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Christian J. Linde ApS — Credit Rating and Financial Key Figures

CVR number: 27627250
Store Kongensgade 70, 1264 København K
christian@just-linde.com
tel: 40822532
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit-10 235.12-11 704.24-12 058.42-14 383.90-15 047.20
Employee benefit expenses-2 554.95-2 776.25-2 593.17-2 908.13-3 389.41
Other operating expenses- 997.16
Total depreciation-1 179.22-1 201.74- 990.50- 919.29-50.00
EBIT-13 969.29-15 682.23-15 642.09-18 211.32-19 483.78
Other financial income20 866.247 711.4310 472.3614 935.595 736.99
Other financial expenses-2 215.75-7 380.12-4 757.31- 667.52-10 684.82
Net income from associates (fin.)16 440.5228 481.357 700.697 430.6033 853.61
Pre-tax profit21 121.7213 130.43-2 226.353 487.359 422.01
Income taxes- 683.462 631.932 371.75- 736.90-4 535.50
Net earnings20 438.2615 762.37145.402 750.454 886.51

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters53 354.3353 276.7452 775.0452 274.14
Machinery and equipment15 361.7414 721.6614 232.8214 810.9414 187.17
Other tangible assets8 445.658 445.654 458.862 445.292 445.29
Tangible assets total77 161.7276 444.0571 466.7269 530.3716 632.47
Holdings in group member companies2 283.262 344.512 192.77
Participating interests44 627.7562 136.8868 159.0071 709.13100 539.76
Investments total46 911.0164 481.3970 351.7771 709.13100 539.76
Non-current loans receivable10 795.0610 795.06
Long term receivables total10 795.0610 795.06
Finished products/goods43 161.8043 661.3434 737.8629 628.2316 845.99
Inventories total43 161.8043 661.3434 737.8629 628.2316 845.99
Current trade debtors52.5062.42100.920.82
Current amounts owed by group member comp.19 591.4530 428.6936 187.006 239.5711 901.95
Current owed by particip. interest comp.13 207.557 919.6811 993.0124 215.7528 979.71
Prepayments and accrued income500.00366.67233.33100.00
Current other receivables2 289.811 244.732 189.913 659.742 215.56
Current deferred tax assets1 128.843 855.245 529.484 712.86248.54
Short term receivables total36 770.1643 877.4256 132.7339 028.8443 346.59
Other current investments110 868.71102 175.20105 431.0071 008.6180 559.20
Cash and bank deposits366.1341.77232.5040.887 916.11
Cash and cash equivalents111 234.84102 216.97105 663.4971 049.4888 475.31
Balance sheet total (assets)315 239.52330 681.17338 352.58291 741.11276 635.16

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital1 000.001 000.001 000.001 000.001 000.00
Shares repurchased44 000.0028 000.00
Other reserves34 557.7252 228.1057 998.4860 805.8489 536.47
Retained earnings228 792.76231 560.63197 552.62194 890.66140 910.48
Profit of the financial year20 438.2615 762.37145.402 750.454 886.51
Shareholders equity total284 788.73300 551.10300 696.50259 446.95264 333.46
Provisions229.10179.43
Non-current loans from credit institutions22 138.9621 277.5820 383.8019 489.59
Non-current liabilities total22 138.9621 277.5820 383.8019 489.59
Current loans from credit institutions5 366.016 249.5714 893.703 066.304 967.11
Current trade creditors1 012.05822.81520.00292.57392.03
Current owed to participating2 695.1272.26
Current owed to group member1 162.571 185.001 246.726 414.566 670.24
Other non-interest bearing current liabilities542.10415.69611.87336.02200.06
Current liabilities total8 082.738 673.0617 272.2812 804.5712 301.71
Balance sheet total (liabilities)315 239.52330 681.17338 352.58291 741.11276 635.16
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