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PETER JAHN & PARTNERE A/S. BYGGE- OG RENOVERINGSRÅDGIVNING — Credit Rating and Financial Key Figures

CVR number: 71184811
Rentemestervej 2 B, 2400 København NV
pjp@pjp.dk
tel: 35431010
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit22 754.1225 769.8924 626.2127 185.9029 812.66
Employee benefit expenses-21 149.66-22 525.38-22 405.50-21 581.70-22 636.15
Total depreciation- 237.34- 289.10- 296.93- 308.45- 308.45
EBIT1 367.122 955.411 923.785 295.756 868.06
Other financial income31.1732.440.05
Other financial expenses-39.99-32.81- 150.87-34.01-29.14
Pre-tax profit1 358.302 955.041 772.915 261.796 838.92
Income taxes- 315.78- 755.54- 402.94-1 192.45-1 547.37
Net earnings1 042.522 199.501 369.974 069.345 291.56

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Machinery and equipment1 169.111 218.82984.30675.85367.40
Tangible assets total1 169.111 218.82984.30675.85367.40
Investments total788.52816.61824.83
Long term receivables total
Inventories total
Current trade debtors5 424.016 907.248 914.639 272.658 645.58
Current amounts owed by group member comp.810.98527.641 949.253 277.80
Current owed by particip. interest comp.365.00
Prepayments and accrued income569.43659.86952.121 076.971 096.33
Current other receivables6 547.80750.9729.301.37150.01
Short term receivables total13 352.228 845.729 896.0512 665.2513 169.72
Cash and bank deposits4 475.481 987.8817.647.34585.87
Cash and cash equivalents4 475.481 987.8817.647.34585.87
Balance sheet total (assets)18 996.8112 052.4211 686.5114 165.0514 947.82

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital600.00600.00600.00600.00600.00
Shares repurchased1 000.002 000.001 300.003 200.004 750.00
Retained earnings677.24- 280.24619.26-1 210.77-1 891.43
Profit of the financial year1 042.522 199.501 369.974 069.345 291.56
Shareholders equity total3 319.764 519.263 889.236 658.578 750.13
Provisions60.86247.81255.01249.94
Non-current liabilities total
Current loans from credit institutions2.000.851 805.81837.989.47
Advances received90.0090.0030.00
Current trade creditors1 096.38953.29654.591 473.81455.69
Current owed to group member169.78
Short-term deferred tax liabilities315.78694.68215.991 185.251 552.43
Other non-interest bearing current liabilities14 262.895 823.474 613.303 664.423 900.16
Current liabilities total15 677.057 472.307 549.477 251.475 947.75
Balance sheet total (liabilities)18 996.8112 052.4211 686.5114 165.0514 947.82
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