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INVENTIO.IT A/S — Credit Rating and Financial Key Figures

CVR number: 26112001
Åhave Parkvej 27, 8260 Viby J
bogholderiet@inventio.it
tel: 70269897
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit64 251.0750 294.3030 982.3434 286.8534 240.54
Employee benefit expenses-46 435.43-42 105.87-34 577.25-37 687.58-38 759.09
Total depreciation-2 101.85-1 284.84- 737.13- 819.92-1 073.71
EBIT15 713.806 903.59-4 332.03-4 220.64-5 592.26
Other financial income9.4811.72230.25291.7250.73
Other financial expenses-61.40- 324.94- 193.18- 250.67- 190.77
Pre-tax profit15 661.876 590.37-4 294.96-4 179.59-5 732.30
Income taxes-3 568.84-1 479.65938.20902.931 200.70
Net earnings12 093.035 110.72-3 356.75-3 276.66-4 531.60

Assets (kDKK)

2021
2022
2023
2024
2025
Development expenditure590.531 985.732 800.00
Intangible rights1 501.391 006.76522.8738.98
Intangible assets total1 501.391 006.761 113.402 024.712 800.00
Buildings24.39
Machinery and equipment1 111.83302.3749.13
Tangible assets total1 136.22302.3749.13
Investments total6.18
Long term receivables total
Finished products/goods103.25
Inventories total103.25
Current trade debtors8 702.937 925.687 891.407 283.277 727.39
Current amounts owed by group member comp.28 969.28
Prepayments and accrued income241.77427.872 905.591 646.99797.28
Current other receivables218.4121.3255.0871.4251.54
Current deferred tax assets638.40612.401 550.601 627.321 242.10
Short term receivables total38 770.788 987.2712 402.6710 629.009 818.31
Cash and bank deposits24 472.7012 679.285 109.961 448.08
Cash and cash equivalents24 472.7012 679.285 109.961 448.08
Balance sheet total (assets)41 511.6434 769.1026 244.4817 763.6814 072.57

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00500.00500.00500.00
Shares repurchased12 000.002 000.00
Other reserves11 133.86460.611 548.872 184.00
Retained earnings-4 069.90-5 110.7210 673.256 223.122 311.34
Profit of the financial year12 093.035 110.72-3 356.75-3 276.66-4 531.60
Shareholders equity total20 523.1313 633.868 277.104 995.34463.74
Non-current other liabilities4 607.554 912.894 699.44
Non-current deferred tax liabilities4 655.944 843.44
Non-current liabilities total4 607.554 912.894 699.444 655.944 843.44
Advances received4 678.912 682.363 238.962 144.472 198.09
Current trade creditors2 708.243 279.533 916.553 794.434 273.20
Current owed to group member8.646 570.401 814.3415.1238.59
Short-term deferred tax liabilities3 545.101 429.91
Other non-interest bearing current liabilities5 440.082 260.174 298.082 158.392 255.51
Current liabilities total16 380.9616 222.3613 267.938 112.408 765.39
Balance sheet total (liabilities)41 511.6434 769.1026 244.4817 763.6814 072.57
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