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A/S PREBEN MORTENSEN INVEST — Credit Rating and Financial Key Figures

CVR number: 26095530
Darupvang 13, 4000 Roskilde
tel: 46362279
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit13 812.6813 273.4715 483.62- 396.38- 564.82
Employee benefit expenses-7 621.28-8 038.40-4 749.74- 170.68-40.18
Other operating expenses- 143.83
Total depreciation- 746.82- 473.13- 200.00
EBIT5 444.584 761.9410 390.05- 567.07- 605.00
Other financial income14.582.78137.12696.511 029.54
Other financial expenses- 154.67- 237.96- 378.59-13.90-6.83
Pre-tax profit5 304.494 526.7510 148.58115.54417.71
Income taxes-1 166.97-1 050.17-2 232.69-29.81- 168.99
Net earnings4 137.523 476.587 915.8985.73248.72

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters469.44469.44469.44469.44469.44
Buildings261.78164.20
Machinery and equipment9 268.1310 298.87
Tangible assets total9 999.3610 932.52469.44469.44469.44
Investments total998.851 018.15
Non-current loans receivable37.0737.07
Long term receivables total37.0737.07
Finished products/goods6 042.409 356.39122.00
Inventories total6 042.409 356.39122.00
Current trade debtors2 904.992 673.55988.88643.451 191.84
Current amounts owed by group member comp.10 250.3412 366.17
Prepayments and accrued income30.1666.7743.0031.5038.68
Current other receivables166.94394.322 077.828 768.646 667.36
Current deferred tax assets16.5027.5032.43
Short term receivables total3 102.103 134.633 126.2019 721.4320 296.48
Cash and bank deposits3 767.156 801.2626 262.171 474.131 272.30
Cash and cash equivalents3 767.156 801.2626 262.171 474.131 272.30
Balance sheet total (assets)23 946.9231 280.0229 979.8221 665.0022 038.22

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital1 126.331 126.331 126.331 126.331 126.33
Shares repurchased4 000.00
Retained earnings4 814.708 952.2212 428.8020 344.7020 430.43
Profit of the financial year4 137.523 476.587 915.8985.73248.72
Shareholders equity total14 078.5513 555.1321 471.0321 556.7621 805.48
Provisions1 239.781 422.51
Non-current liabilities total
Advances received1 826.531 879.86
Current trade creditors2 816.385 962.36115.7267.1481.77
Current owed to group member1 597.014 841.004 702.08
Short-term deferred tax liabilities3 671.6940.81150.96
Other non-interest bearing current liabilities2 388.683 619.1719.290.30
Current liabilities total8 628.6016 302.388 508.79108.24232.74
Balance sheet total (liabilities)23 946.9231 280.0229 979.8221 665.0022 038.22
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