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PAHM ApS — Credit Rating and Financial Key Figures

CVR number: 30561317
Åstvej 10 B, 7190 Billund
mail@pahm.dk
tel: 89938800
pahm.dk
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit2 638.232 574.562 736.111 872.332 318.39
Employee benefit expenses-1 185.67-1 683.75-1 514.85-1 028.41- 914.75
Other operating expenses-71.46-37.51-5.86
Total depreciation- 178.87- 298.14- 357.44- 285.71- 222.50
EBIT1 273.69592.66792.37520.691 175.28
Other financial income101.4976.1413.7821.053.86
Other financial expenses-27.74-66.91- 183.81- 222.88- 230.03
Pre-tax profit1 347.44601.89622.34318.86949.12
Income taxes- 296.22- 131.77- 137.83-71.68- 212.30
Net earnings1 051.22470.12484.51247.18736.82

Assets (kDKK)

2021
2022
2023
2024
2025
Goodwill113.3459.9627.8414.58
Intangible assets total113.3459.9627.8414.58
Buildings291.74297.18227.99131.78103.76
Machinery and equipment304.08720.17728.26367.76254.69
Tangible assets total595.811 017.35956.25499.54358.44
Investments total
Non-current loans receivable378.12523.002 868.30
Long term receivables total378.12523.002 868.30
Finished products/goods155.99783.71759.402 986.882 994.09
Inventories total155.99783.71759.402 986.882 994.09
Current trade debtors233.52328.9594.34112.73256.28
Prepayments and accrued income91.3069.1390.67114.18114.63
Current other receivables687.739.2324.62
Current deferred tax assets9.3112.65
Short term receivables total1 012.54407.31185.02236.22408.18
Cash and bank deposits83.9462.3930.68
Cash and cash equivalents83.9462.3930.68
Balance sheet total (assets)2 226.412 907.104 859.623 750.483 775.30

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital125.00125.00125.00125.00125.00
Shares repurchased170.90400.00
Retained earnings- 638.1713.04483.17967.681 214.86
Profit of the financial year1 051.22470.12484.51247.18736.82
Shareholders equity total708.941 008.171 092.681 339.862 076.68
Provisions6.9726.868.78
Non-current loans from credit institutions165.98644.53273.18138.23
Non-current other liabilities0.30
Non-current liabilities total166.28644.53273.18138.23
Current loans from credit institutions654.14475.80930.76668.97
Advances received177.06174.14158.05159.04184.14
Current trade creditors222.91245.21182.11294.40270.09
Current owed to participating138.99275.42113.67
Current owed to group member106.20643.70276.22251.14
Short-term deferred tax liabilities90.73
Other non-interest bearing current liabilities1 019.79387.111 378.55363.35186.05
Current liabilities total1 510.491 705.793 113.632 137.441 560.39
Balance sheet total (liabilities)2 226.412 907.104 859.623 750.483 775.30
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