WILDERS PLADS EJENDOMME A/S — Credit Rating and Financial Key Figures

CVR number: 26095972
Strandgade 54, 1401 København K
tel: 32544888

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit16 590.2218 385.0321 462.2426 665.2427 232.76
Employee benefit expenses-4 914.06-4 825.77-5 094.41-5 341.06-6 052.96
Total depreciation-85.85-87.25-39.62-68.63-66.86
Reduction in value of non-current assets15 105.9118 297.8820 108.9618 356.9817 731.62
EBIT26 696.2231 769.8936 437.1739 612.5438 844.55
Other financial income112.28106.2097.28164.40147.10
Other financial expenses-4 531.94-4 354.62-5 204.40-10 372.46-10 824.82
Net income from associates (fin.)470.351 906.401 403.641 034.741 573.77
Pre-tax profit22 746.9229 427.8632 733.6830 439.2129 740.60
Income taxes-5 342.62-14 157.24-7 358.09-6 711.44-6 772.41
Net earnings17 404.3015 270.6325 375.5923 727.7622 968.19

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings483 532.25507 003.90529 098.12562 966.09581 535.52
Machinery and equipment152.8465.58310.28241.65174.79
Tangible assets total483 685.08507 069.48529 408.40563 207.74581 710.31
Holdings in group member companies378.18534.58505.26500.82500.35
Participating interests15 990.0515 990.0519 841.9419 996.1221 553.36
Investments total16 368.2316 524.6320 347.2020 496.9422 053.71
Long term receivables total
Inventories total
Current trade debtors194.16159.68588.170.33112.88
Current amounts owed by group member comp.1 139.661 468.73481.54871.50537.39
Prepayments and accrued income606.10542.5289.37486.9133.28
Current other receivables946.85283.15628.70794.012 137.82
Short term receivables total2 886.772 454.081 787.782 152.752 821.37
Cash and bank deposits322.411 598.341 344.293 841.98651.87
Cash and cash equivalents322.411 598.341 344.293 841.98651.87
Balance sheet total (assets)503 262.49527 646.53552 887.67589 699.41607 237.25

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Shares repurchased3 820.505 141.503 472.005 950.005 840.00
Other reserves-29 439.67-23 500.70-4 571.454 006.075 563.31
Retained earnings116 499.47128 762.27128 348.28137 679.54154 010.06
Profit of the financial year17 404.3015 270.6325 375.5923 727.7622 968.19
Shareholders equity total108 784.60126 173.69153 124.42171 863.37188 881.56
Provisions77 629.4089 592.38101 151.89105 422.96109 707.85
Non-current loans from credit institutions261 637.58259 370.86257 383.01290 177.76289 145.68
Non-current other liabilities35 448.8530 553.1811 941.6312 612.5713 736.30
Non-current deferred tax liabilities6 904.38
Non-current liabilities total297 086.44289 924.04276 229.01302 790.33302 881.98
Current loans from credit institutions6 848.903 267.3212 093.282 221.251 743.83
Advances received246.42475.15747.16
Current trade creditors1 846.051 740.471 560.402 363.38929.03
Short-term deferred tax liabilities1 123.305 409.362 440.37567.00
Other non-interest bearing current liabilities10 820.6915 350.182 572.142 597.752 526.00
Current liabilities total19 762.0621 956.4222 382.349 622.755 765.86
Balance sheet total (liabilities)503 262.49527 646.53552 887.67589 699.41607 237.25
Try the full version of our system for free
Bankruptcy risk visualization example

... and more!

No registration needed.