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NIZE EQUIPMENT ApS — Credit Rating and Financial Key Figures

CVR number: 33772653
Jernaldervej 33, 8300 Odder
info@nizeequipment.com
tel: 88827030
www.nizeequipment.com
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit9 045.9012 497.3418 174.1011 168.8615 552.94
Employee benefit expenses-7 474.92-8 737.98-14 018.15-12 324.88-12 262.05
Other operating expenses- 521.50
Total depreciation- 684.79-1 067.35-1 127.72- 896.52-1 105.49
EBIT886.192 692.013 028.23-2 052.541 663.90
Other financial income7.8815.631 107.9089.76117.42
Other financial expenses- 374.26- 446.04- 745.25-1 091.80- 753.26
Pre-tax profit519.812 261.603 390.87-3 054.581 028.05
Income taxes- 150.48- 506.83- 756.9331.44
Net earnings369.331 754.772 633.95-3 023.151 028.05

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible rights115.61152.11110.0567.9925.93
Intangible assets total115.61152.11110.0567.9925.93
Land and waters9 207.149 171.059 043.798 916.528 789.26
Machinery and equipment2 102.302 165.111 519.092 081.041 321.55
Tangible assets total11 309.4411 336.1610 562.8810 997.5610 110.81
Investments total
Long term receivables total
Raw materials and consumables10 163.7011 920.4011 420.5510 230.1110 641.17
Advance payments1 093.461 799.952 200.381 526.28
Inventories total11 257.1613 720.3511 420.5512 430.4912 167.45
Current trade debtors2 402.941 066.392 632.222 092.073 482.43
Current amounts owed by group member comp.323.50248.581 863.671 893.772 635.67
Prepayments and accrued income92.14354.32284.2165.2987.86
Current other receivables38.04164.61303.74324.482 620.14
Current deferred tax assets87.81
Short term receivables total2 944.441 833.905 083.854 375.618 826.10
Cash and bank deposits740.97701.28824.20246.9244.86
Cash and cash equivalents740.97701.28824.20246.9244.86
Balance sheet total (assets)26 367.6327 743.8028 001.5128 118.5831 175.15

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital166.67166.67166.67166.67166.67
Shares repurchased152.531 100.00250.00350.003 000.00
Other reserves-1 100.00- 250.00987.091 928.99
Retained earnings6 081.815 351.156 855.927 802.771 187.73
Profit of the financial year369.331 754.772 633.95-3 023.151 028.05
Shareholders equity total6 770.357 272.589 656.536 283.387 311.44
Provisions550.00552.10581.44400.00500.00
Non-current loans from credit institutions5 324.815 034.375 799.325 594.605 380.38
Non-current leasing loans932.08712.97486.731 219.62770.64
Non-current other liabilities644.95506.68588.18606.41628.85
Non-current liabilities total6 901.846 254.026 874.247 420.646 779.87
Current loans from credit institutions2 470.564 603.135 171.329 471.568 396.82
Advances received2 088.252 112.69
Current trade creditors4 238.863 886.234 135.651 015.123 210.16
Current owed to participating6.08
Short-term deferred tax liabilities416.92727.59
Other non-interest bearing current liabilities4 127.23836.37848.671 439.622 864.17
Accruals and deferred income1 308.793 922.45
Current liabilities total12 145.4413 665.1010 889.3114 014.5616 583.84
Balance sheet total (liabilities)26 367.6327 743.8028 001.5128 118.5831 175.15
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