 252.682 219.99

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters18 393.1118 183.3717 599.1816 897.8716 254.52
Buildings142 175.50162 049.47161 799.92166 743.39165 681.33
Machinery and equipment628.64458.92592.07896.91650.08
Advance payments and construction in progress25 390.774 962.904 819.86760.473 667.70
Tangible assets total186 588.01185 654.66184 811.03185 298.64186 253.62
Investments total
Long term receivables total
Finished products/goods1 019.301 219.251 635.551 587.211 581.67
Inventories total1 019.301 219.251 635.551 587.211 581.67
Current trade debtors4 030.174 263.211 747.796 634.661 984.34
Current amounts owed by group member comp.1 996.061 311.051 417.89395.861 811.94
Prepayments and accrued income375.08
Current other receivables37.31200.08323.30211.04164.01
Current deferred tax assets2 917.863 177.483 177.482 814.182 814.18
Short term receivables total8 981.408 951.836 666.4610 055.747 149.56
Cash and bank deposits12 935.5420 717.6322 838.9027 135.2230 376.32
Cash and cash equivalents12 935.5420 717.6322 838.9027 135.2230 376.32
Balance sheet total (assets)209 524.25216 543.36215 951.94224 076.81225 361.17

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital5 000.005 000.005 000.005 000.005 000.00
Retained earnings119 085.54119 345.26122 460.05126 133.28131 385.95
Profit of the financial year2 253.413 114.793 673.235 252.682 219.99
Shareholders equity total126 338.95127 460.05131 133.28136 385.95138 605.94
Provisions2 065.392 981.993 830.395 401.296 049.51
Non-current loans from credit institutions70 155.5073 956.8271 843.7172 114.3569 912.41
Non-current other liabilities1 053.744 296.133 033.302 364.133 576.11
Non-current liabilities total71 209.2478 252.9574 877.0174 478.4873 488.52
Current loans from credit institutions1 913.942 074.412 082.482 188.562 232.96
Current trade creditors2 259.26832.76837.95935.42960.17
Current owed to group member169.45108.94
Other non-interest bearing current liabilities4 593.663 870.762 472.324 687.124 024.07
Accruals and deferred income974.351 070.44609.57
Current liabilities total9 910.677 848.386 111.267 811.107 217.20
Balance sheet total (liabilities)209 524.25216 543.36215 951.94224 076.81225 361.17
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