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AVK TOOLING A/S — Credit Rating and Financial Key Figures

CVR number: 10209994
Granlyvej 2, 9300 Sæby
tel: 98462403
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit72 542.7163 487.8971 811.1262 900.8862 795.65
Employee benefit expenses-45 376.17-49 333.38-48 332.07-39 783.28-45 130.61
Total depreciation-10 445.83-6 890.89-7 779.73-7 805.86-7 877.13
EBIT16 720.717 263.6315 699.3215 311.749 787.91
Other financial income1 379.791 616.822 172.201 690.23862.14
Other financial expenses-1 993.53-2 471.94-6 297.15-5 813.94-4 645.48
Net income from associates (fin.)4 239.692 431.071 933.00-4 356.00-5 201.71
Pre-tax profit20 346.668 839.5813 507.376 832.02802.86
Income taxes-3 518.45-1 413.66-2 554.83-2 468.96-1 905.07
Net earnings16 828.217 425.9210 952.544 363.06-1 102.21

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Buildings31 366.4635 307.4438 707.2842 764.4739 455.65
Machinery and equipment367.09261.21269.80153.012 594.13
Advance payments and construction in progress4 722.031 112.153 675.552 005.002 114.98
Tangible assets total36 455.5936 680.8042 652.6344 922.4944 164.76
Holdings in group member companies16 207.0017 875.0020 710.0018 042.0059 060.07
Investments total16 207.0017 875.0020 710.0018 042.0059 060.07
Non-curr. owed by group member comp.8 923.208 923.808 948.52
Long term receivables total8 923.208 923.808 948.52
Semifinished products2 041.792 701.531 944.091 668.361 783.89
Raw materials and consumables18 144.6916 723.7010 581.6115 840.2714 159.98
Finished products/goods11 337.9714 978.8019 550.699 977.279 293.11
Inventories total31 524.4534 404.0232 076.4027 485.8925 236.98
Current trade debtors28 085.7023 071.9127 896.0218 271.3055 666.65
Current amounts owed by group member comp.20 256.0626 601.4646 486.6331 010.582.06
Prepayments and accrued income403.62264.00105.6069.82
Current other receivables5 943.305 707.536 460.972 750.263 539.28
Short term receivables total54 688.6855 644.9080 843.6252 137.7559 277.80
Cash and bank deposits97.18104.57427.61159.91276.43
Cash and cash equivalents97.18104.57427.61159.91276.43
Balance sheet total (assets)147 896.10153 633.09185 658.77142 748.03188 016.05

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital5 000.005 000.005 000.005 000.005 000.00
Shares repurchased6 000.0010 000.0010 000.00
Other reserves287.551 955.554 790.552 122.55184.09
Retained earnings11 287.2625 684.4021 177.3226 485.8632 848.40
Profit of the financial year16 828.217 425.9210 952.544 363.06-1 102.21
Shareholders equity total39 403.0240 065.8751 920.4147 971.4736 930.28
Provisions1 040.001 067.00319.00233.003 448.24
Non-current loans from credit institutions29 760.6129 782.2629 204.7423 966.2720 968.40
Non-current leasing loans9 717.179 285.1717 358.1420 808.9617 620.59
Non-current deferred tax liabilities13 858.513 326.303 291.863 565.91
Non-current liabilities total39 477.7852 925.9449 889.1848 067.0942 154.90
Current loans from credit institutions1 414.367 863.713 001.185 916.366 094.55
Advances received1 757.871 362.03
Current trade creditors37 630.3742 352.2745 818.2330 172.3324 878.91
Current owed to group member11 638.13129.999 056.821 328.1266 910.14
Short-term deferred tax liabilities3 878.451 386.663 302.832 554.961 891.89
Other non-interest bearing current liabilities13 413.997 841.6420 593.255 142.665 707.15
Current liabilities total67 975.3159 574.2783 530.1846 476.47105 482.63
Balance sheet total (liabilities)147 896.10153 633.09185 658.77142 748.03188 016.05
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