WALDORF HERSTED & RAGN ApS OF COPENHAGEN — Credit Rating and Financial Key Figures

CVR number: 49863918
Frederiksværkvej 20 C, 3600 Frederikssund
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit2 887.743 053.652 916.573 122.922 267.66
Employee benefit expenses-1 918.97-2 052.37-1 981.64-1 315.81-1 338.12
Total depreciation- 111.78- 123.15- 123.15-58.41
EBIT857.00878.13811.781 748.71929.54
Other financial income381.62102.23311.96792.33210.05
Other financial expenses-19.48- 681.34-0.80-24.08-6.47
Pre-tax profit1 219.14299.031 122.942 516.961 133.12
Income taxes- 268.27-66.01- 507.36- 298.97- 253.14
Net earnings950.87233.02615.582 217.99879.98

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters2 768.522 931.202 866.45
Machinery and equipment175.22116.8158.41
Tangible assets total2 943.743 048.012 924.86
Investments total106.65106.65211.65105.00105.00
Long term receivables total
Finished products/goods1 899.322 302.822 048.861 874.781 837.76
Inventories total1 899.322 302.822 048.861 874.781 837.76
Current trade debtors2 057.821 858.692 154.221 467.931 527.20
Prepayments and accrued income20.7619.9219.9219.9227.26
Current other receivables4.38200.12206.893.557.20
Current deferred tax assets12.019.01
Short term receivables total2 082.962 078.742 381.041 503.411 570.67
Other current investments3 842.064 243.364 439.785 014.56282.66
Cash and bank deposits3 931.873 145.103 725.158 970.8514 467.99
Cash and cash equivalents7 773.937 388.478 164.9313 985.4114 750.65
Balance sheet total (assets)14 806.6014 924.6815 731.3317 468.6018 264.08

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital200.00200.00200.00200.00200.00
Shares repurchased100.0030.0070.0070.00
Retained earnings12 590.1513 441.0113 644.0314 189.6116 337.61
Profit of the financial year950.87233.02615.582 217.99879.98
Shareholders equity total13 741.0113 974.0314 489.6116 677.6117 487.58
Provisions19.6915.15
Non-current liabilities total
Current trade creditors189.86411.35266.11166.24205.13
Current owed to group member1.433.645.45
Short-term deferred tax liabilities254.3636.92473.94271.60194.07
Other non-interest bearing current liabilities601.67487.23500.24
Current liabilities total1 045.90935.501 241.71441.48404.65
Balance sheet total (liabilities)14 806.6014 924.6815 731.3317 119.0917 892.24
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