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O.B.J. KARLSLUNDE ApS — Credit Rating and Financial Key Figures

CVR number: 85448714
Møllevej 26, 2791 Dragør
olebuch@obuch.dk
tel: 40972324
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit26.66124.3781.7490.7872.68
Total depreciation-35.64-35.14-35.14-36.30-36.30
EBIT-8.9889.2346.6054.4836.38
Other financial income133.47109.72337.10416.66362.15
Other financial expenses-72.94- 114.36-0.36-0.20-0.17
Net income from associates (fin.)1 565.06254.9564.17384.97- 341.18
Pre-tax profit1 616.61339.55447.52855.9157.18
Income taxes-11.4922.18-52.77- 140.79-87.34
Net earnings1 605.12361.74394.75715.12-30.16

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters6 284.633 031.252 996.123 062.313 026.01
Tangible assets total6 284.633 031.252 996.123 062.313 026.01
Holdings in group member companies7 377.895 032.855 097.025 481.995 140.81
Investments total7 377.895 032.855 097.025 481.995 140.81
Non-curr. owed by group member comp.4 543.024 663.274 915.684 770.865 075.44
Non-current other receivables36.0641.22
Long term receivables total4 579.084 704.494 915.684 770.865 075.44
Inventories total
Current trade debtors15.00
Current amounts owed by group member comp.345.74760.96886.18945.31
Prepayments and accrued income11.777.777.781.201.05
Current other receivables180.00150.00150.00150.00
Current deferred tax assets312.09381.57198.7958.0938.68
Short term receivables total503.86885.081 132.531 095.47985.04
Cash and bank deposits131.961 279.07750.70645.68692.48
Cash and cash equivalents131.961 279.07750.70645.68692.48
Balance sheet total (assets)18 877.4314 932.7414 892.0415 056.3214 919.78

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital200.00200.00200.00200.00200.00
Shares repurchased1 000.00600.00135.00
Other reserves6 834.933 989.884 619.625 004.594 528.41
Retained earnings6 350.239 300.408 932.408 942.189 863.48
Profit of the financial year1 605.12361.74394.75715.12-30.16
Shareholders equity total14 990.2814 852.0214 746.7714 861.8914 696.73
Provisions21.70
Non-current deferred tax liabilities73.30122.9654.33
Non-current liabilities total73.30122.9654.33
Current trade creditors15.0020.0021.1523.7532.88
Current owed to participating1 187.402.362.522.712.88
Current owed to group member2 617.68
Short-term deferred tax liabilities13.353.300.0087.96
Other non-interest bearing current liabilities45.3745.0045.0045.0045.00
Current liabilities total3 865.4580.7271.9771.46168.72
Balance sheet total (liabilities)18 877.4314 932.7414 892.0415 056.3214 919.78
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