Source document

Loading document…
KPIsSections8
Headline metrics
RevenueGREENDKK 309.06B+6.4% YoY
Gross marginGREEN81.0%
Net incomeGREENDKK 102.43B
Net marginGREEN33.1%
Operating marginGREEN41.3%
Red flags1 orange
Liquidity1
ORANGE
Current ratio 0.80current_ratio_low
Current assets are below current liabilities — short-term liquidity pressure.
Income Statement
Income Statement
MetricValueFlag
RevenueDKK 309.06BGREEN
Gross Margin81.0%GREEN
Operating Margin41.3%GREEN
Net Margin33.1%GREEN
Gross ProfitDKK 250.28BGREEN
Operating IncomeDKK 127.66BGREEN
Net IncomeDKK 102.43BGREEN
EBITDADKK 149.64BGREEN
R&D ExpenseDKK 52.04BGREEN
Income Tax ExpenseDKK 28.11BGREEN
Pre-tax IncomeDKK 130.54BGREEN
EPS Diluted€23.03GREEN
Interest ExpenseDKK 6.78BGREEN
Cost Of RevenueDKK 58.79BGREEN
Selling General & Admin ExpDKK 5.97BGREEN
Interest and Investment IncomeDKK 9.66BGREEN
Basic EPSDKK 23.06GREEN
R&D % Revenue16.8%GREEN
Balance Sheet
Balance Sheet
MetricValueFlag
Total AssetsDKK 542.90BGREEN
Current AssetsDKK 172.45BGREEN
Current LiabilitiesDKK 215.66BGREEN
Total LiabilitiesDKK 348.86BGREEN
Total EquityDKK 194.05BGREEN
Retained EarningsDKK 195.30BGREEN
Cash & EquivalentsDKK 26.46BGREEN
Long-term DebtDKK 118.94BGREEN
Short-term DebtDKK 12.02BGREEN
Trade ReceivablesDKK 70.86BGREEN
Short Term InvestmentsDKK 498.0MGREEN
InventoryDKK 49.62BGREEN
Gross Property, Plant & EquipmentDKK 208.38BGREEN
GoodwillDKK 19.84BGREEN
Other IntangiblesDKK 110.21BGREEN
Other Current LiabilitiesDKK 39.72BGREEN
Common StockDKK 446.0MGREEN
Treasury StockDKK 2.0MGREEN
Comprehensive Income and Other-DKK 1.70BGREEN
Cash Flow
Cash Flow
MetricValueFlag
Operating Cash FlowDKK 119.10BGREEN
Capital ExpendituresDKK 60.14BGREEN
Investing Cash Flow-DKK 79.16BGREEN
Depreciation & AmortizationDKK 21.98BGREEN
Free Cash FlowDKK 58.96BGREEN
Financing Cash Flow-DKK 28.41BGREEN
Change in Other Net Operating Assets-DKK 3.12BGREEN
Cash AcquisitionsDKK 0GREEN
Sale (Purchase) of InvestmentsDKK 498.0MGREEN
Long Term Debt IssuedDKK 103.93BGREEN
Long Term Debt RepaidDKK 79.19BGREEN
Repurchase of Common StockDKK 1.39BGREEN
Common Dividends PaidDKK 51.76BGREEN
Foreign Exchange Rate Effect-DKK 727.0MGREEN
Cash Interest PaidDKK 3.42BGREEN

Sections in this filing

Key management

Share-based payment expensed in the income statement DKK million 2025 2024 2023 Restricted stock units to employees 576 380 365 Long-term share-based incentive programme (Management Board) 119 314 304 Long-term share-based incentive programme (Management group below Management Board) 437 1,403 1,271 Restricted stock units to individual employees 303 192 209 Share-based payment expensed in the income statement 1,435 2,289 2,149