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LECUSSE WINE A/S — Credit Rating and Financial Key Figures

CVR number: 73635810
Kratbjerg 332, 3480 Fredensborg
post@chateaulecusse.dk
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit- 161.83- 210.20- 179.54-56.84-92.84
Employee benefit expenses-5.78-10.00-20.00
EBIT- 156.06- 210.20- 189.54-76.84-92.84
Other financial income- 106.09159.420.0970.33
Other financial expenses- 504.99- 705.95- 859.18-1 082.37-1 171.35
Net income from associates (fin.)-1 811.26-3 768.51-5 967.70
Pre-tax profit-2 578.39-4 684.65-6 857.01-1 159.12-1 193.87
Income taxes- 110.82972.231 439.431 948.34612.45
Net earnings-2 689.22-3 712.42-5 417.58789.22- 581.42

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Tangible assets total
Investments total
Non-curr. owed by group member comp.48 773.8457 823.8864 408.1073 239.8968 149.66
Non-current loans receivable12 396.5310 521.067 055.393 122.6413 552.63
Non-current other receivables691.501 617.291 531.791 389.831 004.01
Deferred tax assets4 326.433 437.293 378.163 936.674 286.47
Long term receivables total66 188.3073 399.5176 373.4481 689.0386 992.77
Raw materials and consumables2.822.82
Finished products/goods69.99117.4352.7543.7539.30
Inventories total72.80120.2552.7543.7539.30
Current trade debtors15.090.11
Current amounts owed by group member comp.0.90
Current other receivables17.300.0815.241.800.49
Short term receivables total33.290.0815.241.800.61
Cash and bank deposits24.9810.8212.301.6637.18
Cash and cash equivalents24.9810.8212.301.6637.18
Balance sheet total (assets)66 319.3873 530.6676 453.7381 736.2487 069.86

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital1 000.001 000.001 000.001 000.001 000.00
Share premium account29 500.0029 500.0029 500.00
Retained earnings-13 062.22-15 585.14-19 297.573 326.464 115.68
Profit of the financial year-2 689.22-3 712.42-5 417.58789.22- 581.42
Shareholders equity total14 748.5711 202.435 784.865 115.684 534.26
Provisions20 992.4822 226.1924 761.4623 725.2624 466.63
Non-current owed to group member30 413.3439 935.8945 610.7152 703.6357 896.04
Non-current liabilities total30 413.3439 935.8945 610.7152 703.6357 896.04
Current trade creditors160.00159.88288.12191.66172.93
Other non-interest bearing current liabilities4.996.278.59
Current liabilities total164.99166.15296.71191.66172.93
Balance sheet total (liabilities)66 319.3873 530.6676 453.7381 736.2487 069.86
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