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HJH MASKINER STUBBÆK ApS — Credit Rating and Financial Key Figures

CVR number: 15101938
Gamle Kirkevej 36, Stubbæk Mark 6200 Aabenraa
tel: 74613673
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit6 916.556 146.586 565.737 571.046 323.64
Employee benefit expenses-2 347.79-2 318.14-2 443.28-2 955.95-2 451.21
Other operating expenses- 468.05-1 027.45
Total depreciation-1 157.60- 942.24- 944.27- 957.86- 820.83
EBIT3 411.152 886.203 178.183 189.182 024.14
Other financial income11.3313.9935.1811.842.55
Other financial expenses- 359.77- 363.84- 799.86-1 359.70-1 093.62
Net income from associates (fin.)34.372.1612.39318.79168.17
Pre-tax profit3 097.082 538.512 425.892 160.111 101.25
Income taxes- 692.13- 574.03- 548.05- 441.23- 271.79
Net earnings2 404.951 964.481 877.831 718.88829.46

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters11 297.7011 076.7410 855.7712 099.8010 945.98
Buildings1 049.54717.17
Machinery and equipment1 972.631 324.351 436.051 154.64893.48
Other tangible assets0.00
Tangible assets total13 270.3312 401.0912 291.8214 303.9812 556.62
Holdings in group member companies440.71442.88455.26774.05943.77
Participating interests90.0090.00
Other non-current investments-0.00
Investments total440.71442.88455.26864.051 033.77
Non-current loans receivable90.0090.0090.00
Long term receivables total90.0090.0090.00
Finished products/goods28 773.6623 006.2737 070.2134 328.3231 238.58
Inventories total28 773.6623 006.2737 070.2134 328.3231 238.58
Current trade debtors5 835.424 608.562 128.812 256.954 088.24
Current amounts owed by group member comp.27.6029.1130.7142.5644.99
Current other receivables151.000.52
Short term receivables total6 014.024 637.682 159.532 300.034 133.23
Cash and bank deposits2.622.602.562.572.58
Cash and cash equivalents2.622.602.562.572.58
Balance sheet total (assets)48 591.3440 580.5252 069.3851 798.9548 964.78

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital200.00200.00200.00200.00200.00
Shares repurchased2 000.002 000.001 000.00
Other reserves492.79343.95356.34417.34675.12
Retained earnings19 806.2620 360.0421 312.1323 128.9624 590.05
Profit of the financial year2 404.951 964.481 877.831 718.88829.46
Shareholders equity total24 903.9924 868.4724 746.3025 465.1826 294.63
Provisions185.0095.00128.00242.00345.50
Non-current liabilities total
Current loans from credit institutions16 200.878 782.0514 738.4416 511.4013 535.25
Current trade creditors3 219.98860.704 441.91830.44901.14
Current owed to participating827.731 872.657 228.676 702.00
Current owed to group member2 014.673 012.344 160.99
Short-term deferred tax liabilities682.13664.03515.05327.23168.29
Other non-interest bearing current liabilities1 384.691 470.181 466.031 094.041 017.96
Accruals and deferred income100.00
Current liabilities total23 502.3415 617.0527 195.0826 091.7822 324.64
Balance sheet total (liabilities)48 591.3440 580.5252 069.3851 798.9548 964.78
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