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DSDVY DSV A/S UNSP ADR EACH REPR 0.5 ORD

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  • 73.790
  • 0.0000.00%
15min DelayClose Apr 26 16:00 ET
30.79BMarket Cap19.24P/E (TTM)

DSV A/S UNSP ADR EACH REPR 0.5 ORD Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-44.24%6.51B
-45.91%4.53B
-45.91%4.53B
-33.29%8.6B
-13.17%9.85B
5.73%11.68B
1.01%8.38B
1.01%8.38B
58.46%12.89B
457.92%11.35B
-Cash and cash equivalents
-44.24%6.51B
-45.91%4.53B
-45.91%4.53B
-33.29%8.6B
-13.17%9.85B
5.73%11.68B
1.01%8.38B
1.01%8.38B
58.46%12.89B
457.92%11.35B
-Accounts receivable
-8.53%24.3B
-31.16%22.3B
-31.16%22.3B
-44.18%22.01B
-40.49%24.24B
-32.31%26.57B
-10.95%32.39B
-10.95%32.39B
16.13%39.43B
74.36%40.73B
-Other receivables
5.51%10.49B
-6.99%9.27B
-6.99%9.27B
-22.96%10.03B
-31.07%8.97B
-23.33%9.94B
-27.83%9.96B
-27.83%9.96B
15.58%13.02B
70.63%13.01B
Inventory
94.97%5.07B
128.37%4.31B
128.37%4.31B
246.08%4.15B
310.89%3.58B
171.61%2.6B
565.14%1.89B
565.14%1.89B
-55.35%1.2B
-62.69%872M
Restricted cash
----
7.93%1.92B
7.93%1.92B
----
----
----
--1.78B
--1.78B
----
----
Total current assets
-8.71%46.41B
-22.16%42.37B
-22.16%42.37B
-32.64%44.84B
-29.23%46.68B
-20.86%50.84B
-7.46%54.44B
-7.46%54.44B
18.62%66.57B
86.09%65.96B
Non current assets
Net PPE
8.09%22.86B
4.25%21.87B
4.25%21.87B
8.54%22.28B
3.43%21.21B
3.28%21.15B
5.04%20.98B
5.04%20.98B
7.01%20.53B
45.98%20.5B
-Gross PPE
8.09%22.86B
6.08%25.45B
6.08%25.45B
8.54%22.28B
3.43%21.21B
3.28%21.15B
5.53%23.99B
5.53%23.99B
7.01%20.53B
45.98%20.5B
-Accumulated depreciation
----
-18.83%-3.58B
-18.83%-3.58B
----
----
----
-9.08%-3.02B
-9.08%-3.02B
----
----
Goodwill and other intangible assets
0.22%77.19B
-0.73%77.11B
-0.73%77.11B
-3.87%78.11B
-3.02%77.3B
-1.18%77.02B
1.32%77.67B
1.32%77.67B
7.64%81.25B
60.99%79.71B
-Goodwill
----
-0.68%75.77B
-0.68%75.77B
----
----
----
1.64%76.29B
1.64%76.29B
----
----
-Other intangible assets
----
-3.55%1.33B
-3.55%1.33B
----
----
----
-13.58%1.38B
-13.58%1.38B
----
----
Total non current assets
1.62%105.61B
0.12%104.74B
0.12%104.74B
-1.61%105.83B
-0.64%104.86B
-0.13%103.93B
1.98%104.61B
1.98%104.61B
7.30%107.57B
58.21%105.53B
Total assets
-1.78%152.02B
-7.50%147.11B
-7.50%147.11B
-13.47%150.67B
-11.63%151.54B
-8.04%154.77B
-1.46%159.05B
-1.46%159.05B
11.37%174.14B
67.89%171.49B
Liabilities
Current liabilities
Payables
-8.46%23.67B
-19.30%22.51B
-19.30%22.51B
-27.39%23.79B
-24.24%24.59B
-16.85%25.85B
-8.18%27.89B
-8.18%27.89B
14.70%32.77B
53.35%32.46B
-accounts payable
5.79%14.3B
-12.55%13.11B
-12.55%13.11B
-23.83%12.79B
-27.04%13.14B
-20.03%13.51B
-12.02%14.99B
-12.02%14.99B
3.06%16.8B
