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ASX 14145 ApS — Credit Rating and Financial Key Figures

CVR number: 12668988
Kalsholtvej 14, Sejs-Svejbæk 8600 Silkeborg
nak@avk.dk
tel: 86951686
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales3 688.003 486.003 594.002 815.00
Other operating income73.00
Gross profit2 033.003 688.003 486.003 594.002 815.00
Costs of management-7 062.00-10 947.00-5 602.00-8 326.00-8 663.00
EBIT-5 029.00-7 259.00-2 116.00-4 659.00-5 848.00
Other financial income13 332.00574.001 395.001 527.00
Other financial expenses- 968.00-2 126.00-2 631.00-2 327.00-1 858.00
Income from other inv. held as non-curr. assets5 130.008 797.005 578.005 489.001 915.00
Net income from associates (fin.)423 443.00461 280.00410 901.00450 019.00560 716.00
Pre-tax profit435 908.00460 692.00412 306.00449 917.00556 452.00
Income taxes-1 710.001 941.00855.001 215.001 224.00
Net earnings434 198.00462 633.00413 161.00451 132.00557 676.00

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters137 367.00133 072.00132 765.00130 791.00128 657.00
Machinery and equipment14 492.0016 475.0016 809.0016 965.0016 465.00
Tangible assets total151 859.00149 547.00149 574.00147 756.00145 122.00
Holdings in group member companies2 330 695.002 906 681.003 165 736.003 533 451.003 920 021.00
Participating interests709.00637.00637.00
Investments total2 331 404.002 907 318.003 166 373.003 533 451.003 920 021.00
Non-current loans receivable22 965.0029 481.0037 537.0040 421.0037 021.00
Non-current other receivables12 290.0011 969.00
Long term receivables total35 255.0041 450.0037 537.0040 421.0037 021.00
Inventories total
Current amounts owed by group member comp.26 508.0030 822.0056 388.0061 816.0071 523.00
Current other receivables574.00428.00366.00647.00447.00
Current deferred tax assets1 369.001 059.00962.00958.00
Short term receivables total27 082.0032 619.0057 813.0063 425.0072 928.00
Cash and bank deposits2.00576.001 714.007 754.00
Cash and cash equivalents2.00576.001 714.007 754.00
Balance sheet total (assets)2 545 600.003 130 936.003 411 873.003 786 767.004 182 846.00

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital100 001.00100 001.00100 001.00100 001.00100 001.00
Shares repurchased20 000.0020 000.0030 000.0030 000.0040 000.00
Other reserves1 994 772.002 570 297.002 829 353.003 197 068.003 568 910.00
Retained earnings- 133 392.00- 149 925.00-77 086.00-93 309.00- 173 038.00
Profit of the financial year434 198.00462 633.00413 161.00451 132.00557 676.00
Shareholders equity total2 415 579.003 003 006.003 295 429.003 684 892.004 093 549.00
Provisions1 534.00884.001 038.00783.00506.00
Non-current loans from credit institutions113 041.00103 259.00103 531.0088 415.0078 362.00
Non-current deferred tax liabilities1 836.00
Non-current liabilities total114 877.00103 259.00103 531.0088 415.0078 362.00
Current loans from credit institutions4 327.00
Current owed to participating9.0041.0042.0039.0033.00
Current owed to group member12 205.0018 219.0011 271.0011 440.009 479.00
Other non-interest bearing current liabilities1 396.001 200.00562.001 198.00917.00
Current liabilities total13 610.0023 787.0011 875.0012 677.0010 429.00
Balance sheet total (liabilities)2 545 600.003 130 936.003 411 873.003 786 767.004 182 846.00
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