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LOUIS PETERSENS LEGAT — Credit Rating and Financial Key Figures

CVR number: 15633816
Axeltorv 2, 1609 København V
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales6 990.637 767.117 871.238 811.768 678.95
Other operating income7.23668.00
External services-3 972.19-2 790.16-6 688.75-13 980.56-5 076.31
Gross profit3 018.444 976.951 189.71-4 500.793 602.64
Employee benefit expenses- 537.50- 570.05- 553.23- 521.80- 537.54
Total depreciation- 167.03- 167.03- 167.03- 167.03- 167.03
EBIT2 313.914 239.87469.44-5 189.622 898.06
Other financial income21 884.343 406.014 495.2715 191.077 084.43
Other financial expenses- 201.47-14 174.48- 132.56- 126.28- 121.84
Pre-tax profit23 996.79-6 528.604 832.169 875.169 860.65
Net earnings23 996.79-6 528.604 832.169 875.169 860.65

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters32 041.8031 874.7731 707.7431 540.7031 373.67
Tangible assets total32 041.8031 874.7731 707.7431 540.7031 373.67
Investments total
Non-current loans receivable139 156.97122 686.56118 869.92118 089.95114 080.15
Long term receivables total139 156.97122 686.56118 869.92118 089.95114 080.15
Inventories total
Current trade debtors185.25723.24482.18618.59854.01
Prepayments and accrued income282.26360.71374.99268.97
Current other receivables10.00119.00106.0915.94
Current deferred tax assets1 685.481 338.10793.23173.78843.74
Short term receivables total2 162.982 541.041 756.491 077.281 697.74
Cash and bank deposits1 693.151 426.33642.133 447.054 827.70
Cash and cash equivalents1 693.151 426.33642.133 447.054 827.70
Balance sheet total (assets)175 054.91158 528.71152 976.28154 154.98151 979.27

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital34 144.1234 144.1234 144.1234 144.1234 144.12
Other reserves116 193.2188 193.2184 293.2173 793.2171 793.21
Other restricted equity20 000.0018 000.0018 000.0018 000.00
Retained earnings-14 029.886 831.70-3 905.234 292.112 486.51
Profit of the financial year23 996.79-6 528.604 832.169 875.169 860.65
Shareholders equity total160 304.23142 640.42137 364.25140 104.60136 284.47
Non-current loans from credit institutions5 185.305 050.594 902.024 750.974 597.64
Non-current liabilities total5 185.305 050.594 902.024 750.974 597.64
Current loans from credit institutions134.71148.80151.05153.33
Current trade creditors112.6749.6466.00495.2814.67
Other non-interest bearing current liabilities8 394.089 893.919 715.397 406.6310 147.53
Accruals and deferred income1 058.62759.43779.811 246.45781.63
Current liabilities total9 565.3810 837.6910 710.019 299.4011 097.15
Balance sheet total (liabilities)175 054.91158 528.71152 976.28154 154.98151 979.27
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