50.56%18.01B
-Total tax payable
-55.60%1.18B
-61.40%1.26B
-61.40%1.26B
-60.76%1.7B
-45.15%2.03B
-25.89%2.65B
5.86%3.25B
5.86%3.25B
64.39%4.33B
125.69%3.7B
-Other payable
-15.45%8.19B
-15.58%8.14B
-15.58%8.14B
-20.12%9.3B
-12.36%9.42B
-8.73%9.69B
-6.02%9.64B
-6.02%9.64B
20.79%11.64B
42.09%10.75B
Current provisions
-19.18%1.88B
-18.28%1.97B
-18.28%1.97B
-9.59%2.09B
6.94%2.23B
12.10%2.33B
30.74%2.41B
30.74%2.41B
9.72%2.32B
58.42%2.09B
Current debt and capital lease obligation
62.58%7.86B
35.44%5.95B
35.44%5.95B
-3.11%5.71B
-20.73%4.06B
-20.60%4.83B
-44.50%4.39B
-44.50%4.39B
2.28%5.89B
-3.43%5.12B
-Current debt
218.26%3.89B
162.78%2.14B
162.78%2.14B
-16.28%1.97B
-72.53%458M
-53.82%1.22B
-81.80%814M
-81.80%814M
-8.02%2.35B
-35.06%1.67B
-Current capital lease obligation
9.94%3.97B
6.46%3.81B
6.46%3.81B
5.66%3.74B
4.25%3.6B
4.91%3.61B
3.98%3.58B
3.98%3.58B
10.50%3.54B
26.21%3.46B
Current liabilities
-3.80%41.82B
-18.02%38.34B
-18.02%38.34B
-26.84%40.41B
-26.31%40.23B
-19.18%43.47B
-12.44%46.77B
-12.44%46.77B
16.34%55.23B
55.42%54.58B
Non current liabilities
Long term provisions
-6.72%3.9B
-11.46%3.77B
-11.46%3.77B
2.43%3.83B
18.71%4.16B
20.19%4.18B
21.44%4.26B
21.44%4.26B
14.80%3.74B
221.15%3.51B
Long term debt and capital lease obligation
2.68%35.6B
-1.29%34.14B
-1.29%34.14B
1.14%34.36B
3.93%35.22B
1.82%34.67B
19.93%34.59B
19.93%34.59B
16.03%33.98B
72.06%33.89B
-Long term debt
-4.42%20.49B
-6.51%20B
-6.51%20B
-6.39%20.02B
0.28%21.5B
-0.25%21.43B
25.92%21.4B
25.92%21.4B
18.00%21.39B
106.46%21.44B
-Long term capital lease obligation
14.19%15.11B
7.19%14.14B
7.19%14.14B
13.93%14.34B
10.22%13.71B
5.37%13.24B
11.33%13.19B
11.33%13.19B
12.83%12.59B
33.67%12.44B
Total non current liabilities
1.74%41.29B
-1.80%39.81B
-1.80%39.81B
2.95%39.82B
7.18%41B
4.86%40.58B
20.27%40.54B
20.27%40.54B
12.12%38.68B
73.16%38.25B
Total liabilities
-1.12%83.11B
-10.49%78.14B
-10.49%78.14B
-14.57%80.22B
-12.51%81.22B
-9.12%84.05B
0.21%87.3B
0.21%87.3B
14.56%93.91B
62.27%92.84B
Shareholders'equity
Share capital
0.00%219M
0.00%219M
0.00%219M
-6.41%219M
-6.41%219M
-8.75%219M
-8.75%219M
-8.75%219M
-2.50%234M
4.46%234M
-common stock
0.00%219M
0.00%219M
0.00%219M
-6.41%219M
-6.41%219M
-8.75%219M
-8.75%219M
-8.75%219M
-2.50%234M
4.46%234M
Retained earnings
-1.74%69.04B
-1.68%69.2B
-1.68%69.2B
-6.34%69.25B
-5.70%70.21B
--70.27B
-5.17%70.38B
-5.17%70.38B
--73.94B
--74.45B
Less: Treasury stock
----
400.00%10M
400.00%10M
----
----
----
--2M
--2M
----
----
Total stockholders'equity
-2.66%68.63B
-3.94%68.7B
-3.94%68.7B
-12.28%70.18B
-10.70%70.08B
-6.77%70.5B
-3.49%71.52B
-3.49%71.52B
7.78%80B
74.27%78.47B
Noncontrolling interests
31.34%285M
18.47%263M
18.47%263M
