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UNICONVEYOR A/S — Credit Rating and Financial Key Figures

CVR number: 29927901
Nordre Ringvej 1, Thyregod 7323 Give
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit- 335.42508.686 456.6010 830.0410 229.69
Employee benefit expenses- 228.46- 308.40-2 122.75-6 005.85-7 648.64
Other operating expenses- 641.47-36.86
Total depreciation- 322.67-7.97- 247.67- 692.11- 992.04
Reduction in value of non-current assets808.69500.00
EBIT567.48192.314 086.183 990.601 552.15
Other financial income27.3890.61199.87214.9314.01
Other financial expenses-76.30- 129.80- 241.87- 565.12- 259.33
Net income from associates (fin.)-40.001 740.00
Pre-tax profit518.57113.115 784.193 640.411 306.82
Income taxes2 460.92- 837.54- 306.67
Net earnings518.57113.118 245.112 802.871 000.15

Assets (kDKK)

2021
2022
2023
2024
2025
Development expenditure558.20783.05722.94
Intangible assets total558.20783.05722.94
Buildings8 858.768 500.008 500.003 500.00
Machinery and equipment235.07290.27708.242 476.37
Tangible assets total8 858.768 735.078 790.274 208.242 476.37
Holdings in group member companies40.00
Investments total40.0028.8028.8031.8031.80
Long term receivables total
Raw materials and consumables35.00234.001 435.251 552.39
Finished products/goods2 593.29
Inventories total35.00234.001 435.254 145.68
Current trade debtors1 838.215 582.235 282.56
Current amounts owed by group member comp.3 438.054 843.776 813.53344.23787.61
Prepayments and accrued income31.9847.2469.83124.54207.58
Current other receivables354.312 177.031 024.361 186.82
Current deferred tax assets0.572 460.921 623.381 316.72
Short term receivables total3 470.605 245.3213 359.528 698.758 781.28
Cash and bank deposits109.132 321.044 907.983 712.86
Cash and cash equivalents109.132 321.044 907.983 712.86
Balance sheet total (assets)12 478.4814 044.1925 291.8320 065.0719 870.93

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital125.00125.00125.00461.63461.63
Shares repurchased56.5057.2016 709.15
Other reserves435.39-16 373.38288.89
Retained earnings8 324.968 786.328 464.04225.853 075.61
Profit of the financial year518.57113.118 245.112 802.871 000.15
Shareholders equity total9 025.029 081.6417 269.553 826.134 826.28
Non-current loans from credit institutions3 150.003 150.004 918.973 010.00
Non-current liabilities total3 150.003 150.004 918.973 010.00
Current loans from credit institutions1 257.74231.03777.69
Advances received6.509.00568.50
Current trade creditors10.00125.951 914.301 479.053 333.25
Current owed to group member10 111.929 667.88
Other non-interest bearing current liabilities286.96419.86957.98860.28372.01
Accruals and deferred income1 103.02
Current liabilities total303.461 812.563 103.3113 228.9415 044.65
Balance sheet total (liabilities)12 478.4814 044.1925 291.8320 065.0719 870.93
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