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

CVR number: 78205628
Øster Vedsted Vej 26 A, 6760 Ribe
info@avkplast.dk
tel: 75410394
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit42 549.2739 786.8745 899.6535 236.7649 013.92
Employee benefit expenses-28 733.33-32 105.10-36 862.24-34 767.61-35 959.39
Total depreciation-6 288.66-6 187.02-6 748.59-7 903.60-7 515.94
EBIT7 527.281 494.752 288.82-7 434.455 538.59
Other financial income109.1097.595.660.67
Other financial expenses- 314.50- 402.19-1 325.07-1 406.76-1 322.92
Pre-tax profit7 321.881 190.14969.41-8 840.544 215.67
Income taxes-1 619.70- 257.35- 201.931 947.37- 926.69
Net earnings5 702.18932.79767.48-6 893.173 288.98

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible rights100.3639.361 545.261 208.05563.62
Intangible assets total100.3639.361 545.261 208.05563.62
Buildings30 502.1030 135.3135 349.7630 067.7127 155.68
Tangible assets total30 502.1030 135.3135 349.7630 067.7127 155.68
Investments total
Non-curr. owed by group member comp.500.00500.001 231.571 291.701 291.70
Long term receivables total500.00500.001 231.571 291.701 291.70
Semifinished products3 201.252 022.002 907.443 803.892 813.12
Raw materials and consumables15 528.7523 270.2913 336.0414 574.919 982.63
Finished products/goods5 611.708 241.357 034.329 073.586 232.03
Inventories total24 341.6933 533.6423 277.8027 452.3819 027.77
Current trade debtors11 400.2217 738.8421 422.8935 384.679 611.01
Current amounts owed by group member comp.8 295.876 533.846 119.656 345.689 973.76
Prepayments and accrued income349.16384.55503.31502.60352.73
Current other receivables1 401.913 145.671 604.991 860.361 822.75
Current deferred tax assets1 872.72437.61
Short term receivables total21 447.1627 802.9029 650.8445 966.0322 197.85
Cash and bank deposits5.155.535.031.791.74
Cash and cash equivalents5.155.535.031.791.74
Balance sheet total (assets)76 896.4792 016.7491 060.26105 987.6670 238.37

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00500.00500.00500.00
Retained earnings22 339.8328 042.0128 974.8029 742.2722 849.10
Profit of the financial year5 702.18932.79767.48-6 893.173 288.98
Shareholders equity total28 542.0129 474.8030 242.2723 349.1026 638.08
Provisions607.82549.432 819.4010 574.88
Non-current leasing loans19 999.0819 475.1921 192.5915 680.7711 976.94
Non-current deferred tax liabilities3 369.502 171.282 079.23
Non-current liabilities total23 368.5921 646.4623 271.8215 680.7711 976.94
Current loans from credit institutions3 951.474 412.485 238.045 516.493 734.52
Advances received111.2557.46105.09
Current trade creditors8 545.6013 312.3216 858.3319 992.956 312.59
Current owed to group member2 071.7913 009.28445.7222 747.0616 217.36
Short-term deferred tax liabilities1 623.59315.74680.10
Other non-interest bearing current liabilities8 074.359 238.7711 399.498 126.425 358.88
Current liabilities total24 378.0540 346.0534 726.7856 382.9231 623.34
Balance sheet total (liabilities)76 896.4792 016.7491 060.26105 987.6670 238.37
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