19.47%270M
31.84%236M
10.15%217M
26.86%222M
26.86%222M
34.52%226M
290.43%179M
Total equity
-2.55%68.91B
-3.87%68.97B
-3.87%68.97B
-12.19%70.45B
-10.60%70.32B
-6.72%70.72B
-3.42%71.74B
-3.42%71.74B
7.84%80.23B
75.04%78.65B
Currency Unit
DKK
DKK
DKK
DKK
DKK
DKK
DKK
DKK
DKK
DKK
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -44.24%6.51B-45.91%4.53B-45.91%4.53B-33.29%8.6B-13.17%9.85B5.73%11.68B1.01%8.38B1.01%8.38B58.46%12.89B457.92%11.35B
-Cash and cash equivalents -44.24%6.51B-45.91%4.53B-45.91%4.53B-33.29%8.6B-13.17%9.85B5.73%11.68B1.01%8.38B1.01%8.38B58.46%12.89B457.92%11.35B
-Accounts receivable -8.53%24.3B-31.16%22.3B-31.16%22.3B-44.18%22.01B-40.49%24.24B-32.31%26.57B-10.95%32.39B-10.95%32.39B16.13%39.43B74.36%40.73B
-Other receivables 5.51%10.49B-6.99%9.27B-6.99%9.27B-22.96%10.03B-31.07%8.97B-23.33%9.94B-27.83%9.96B-27.83%9.96B15.58%13.02B70.63%13.01B
Inventory 94.97%5.07B128.37%4.31B128.37%4.31B246.08%4.15B310.89%3.58B171.61%2.6B565.14%1.89B565.14%1.89B-55.35%1.2B-62.69%872M
Restricted cash ----7.93%1.92B7.93%1.92B--------------1.78B--1.78B--------
Total current assets -8.71%46.41B-22.16%42.37B-22.16%42.37B-32.64%44.84B-29.23%46.68B-20.86%50.84B-7.46%54.44B-7.46%54.44B18.62%66.57B86.09%65.96B
Non current assets
Net PPE 8.09%22.86B4.25%21.87B4.25%21.87B8.54%22.28B3.43%21.21B3.28%21.15B5.04%20.98B5.04%20.98B7.01%20.53B45.98%20.5B
-Gross PPE 8.09%22.86B6.08%25.45B6.08%25.45B8.54%22.28B3.43%21.21B3.28%21.15B5.53%23.99B5.53%23.99B7.01%20.53B45.98%20.5B
-Accumulated depreciation -----18.83%-3.58B-18.83%-3.58B-------------9.08%-3.02B-9.08%-3.02B--------
Goodwill and other intangible assets 0.22%77.19B-0.73%77.11B-0.73%77.11B-3.87%78.11B-3.02%77.3B-1.18%77.02B1.32%77.67B1.32%77.67B7.64%81.25B60.99%79.71B
-Goodwill -----0.68%75.77B-0.68%75.77B------------1.64%76.29B1.64%76.29B--------
-Other intangible assets -----3.55%1.33B-3.55%1.33B-------------13.58%1.38B-13.58%1.38B--------
Total non current assets 1.62%105.61B0.12%104.74B0.12%104.74B-1.61%105.83B-0.64%104.86B-0.13%103.93B1.98%104.61B1.98%104.61B7.30%107.57B58.21%105.53B
Total assets -1.78%152.02B-7.50%147.11B-7.50%147.11B-13.47%150.67B-11.63%151.54B-8.04%154.77B-1.46%159.05B-1.46%159.05B11.37%174.14B67.89%171.49B
Liabilities
Current liabilities
Payables -8.46%23.67B-19.30%22.51B-19.30%22.51B-27.39%23.79B-24.24%24.59B-16.85%25.85B-8.18%27.89B-8.18%27.89B14.70%32.77B53.35%32.46B
-accounts payable 5.79%14.3B-12.55%13.11B-12.55%13.11B-23.83%12.79B-27.04%13.14B-20.03%13.51B-12.02%14.99B-12.02%14.99B3.06%16.8B50.56%18.01B
-Total tax payable -55.60%1.18B-61.40%1.26B-61.40%1.26B-60.76%1.7B-45.15%2.03B-25.89%2.65B5.86%3.25B5.86%3.25B64.39%4.33B125.69%3.7B
