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INKA-PLAST A/S — Credit Rating and Financial Key Figures

CVR number: 20448571
Skebyvej 10, Ørritslev 5450 Otterup
inka@inkaplast.dk
tel: 62691482
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit2 285.003 109.002 932.001 896.233 742.81
Employee benefit expenses- 980.00-1 478.00-1 552.00-1 259.14-1 315.88
Total depreciation- 139.00- 233.00- 312.00- 423.28- 403.44
EBIT1 166.001 398.001 068.00213.812 023.49
Other financial income1.002.000.29
Other financial expenses-36.00-64.00-66.00- 159.03- 114.68
Pre-tax profit1 130.001 335.001 004.0055.071 908.81
Income taxes- 236.00- 289.00- 218.00-12.67- 409.55
Net earnings894.001 046.00786.0042.411 499.27

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Buildings668.00936.001 377.001 991.612 244.30
Tangible assets total668.00936.001 377.001 991.612 244.30
Investments total51.0051.0051.00
Long term receivables total
Semifinished products472.00663.00640.00435.72617.01
Raw materials and consumables340.00574.00711.00557.52536.88
Finished products/goods26.0010.0012.0012.4512.46
Inventories total838.001 247.001 363.001 005.681 166.35
Current trade debtors637.001 358.001 181.00933.981 467.29
Current amounts owed by group member comp.44.0068.004.0154.99
Current other receivables26.0026.00152.00223.28
Short term receivables total663.001 428.001 401.001 161.271 522.29
Cash and bank deposits350.0093.0060.0085.43
Cash and cash equivalents350.0093.0060.0085.43
Balance sheet total (assets)2 570.003 755.004 252.004 158.565 018.36

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00500.00500.00500.00
Shares repurchased900.00600.00550.00100.001 500.00
Retained earnings- 817.00- 524.00-28.00657.91- 799.68
Profit of the financial year894.001 046.00786.0042.411 499.27
Shareholders equity total1 477.001 622.001 808.001 300.322 699.59
Provisions14.0020.0037.0049.5774.30
Non-current loans from credit institutions73.0021.00498.29296.82
Non-current liabilities total73.0021.00498.29296.82
Current loans from credit institutions57.0057.0024.00394.66216.10
Current trade creditors358.00849.00930.00429.91203.32
Current owed to group member206.00705.00970.001 241.23723.53
Short-term deferred tax liabilities235.00283.00201.00384.82
Other non-interest bearing current liabilities150.00198.00282.00244.57419.87
Current liabilities total1 006.002 092.002 407.002 310.371 947.65
Balance sheet total (liabilities)2 570.003 755.004 252.004 158.565 018.36
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