HERNING CAPITAL ApS — Credit Rating and Financial Key Figures

CVR number: 28331150
Fredensgade 10, 7400 Herning
poul@lindy-hansen.dk
tel: 97252177
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
External services-1 135.49-1 452.33
Gross profit- 456.68- 503.42- 802.42-1 135.49-1 452.33
Employee benefit expenses-90.00-90.00- 118.09-17.95- 271.92
Total depreciation- 136.89- 136.89- 136.89- 136.89-57.04
EBIT- 683.57- 730.31-1 057.40-1 290.33-1 781.28
Other financial income19 979.596 932.7417 974.4934 141.5422 754.71
Other financial expenses-1 687.04-18 489.08- 339.98-5 251.93-11 376.66
Income from other inv. held as non-curr. assets502.59
Net income from associates (fin.)63.2773.8477.62229.9242.30
Pre-tax profit18 174.84-12 212.8116 654.7227 829.209 639.08
Income taxes-4 095.262 748.47-3 475.65-6 076.48-2 184.20
Net earnings14 079.58-9 464.3413 179.0721 752.737 454.88

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Machinery and equipment517.70380.81243.93107.0450.00
Tangible assets total517.70380.81243.93107.0450.00
Participating interests610.34904.18761.80991.731 034.03
Investments total610.34940.18797.801 027.731 070.03
Non-current loans receivable5 515.905 413.225 438.585 404.076 904.07
Non-current other receivables36.00
Long term receivables total5 551.905 413.225 438.585 404.076 904.07
Inventories total
Current owed by particip. interest comp.19.00242.00444.00474.22
Prepayments and accrued income62.26
Current other receivables16.001 395.2412.1321.340.79
Current deferred tax assets2 827.39815.2713.1216.50
Short term receivables total78.264 241.621 069.41478.46491.51
Other current investments108 500.9986 252.20108 895.30143 184.65147 054.58
Cash and bank deposits4 540.486 973.903 149.66385.874 114.23
Cash and cash equivalents113 041.4793 226.10112 044.97143 570.52151 168.81
Balance sheet total (assets)119 799.67104 201.94119 594.68150 587.81159 684.41

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital1 500.001 500.001 500.001 500.001 500.00
Shares repurchased56.5057.2058.9061.0020 000.00
Other reserves270.34344.18421.80651.73-19 305.97
Retained earnings96 243.07110 191.61100 590.74113 478.89115 189.31
Profit of the financial year14 079.58-9 464.3413 179.0721 752.737 454.88
Shareholders equity total112 149.49102 628.65115 750.52137 444.35124 838.22
Provisions27.00
Non-current liabilities total
Current loans from credit institutions4 082.311 036.643 020.717 868.9818 746.04
Current trade creditors385.2875.0075.9075.56
Current owed to participating53.0353.3827.2914 843.62
Short-term deferred tax liabilities3 348.43625.625 164.861 142.09
Other non-interest bearing current liabilities192.4598.3469.456.4438.88
Current liabilities total7 623.181 573.293 844.1613 143.4634 846.19
Balance sheet total (liabilities)119 799.67104 201.94119 594.68150 587.81159 684.41
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