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KAASHOLM AVLSGÅRD ApS — Credit Rating and Financial Key Figures

CVR number: 20736313
Pilevej 1, Moseby 9490 Pandrup
tel: 98245011
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit2 461.474 602.081 043.403 605.701 657.46
Employee benefit expenses- 720.64- 539.46- 490.73- 547.56- 571.68
Total depreciation- 328.54- 343.73- 352.03- 345.01- 276.74
EBIT1 412.293 718.90200.642 713.14809.04
Other financial income2 152.77710.472 195.042 799.60948.46
Other financial expenses- 451.08-3 150.46- 779.15-1 035.73-3 535.97
Pre-tax profit3 113.971 278.901 616.534 477.00-1 778.47
Income taxes- 667.83- 299.00- 373.28-1 015.85373.89
Net earnings2 446.15979.911 243.263 461.16-1 404.58

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters2 573.072 492.902 412.722 333.152 254.18
Machinery and equipment1 802.281 538.731 356.881 091.441 156.60
Tangible assets total4 375.354 031.633 769.603 424.593 410.77
Investments total
Non-current loans receivable11 299.259 341.6310 875.9911 259.6510 574.13
Non-current other receivables300.49327.27386.22412.89412.89
Long term receivables total11 599.749 668.8911 262.2111 672.5410 987.02
Semifinished products138.53185.78169.4765.7062.05
Raw materials and consumables794.291 441.01734.86482.25367.29
Finished products/goods4 105.576 300.172 322.911 937.561 114.33
Inventories total5 038.407 926.963 227.232 485.511 543.67
Current trade debtors157.15244.46275.11
Current amounts owed by group member comp.12 365.0510 184.059 301.5412 786.1015 290.78
Prepayments and accrued income49.3550.5577.1850.4760.56
Current other receivables6 271.666 329.196 553.606 662.847 140.44
Current deferred tax assets194.60
Short term receivables total18 686.0616 758.4016 089.4619 743.8722 766.90
Cash and bank deposits3 000.005 011.90556.01
Cash and cash equivalents3 000.005 011.90556.01
Balance sheet total (assets)39 699.5438 385.8837 348.5042 338.4039 264.38

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital390.00390.00390.00390.00390.00
Shares repurchased2 000.001 200.003 500.00
Retained earnings201.422 647.572 427.47170.733 631.89
Profit of the financial year2 446.15979.911 243.263 461.16-1 404.58
Shareholders equity total5 037.574 017.475 260.737 521.892 617.31
Provisions1 301.921 752.291 060.871 178.031 031.16
Non-current loans from credit institutions29 904.7629 130.3728 347.8327 557.0526 757.96
Non-current liabilities total29 904.7629 130.3728 347.8327 557.0526 757.96
Current loans from credit institutions1 417.90853.811 139.84807.59800.74
Advances received132.50135.00145.00150.00125.00
Current trade creditors1 307.772 444.47310.02529.20263.77
Current owed to group member3 299.086 988.15
Short-term deferred tax liabilities532.211 017.14885.91623.91
Other non-interest bearing current liabilities64.9252.4667.07409.6556.38
Current liabilities total3 455.303 485.742 679.076 081.438 857.95
Balance sheet total (liabilities)39 699.5438 385.8837 348.5042 338.4039 264.38
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