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VOGNMAND POUL PEDERSEN. EJBY ApS — Credit Rating and Financial Key Figures

CVR number: 10025508
Industrivej 26, Ejby 5592 Ejby
pp@poul-pedersen.dk
tel: 64461614
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit3 233.653 097.053 765.224 174.164 080.33
Costs of management-2 159.57-2 388.16-2 579.04-3 053.89-3 147.10
Costs of distribution-11.33-13.98-23.42- 108.14-17.22
EBIT1 062.75694.901 162.771 012.12916.01
Other financial income36.4545.6445.1043.4549.70
Other financial expenses-85.01-80.14- 194.62- 381.39- 630.48
Pre-tax profit1 014.20660.401 013.24674.18335.24
Income taxes1 307.40- 114.8462.14- 169.77-82.23
Net earnings2 321.60545.561 075.38504.41253.01

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Buildings1 835.225 466.137 639.8815 684.3517 981.75
Machinery and equipment71.5434.2039.2220.23394.90
Tangible assets total1 906.775 500.337 679.1115 704.5818 376.65
Investments total34.0034.0014.88
Non-current loans receivable378.38378.38378.38378.38378.38
Non-current other receivables34.00
Long term receivables total378.38412.38378.38378.38378.38
Inventories total
Current trade debtors3 428.893 898.313 971.744 579.484 751.58
Current amounts owed by group member comp.1 026.35147.24207.05
Prepayments and accrued income171.66227.04206.56200.32171.93
Current other receivables12.420.6231.8877.56
Current deferred tax assets1 439.631 192.561 218.401 048.63966.40
Short term receivables total6 078.955 465.155 397.335 860.316 174.51
Cash and bank deposits3 875.283 723.025 011.56635.430.06
Cash and cash equivalents3 875.283 723.025 011.56635.430.06
Balance sheet total (assets)12 239.3715 100.8718 500.3722 612.7024 944.47

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital210.00210.00210.00210.00210.00
Shares repurchased2 400.001 000.00500.00250.00
Retained earnings2 376.472 298.071 843.632 419.012 673.42
Profit of the financial year2 321.60545.561 075.38504.41253.01
Shareholders equity total4 908.075 453.634 129.013 633.423 386.42
Non-current leasing loans1 023.883 303.044 608.959 504.3610 412.74
Non-current other liabilities882.291 235.391 271.321 224.141 261.88
Non-current liabilities total1 906.174 538.445 880.2710 728.5011 674.62
Current loans from credit institutions1 161.91
Current trade creditors1 016.061 717.923 121.421 743.831 835.86
Current owed to group member702.64671.77
Other non-interest bearing current liabilities4 409.073 359.394 633.065 807.546 885.65
Accruals and deferred income31.5033.9827.64
Current liabilities total5 425.135 108.818 491.098 250.789 883.42
Balance sheet total (liabilities)12 239.3715 100.8718 500.3722 612.7024 944.47
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