GLAD FONDEN — Credit Rating and Financial Key Figures

CVR number: 27610013
Rentemestervej 45, 2400 København NV
tel: 38120101
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit45 850.2444 935.0742 814.1345 449.0048 890.74
Employee benefit expenses-44 851.07-42 118.60-41 401.92-43 655.65-46 191.28
Total depreciation- 157.55- 195.11- 210.66- 224.28- 137.84
EBIT841.632 621.361 201.551 569.072 561.63
Other financial income122.11153.94150.03182.01273.04
Other financial expenses- 132.95- 104.73- 198.26- 190.63- 132.20
Pre-tax profit830.792 670.581 153.321 560.452 702.47
Net earnings830.792 670.581 153.321 560.452 702.47

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Buildings426.20327.60228.99171.9597.47
Machinery and equipment312.28215.77297.17175.87112.51
Tangible assets total738.48543.37526.16347.82209.98
Holdings in group member companies5 050.005 050.005 050.005 050.005 050.00
Investments total6 721.766 783.816 981.777 135.686 907.89
Non-curr. owed by group member comp.4 001.915 777.324 992.496 514.857 296.16
Long term receivables total4 001.915 777.324 992.496 514.857 296.16
Inventories total
Current trade debtors2 211.882 873.065 425.811 334.53775.55
Current owed by particip. interest comp.15.44
Prepayments and accrued income407.1922.09
Current other receivables2 615.60620.17501.87402.56498.00
Short term receivables total5 234.673 493.235 927.681 737.091 311.08
Other current investments80.00
Cash and bank deposits2 084.5265.83160.574 737.137 109.54
Cash and cash equivalents2 164.5265.83160.574 737.137 109.54
Balance sheet total (assets)18 861.3316 663.5718 588.6720 472.5822 834.66

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital300.00300.00300.00300.00300.00
Other reserves97.1697.1697.1697.1697.16
Retained earnings898.291 325.523 835.914 789.235 149.68
Profit of the financial year830.792 670.581 153.321 560.452 702.47
Shareholders equity total2 126.234 393.265 386.396 746.848 249.31
Non-current loans from credit institutions2 804.642 600.81969.87
Non-current other liabilities4 277.353 789.403 352.32
Non-current liabilities total7 081.996 390.214 322.19
Current loans from credit institutions256.00276.00731.10243.76541.84
Advances received1 383.34
Current trade creditors231.32809.26600.05721.04737.52
Current owed to group member1 751.27526.31685.64252.781 000.00
Other non-interest bearing current liabilities4 539.452 978.421 881.538 145.645 439.28
Accruals and deferred income1 491.731 290.114 981.774 362.526 866.71
Current liabilities total9 653.115 880.108 880.0813 725.7414 585.35
Balance sheet total (liabilities)18 861.3316 663.5718 588.6720 472.5822 834.66
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