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Oksgård P/S — Credit Rating and Financial Key Figures

CVR number: 37305537
Mårbækvej 6, Øster Terp 6240 Løgumkloster
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit5 721.148 692.815 342.046 967.3111 327.34
Employee benefit expenses-1 985.14-2 173.61-2 249.46-2 224.86-2 403.17
Other operating expenses-16.29-92.35-8.48-4.24
Total depreciation-1 435.49-1 386.68-1 440.26-1 626.76-1 368.63
Reduction in value of non-current assets-3.70- 388.400.45
EBIT2 284.235 040.171 643.853 111.457 555.54
Other financial income-2.27784.3716.290.08
Other financial expenses-1 528.88-1 029.77-1 114.00-1 278.09-1 491.15
Net income from associates (fin.)0.350.5535.2236.62
Pre-tax profit755.354 008.481 314.761 884.876 101.09
Net earnings755.354 008.481 314.761 884.876 101.09

Assets (kDKK)

2021
2022
2023
2024
2025
Development expenditure20.5913.736.86
Intangible rights88.90
Intangible assets total109.4913.736.86
Land and waters30 033.4330 033.4342 950.2263 819.5363 819.53
Buildings14 822.9913 976.8213 218.5413 766.4513 262.61
Advance payments and construction in progress435.6541.9278.58
Other tangible assets3 785.604 365.604 400.204 628.504 252.60
Tangible assets total48 642.0248 375.8561 004.6182 256.4081 413.32
Participating interests458.66572.39677.79779.19884.22
Investments total458.66572.39677.79779.19884.22
Non-current loans receivable334.62352.22348.68354.14351.19
Long term receivables total334.62352.22348.68354.14351.19
Semifinished products10.1131.8516.5048.40
Raw materials and consumables251.09299.54135.2293.11275.65
Finished products/goods1 385.731 881.471 949.19850.282 427.25
Inventories total1 646.922 212.862 100.91943.392 751.31
Current trade debtors349.597.881.1071.4396.27
Current owed by particip. interest comp.1 146.541 342.181 251.861 484.311 369.78
Prepayments and accrued income2.6019.2919.42
Current other receivables947.19238.041 537.2499.14165.63
Short term receivables total2 445.921 588.112 809.491 674.301 631.67
Cash and bank deposits0.0312.6613.83390.39239.36
Cash and cash equivalents0.0312.6613.83390.39239.36
Balance sheet total (assets)53 637.6753 127.8266 962.1786 397.8187 271.07

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital1 000.001 000.001 000.001 000.001 000.00
Asset revaluation reserve12 916.7912 916.7912 916.79
Shares repurchased535.001 000.00
Retained earnings1 495.421 715.775 724.256 039.017 923.88
Profit of the financial year755.354 008.481 314.761 884.876 101.09
Shareholders equity total3 250.777 259.2520 955.8022 840.6727 941.76
Provisions0.00
Non-current loans from credit institutions45 518.7542 850.7841 201.4258 661.1756 324.41
Non-current leasing loans0.10
Non-current accruals and deferred income61.31
Non-current other liabilities55.82
Non-current liabilities total45 574.6742 850.7841 201.4258 661.1756 385.72
Current loans from credit institutions2 328.641 382.631 880.693 026.701 109.51
Current trade creditors1 428.501 169.512 680.521 197.651 360.50
Other non-interest bearing current liabilities1 055.09465.65225.05645.64447.65
Accruals and deferred income18.6925.9725.94
Current liabilities total4 812.233 017.794 804.954 895.972 943.60
Balance sheet total (liabilities)53 637.6753 127.8266 962.1786 397.8187 271.07
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