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MAX DUE A/S — Credit Rating and Financial Key Figures

CVR number: 81813418
Tangmosevej 101, 4600 Køge
tel: 56631090
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
External services-18 365.22-33 992.69-35 369.05
Gross profit30 280.8938 062.0138 430.1142 472.0249 063.65
Costs of management-5 873.57-6 266.43-6 562.19-7 038.28-9 335.69
Costs of distribution-22 382.94-25 766.77
EBIT6 042.109 412.656 101.151 441.054 358.90
Other financial income466.51187.43517.04340.96383.84
Other financial expenses- 175.98- 431.39- 705.72- 967.81-1 926.58
Pre-tax profit6 332.639 168.695 912.48814.202 816.16
Income taxes-1 386.21-2 013.52-1 301.55- 178.02- 665.94
Net earnings4 946.427 155.184 610.92636.182 150.23

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Machinery and equipment1 039.56651.60609.27908.201 020.74
Tangible assets total1 039.56651.60609.27908.201 020.74
Investments total
Long term receivables total
Finished products/goods46 251.2652 968.8370 450.5049 686.9266 409.16
Inventories total46 251.2652 968.8370 450.5049 686.9266 409.16
Current trade debtors4 389.514 626.004 111.044 096.435 739.62
Current amounts owed by group member comp.423.712 430.231 610.935 082.603 992.09
Prepayments and accrued income6.636.006.0030.57298.70
Current other receivables1 913.441 851.761 745.291 526.611 294.00
Short term receivables total6 733.298 913.997 473.2510 736.2011 324.41
Other current investments1 724.511 541.10738.422 710.891 615.60
Cash and bank deposits4 733.6846.2357.461 275.5897.30
Cash and cash equivalents6 458.191 587.33795.873 986.471 712.90
Balance sheet total (assets)60 482.3064 121.7579 328.9065 317.7880 467.21

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00500.00500.00500.00
Shares repurchased2 000.002 000.002 000.002 000.002 000.00
Retained earnings25 979.2328 925.6434 080.8236 691.7435 327.92
Profit of the financial year4 946.427 155.184 610.92636.182 150.23
Shareholders equity total33 425.6438 580.8241 191.7439 827.9239 978.15
Provisions189.60172.29108.33100.7497.57
Non-current liabilities total
Current loans from credit institutions6 567.827 286.8115 104.95
Current trade creditors6 445.583 155.0510 161.456 092.996 396.96
Current owed to group member506.72674.541 553.38
Short-term deferred tax liabilities2 030.821 365.52185.61669.11
Other non-interest bearing current liabilities19 914.7713 614.9518 540.5117 557.1418 220.48
Current liabilities total26 867.0625 368.6438 028.8225 389.1240 391.50
Balance sheet total (liabilities)60 482.3064 121.7579 328.9065 317.7880 467.21
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