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JENSENplus.dk ApS — Credit Rating and Financial Key Figures

CVR number: 33959176
M.P. Bruuns Gade 43, 8000 Aarhus C
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit6 161.295 669.746 219.256 093.856 017.38
Employee benefit expenses-2 502.86-1 348.47-2 076.66-2 502.81-2 833.59
Total depreciation-73.52-80.61-79.40-67.76- 273.15
EBIT3 584.914 240.664 063.193 523.282 910.64
Other financial income20.3759.7032.3233.8921.74
Other financial expenses-61.64-40.19-62.00- 104.99-46.23
Pre-tax profit3 543.644 260.174 033.513 452.182 886.15
Income taxes- 780.67- 942.24- 887.03- 759.25- 782.92
Net earnings2 762.973 317.923 146.482 692.922 103.23

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Machinery and equipment495.04520.84441.43373.671 105.34
Tangible assets total495.04520.84441.43373.671 105.34
Investments total200.00200.00
Non-current other receivables59.49
Long term receivables total59.49
Raw materials and consumables1 675.691 885.371 531.401 252.07719.38
Advance payments1 480.31317.93160.37912.25174.35
Inventories total3 156.002 203.301 691.772 164.33893.73
Current trade debtors10 569.643 631.558 320.2210 519.639 066.15
Current amounts owed by group member comp.992.721 571.48607.821 597.33814.65
Prepayments and accrued income236.43253.18231.83243.33146.69
Current other receivables601.2418.1339.1118.55
Short term receivables total11 798.796 057.449 177.9912 399.4010 046.04
Cash and bank deposits2 220.57671.32831.94
Cash and cash equivalents2 220.57671.32831.94
Balance sheet total (assets)15 449.8311 002.1411 982.5215 137.4013 136.53

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital80.0080.0080.0080.0080.00
Shares repurchased2 400.002 441.272 900.003 000.00
Other reserves-2 400.00-2 441.27-2 900.00-2 650.00
Retained earnings1 430.911 793.882 670.532 917.012 609.93
Profit of the financial year2 762.973 317.923 146.482 692.922 103.23
Shareholders equity total4 273.885 191.805 897.015 689.935 143.16
Provisions50.2052.8550.8147.4898.26
Non-current deferred tax liabilities922.06884.69795.59
Non-current liabilities total922.06884.69795.59
Current loans from credit institutions4 709.740.660.662 451.472.21
Advances received340.4580.8724.28152.4854.84
Current trade creditors2 472.672 327.062 092.093 088.423 449.27
Current owed to group member706.98728.191 536.3220.03409.65
Short-term deferred tax liabilities1 356.481 714.26417.87799.96732.14
Other non-interest bearing current liabilities1 539.43906.441 041.422 002.942 451.41
Current liabilities total11 125.755 757.495 112.648 515.307 099.53
Balance sheet total (liabilities)15 449.8311 002.1411 982.5215 137.4013 136.53
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