danPlast ApS — Credit Rating and Financial Key Figures

CVR number: 34474346
Springstrup 7, 4300 Holbæk
info@danplast.dk
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit3 861.731 745.28946.243 106.135 908.09
Employee benefit expenses-4 349.04-3 621.35-3 784.08-4 483.21-5 241.02
Other operating expenses-30.06
Total depreciation- 113.58- 117.64- 246.54- 391.57-1 159.04
EBIT- 600.90-1 993.71-3 114.44-1 768.65- 491.96
Other financial expenses- 326.10- 268.73- 367.40- 593.20-1 063.00
Pre-tax profit- 927.00-2 262.43-3 481.84-2 361.85-1 554.96
Income taxes197.60497.66765.19517.58340.51
Net earnings- 729.40-1 764.77-2 716.65-1 844.27-1 214.45

Assets (kDKK)

2020
2021
2022
2023
2024
Goodwill150.00100.0050.00
Intangible assets total150.00100.0050.00
Buildings611.37534.321 237.103 843.3810 070.75
Advance payments and construction in progress1 120.95
Tangible assets total611.37534.321 237.103 843.3811 191.70
Investments total
Long term receivables total
Raw materials and consumables1 138.341 307.651 850.123 822.553 462.57
Finished products/goods476.80374.32399.61569.171 048.89
Advance payments12.40
Inventories total1 615.141 681.962 249.734 391.714 523.86
Current trade debtors384.20831.91775.681 629.061 595.03
Current amounts owed by group member comp.1 095.72145.8727.16
Current other receivables603.21550.56283.06903.90545.13
Current deferred tax assets210.43502.37784.68655.40499.86
Short term receivables total2 293.551 884.841 989.303 188.372 667.18
Cash and bank deposits189.0992.161 329.53407.77400.20
Cash and cash equivalents189.0992.161 329.53407.77400.20
Balance sheet total (assets)4 709.164 193.296 955.6511 931.2318 832.94

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital160.00160.00160.00160.00160.00
Retained earnings-1 938.85-2 668.26-4 433.03-7 149.69-8 993.96
Profit of the financial year- 729.40-1 764.77-2 716.65-1 844.27-1 214.45
Shareholders equity total-2 508.26-4 273.03-6 989.69-8 833.96-10 048.41
Provisions21.0525.7745.26183.08342.43
Non-current owed to group member1 704.411 773.869 929.8414 380.0017 121.00
Non-current other liabilities210.24210.24219.60224.67232.27
Non-current liabilities total1 914.661 984.1010 149.4414 604.6717 353.27
Current trade creditors487.90326.95947.81866.373 003.19
Current owed to group member4 361.915 958.572 706.984 856.257 995.13
Other non-interest bearing current liabilities431.90170.9495.84254.82187.33
Current liabilities total5 281.706 456.453 750.645 977.4411 185.65
Balance sheet total (liabilities)4 709.164 193.296 955.6511 931.2318 832.94
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