-Other payable -15.45%8.19B-15.58%8.14B-15.58%8.14B-20.12%9.3B-12.36%9.42B-8.73%9.69B-6.02%9.64B-6.02%9.64B20.79%11.64B42.09%10.75B
Current provisions -19.18%1.88B-18.28%1.97B-18.28%1.97B-9.59%2.09B6.94%2.23B12.10%2.33B30.74%2.41B30.74%2.41B9.72%2.32B58.42%2.09B
Current debt and capital lease obligation 62.58%7.86B35.44%5.95B35.44%5.95B-3.11%5.71B-20.73%4.06B-20.60%4.83B-44.50%4.39B-44.50%4.39B2.28%5.89B-3.43%5.12B
-Current debt 218.26%3.89B162.78%2.14B162.78%2.14B-16.28%1.97B-72.53%458M-53.82%1.22B-81.80%814M-81.80%814M-8.02%2.35B-35.06%1.67B
-Current capital lease obligation 9.94%3.97B6.46%3.81B6.46%3.81B5.66%3.74B4.25%3.6B4.91%3.61B3.98%3.58B3.98%3.58B10.50%3.54B26.21%3.46B
Current liabilities -3.80%41.82B-18.02%38.34B-18.02%38.34B-26.84%40.41B-26.31%40.23B-19.18%43.47B-12.44%46.77B-12.44%46.77B16.34%55.23B55.42%54.58B
Non current liabilities
Long term provisions -6.72%3.9B-11.46%3.77B-11.46%3.77B2.43%3.83B18.71%4.16B20.19%4.18B21.44%4.26B21.44%4.26B14.80%3.74B221.15%3.51B
Long term debt and capital lease obligation 2.68%35.6B-1.29%34.14B-1.29%34.14B1.14%34.36B3.93%35.22B1.82%34.67B19.93%34.59B19.93%34.59B16.03%33.98B72.06%33.89B
-Long term debt -4.42%20.49B-6.51%20B-6.51%20B-6.39%20.02B0.28%21.5B-0.25%21.43B25.92%21.4B25.92%21.4B18.00%21.39B106.46%21.44B
-Long term capital lease obligation 14.19%15.11B7.19%14.14B7.19%14.14B13.93%14.34B10.22%13.71B5.37%13.24B11.33%13.19B11.33%13.19B12.83%12.59B33.67%12.44B
Total non current liabilities 1.74%41.29B-1.80%39.81B-1.80%39.81B2.95%39.82B7.18%41B4.86%40.58B20.27%40.54B20.27%40.54B12.12%38.68B73.16%38.25B
Total liabilities -1.12%83.11B-10.49%78.14B-10.49%78.14B-14.57%80.22B-12.51%81.22B-9.12%84.05B0.21%87.3B0.21%87.3B14.56%93.91B62.27%92.84B
Shareholders'equity
Share capital 0.00%219M0.00%219M0.00%219M-6.41%219M-6.41%219M-8.75%219M-8.75%219M-8.75%219M-2.50%234M4.46%234M
-common stock 0.00%219M0.00%219M0.00%219M-6.41%219M-6.41%219M-8.75%219M-8.75%219M-8.75%219M-2.50%234M4.46%234M
Retained earnings -1.74%69.04B-1.68%69.2B-1.68%69.2B-6.34%69.25B-5.70%70.21B--70.27B-5.17%70.38B-5.17%70.38B--73.94B--74.45B
Less: Treasury stock ----400.00%10M400.00%10M--------------2M--2M--------
Total stockholders'equity -2.66%68.63B-3.94%68.7B-3.94%68.7B-12.28%70.18B-10.70%70.08B-6.77%70.5B-3.49%71.52B-3.49%71.52B7.78%80B74.27%78.47B
Noncontrolling interests 31.34%285M18.47%263M18.47%263M19.47%270M31.84%236M10.15%217M26.86%222M26.86%222M34.52%226M290.43%179M
Total equity -2.55%68.91B-3.87%68.97B-3.87%68.97B-12.19%70.45B-10.60%70.32B-6.72%70.72B-3.42%71.74B-3.42%71.74B7.84%80.23B75.04%78.65B
Currency Unit DKKDKKDKKDKKDKKDKKDKKDKKDKKDKK

Analysis

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