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

CVR number: 32943357
Sandemandsvej 1 A, 3700 Rønne
rvv@rvv.dk
tel: 56910404

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales9 663.0010 252.0010 367.0011 260.0011 297.26
Costs of manufacturing-2 299.00-2 479.00-3 443.00-2 894.00-2 620.59
Gross profit7 363.007 773.006 924.008 366.008 676.67
Costs of management-3 994.00-3 979.00-4 155.00-4 423.00-4 408.44
Costs of distribution-3 265.00-3 646.00-3 970.00-3 698.00-4 168.97
EBIT106.00148.00-1 201.00244.0099.26
Other financial income5.0024.00847.10
Other financial expenses- 104.00-43.00-64.00- 183.00- 137.13
Pre-tax profit2.00105.00-1 261.0085.00809.24
Income taxes38.0016.99
Net earnings2.00105.00-1 261.00123.00826.23

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters786.00856.00826.00797.00767.28
Buildings19 410.0022 322.0022 365.0023 239.0022 919.18
Machinery and equipment372.00340.00224.00832.00769.16
Advance payments and construction in progress152.00126.00125.72
Tangible assets total20 568.0023 518.0023 567.0024 994.0024 581.34
Other non-current investments1.00
Investments total1.00
Long term receivables total
Raw materials and consumables373.00247.00261.00249.00181.14
Inventories total373.00247.00261.00249.00181.14
Current trade debtors328.00227.00337.00677.00467.70
Current other receivables67.00291.00392.00193.00205.85
Current deferred tax assets38.0016.99
Short term receivables total395.00518.00729.00908.00690.54
Cash and bank deposits3 172.004 113.003 816.00742.0084.41
Cash and cash equivalents3 172.004 113.003 816.00742.0084.41
Balance sheet total (assets)24 508.0028 396.0028 374.0026 893.0025 537.44

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital5 000.005 000.005 000.005 000.005 000.00
Retained earnings13 365.0015 875.0015 980.0014 719.0014 842.30
Profit of the financial year2.00105.00-1 261.00123.00826.23
Shareholders equity total18 367.0020 980.0019 719.0019 842.0020 668.52
Provisions-1.001.00
Non-current liabilities total
Current trade creditors963.00888.001 409.00605.00845.56
Current owed to group member2 987.005 828.006 615.005 673.003 477.50
Other non-interest bearing current liabilities1 387.00302.00286.00531.00234.03
Accruals and deferred income805.00398.00344.00242.00311.82
Current liabilities total6 142.007 416.008 654.007 051.004 868.91
Balance sheet total (liabilities)24 508.0028 396.0028 374.0026 893.0025 537.44
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