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FGM A/S — Credit Rating and Financial Key Figures

CVR number: 17441205
Smedemestervej 1, 5600 Faaborg
fgm@fgm.dk
tel: 62616030
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit7 485.078 545.7211 212.1813 266.7311 084.31
Employee benefit expenses-6 355.29-7 588.30-6 618.81-8 489.75-7 636.72
Other operating expenses-7.29-3.39-16.43-10.20-3.50
Total depreciation- 213.96- 296.19- 412.91- 837.18- 347.88
EBIT908.53657.854 164.033 929.593 096.21
Other financial income5.990.83225.98337.53249.93
Other financial expenses-66.13- 206.85-54.63-75.67- 860.28
Net income from associates (fin.)7.01170.78109.65
Pre-tax profit848.39451.834 342.404 362.232 595.51
Income taxes- 193.90- 133.45- 964.00- 928.23- 552.01
Net earnings654.49318.383 378.403 434.012 043.51

Assets (kDKK)

2021
2022
2023
2024
2025
Development expenditure499.72631.47520.04
Intangible assets total499.72631.47520.04
Land and waters1 848.49508.59483.29457.99432.69
Buildings1 976.093 268.373 453.073 267.063 542.30
Machinery and equipment295.50277.04212.61199.31245.47
Tangible assets total4 120.074 054.004 148.973 924.364 220.45
Holdings in group member companies47.01224.64334.30
Investments total47.01224.64334.30
Non-current loans receivable0.360.360.360.360.36
Long term receivables total0.360.360.360.360.36
Raw materials and consumables1 977.042 269.192 192.101 453.721 452.13
Inventories total1 977.042 269.192 192.101 453.721 452.13
Current trade debtors2 746.224 957.033 840.103 656.614 810.48
Current amounts owed by group member comp.9 324.542 028.521 107.51
Prepayments and accrued income115.00551.87100.0061.8740.83
Current other receivables2 659.665 234.173 289.492 365.813 812.73
Current deferred tax assets61.10137.55131.55104.5511.44
Short term receivables total5 581.9810 880.6316 685.688 217.369 782.99
Cash and bank deposits3 827.284 113.8918 469.525 421.282 652.75
Cash and cash equivalents3 827.284 113.8918 469.525 421.282 652.75
Balance sheet total (assets)16 006.4521 949.5542 063.6819 241.7318 442.97

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital501.00501.00501.00501.00501.00
Shares repurchased340.803 000.003 000.00
Other reserves389.78492.55405.63-2 423.59-2 712.55
Retained earnings1 911.562 463.282 868.583 076.193 799.17
Profit of the financial year654.49318.383 378.403 434.012 043.51
Shareholders equity total3 797.633 775.217 153.617 587.626 631.12
Provisions428.20549.201 513.202 446.203 048.30
Non-current loans from credit institutions895.03751.44394.41311.86220.00
Non-current liabilities total895.03751.44394.41311.86220.00
Current loans from credit institutions248.34288.93249.93287.09262.24
Advances received7 053.3912 196.7827 780.904 488.152 348.42
Current trade creditors1 400.722 971.361 780.212 370.773 558.31
Other non-interest bearing current liabilities2 183.121 416.633 191.431 750.052 374.57
Current liabilities total10 885.5816 873.7033 002.478 896.068 543.55
Balance sheet total (liabilities)16 006.4521 949.5542 063.6819 241.7318 442.97
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