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BOLL+ ApS — Credit Rating and Financial Key Figures

CVR number: 29539081
Ny Østergade 30, 1101 København K
faktura@bollplus.dk
tel: 20103220
www.bollplus.dk
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit718.50- 879.51- 482.74- 413.06331.41
Employee benefit expenses-1 867.18-1 983.19-1 825.23-1 786.43-1 516.93
Total depreciation-16.00-11.87-1 120.55- 212.24-65.00
EBIT-1 164.68-2 874.57-3 428.53-2 411.74-1 250.52
Other financial income53.303 009.623 904.232 133.20971.44
Other financial expenses- 840.66- 176.35- 159.10-39.18-9.55
Reduction non-current investment assets-5 113.44
Net income from associates (fin.)14 662.91212.47-1 306.65-1 820.44
Pre-tax profit12 710.87171.17- 990.04-7 251.60- 288.63
Income taxes149.4514.30-5.41
Net earnings12 860.32171.17- 975.74-7 257.01- 288.63

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible rights1 403.31289.0083.0018.00
Intangible assets total1 403.31289.0083.0018.00
Land and waters1 712.011 705.772 096.40
Machinery and equipment43.9537.2837.2837.2837.28
Tangible assets total43.951 749.291 743.052 133.6837.28
Participating interests215.121 613.11640.67
Investments total215.121 613.11640.67
Non-current loans receivable1 325.00
Long term receivables total1 325.00
Inventories total
Current trade debtors469.9165.63
Current amounts owed by group member comp.15.6115.6115.6115.6115.61
Current owed by particip. interest comp.15 007.4115 085.7917 764.7818 213.78
Prepayments and accrued income8.2238.78
Current other receivables226.1991.861 215.6384.75120.25
Current deferred tax assets54.0483.47138.25102.7454.02
Short term receivables total295.8415 676.4716 520.9017 967.8818 442.44
Other current investments3 839.1520 011.9318 658.7410 497.519 076.37
Cash and bank deposits35 429.31716.901 347.41462.091 657.36
Cash and cash equivalents39 268.4620 728.8320 006.1610 959.6010 733.73
Balance sheet total (assets)41 148.3641 171.0139 199.7831 144.1729 231.45

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital125.00125.00125.00125.00125.00
Shares repurchased110.001 128.331 000.00500.00281.25
Other reserves- 128.33
Retained earnings26 931.6638 663.6437 834.8136 359.0728 820.81
Profit of the financial year12 860.32171.17- 975.74-7 257.01- 288.63
Shareholders equity total40 026.9739 959.8137 984.0729 727.0628 938.43
Non-current liabilities total
Current loans from credit institutions3.1217.1619.7017.4111.66
Current trade creditors27.0035.0035.0035.00127.06
Current owed to participating54.9672.5392.87113.94126.68
Other non-interest bearing current liabilities1 036.301 086.511 068.141 250.7627.62
Current liabilities total1 121.391 211.201 215.711 417.11293.02
Balance sheet total (liabilities)41 148.3641 171.0139 199.7831 144.1729 231.45
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