ANKER & CO A/S — Credit Rating and Financial Key Figures

CVR number: 35858598
Dampfærgevej 13, 2100 København Ø
Free credit report

Income statement (kDKK)

2019
2020
2021
2022
2023
Fiscal period length1212121212
Net sales
Gross profit7 427.8510 749.7216 502.4216 051.6514 906.42
Employee benefit expenses-4 596.46-5 619.26-6 185.68-7 655.15-8 907.23
Total depreciation-2 136.03-1 476.69- 943.01- 660.00- 416.43
EBIT695.363 653.779 373.737 736.505 582.76
Other financial income7.0843.0299.88206.79211.14
Other financial expenses- 103.78-60.43-92.71- 183.86-89.43
Pre-tax profit530.053 636.369 380.907 759.435 704.47
Income taxes- 211.81- 816.79-2 090.40-1 751.80-1 308.72
Net earnings318.242 819.577 290.506 007.634 395.75

Assets (kDKK)

2019
2020
2021
2022
2023
Intangible assets total
Buildings1 345.61575.53353.31170.2750.05
Machinery and equipment1 586.202 496.191 775.39837.40689.17
Advance payments and construction in progress190.00
Tangible assets total3 121.813 071.722 128.711 007.67739.21
Investments total571.73572.83587.71763.75781.65
Long term receivables total
Finished products/goods6 049.476 064.938 880.5210 431.448 299.54
Advance payments90.52
Inventories total6 139.996 064.938 880.5210 431.448 299.54
Current trade debtors3 898.036 299.966 559.238 906.666 525.30
Current amounts owed by group member comp.246.374 180.337 567.891 782.108 349.87
Current other receivables91.3273.220.92118.67206.42
Current deferred tax assets30.09175.70247.40298.01
Short term receivables total4 235.7210 583.6014 303.7411 054.8315 379.59
Cash and bank deposits399.534.103 628.803 418.273 893.07
Cash and cash equivalents399.534.103 628.803 418.273 893.07
Balance sheet total (assets)14 468.7720 297.1929 529.4726 675.9529 093.07

Equity and liabilities (kDKK)

2019
2020
2021
2022
2023
Share capital500.00500.00500.00500.00500.00
Shares repurchased2 500.007 100.002 000.003 400.00
Retained earnings3 745.321 563.56-2 716.872 573.635 181.26
Profit of the financial year318.242 819.577 290.506 007.634 395.75
Shareholders equity total4 563.567 383.1312 173.6311 081.2613 477.01
Provisions116.10
Non-current loans from credit institutions668.97570.11
Non-current liabilities total668.97570.11
Current loans from credit institutions178.541 389.53737.2791.49116.66
Advances received1 527.642 467.483 562.138 721.797 852.64
Current trade creditors2 248.324 054.407 046.183 914.035 283.67
Current owed to participating4.8615.3638.36
Short-term deferred tax liabilities512.92962.982 236.011 823.501 359.32
Other non-interest bearing current liabilities4 652.733 469.563 769.401 028.53965.39
Current liabilities total9 120.1512 343.9517 355.8415 594.7015 616.05
Balance sheet total (liabilities)14 468.7720 297.1929 529.4726 675.9529 093.07
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