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KONFAIR A/S — Credit Rating and Financial Key Figures

CVR number: 10543274
Orebygårdvej 13, Tjørring 7400 Herning
konfair@konfair.dk
tel: 97137195
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit21 514.6023 089.8524 056.3224 129.2925 098.73
Costs of management-12 747.35-14 066.19-15 951.88-17 397.33-17 074.73
Costs of distribution- 890.97-1 159.13-1 086.51- 970.09-1 275.81
Other operating expenses- 130.00-35.55- 593.20
EBIT7 746.287 828.977 017.935 168.676 748.19
Other financial income52.3320.180.030.40
Other financial expenses-74.56- 125.00-33.06- 260.42- 276.78
Pre-tax profit7 671.727 756.307 005.054 908.286 471.81
Income taxes-1 684.94-1 691.73-1 554.74-1 089.80-1 462.58
Net earnings5 986.786 064.565 450.313 818.485 009.23

Assets (kDKK)

2021
2022
2023
2024
2025
Development expenditure854.37
Intangible assets total854.37
Buildings2 922.773 051.593 267.614 210.263 618.29
Machinery and equipment722.121 034.13919.23732.70418.19
Tangible assets total3 644.894 085.734 186.844 942.964 036.48
Investments total133.60133.60133.60133.60
Long term receivables total
Semifinished products333.20762.03639.38834.56312.21
Raw materials and consumables9 795.7410 285.068 855.129 534.598 433.10
Finished products/goods1 588.141 683.222 084.391 822.151 981.34
Inventories total11 717.0912 730.3211 578.8912 191.3010 726.65
Current trade debtors10 020.5612 937.5610 398.9812 138.2712 138.36
Current amounts owed by group member comp.411.55492.14539.68427.53
Prepayments and accrued income223.7977.50183.10153.55412.09
Current other receivables133.60922.92690.35
Current deferred tax assets524.42
Short term receivables total10 789.5013 507.2012 044.6912 982.1713 502.40
Cash and bank deposits1.231.601 738.873.817.01
Cash and cash equivalents1.231.601 738.873.817.01
Balance sheet total (assets)26 152.7130 458.4529 682.8830 253.8429 260.52

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00500.00500.00500.00
Shares repurchased4 000.004 000.005 000.004 600.005 290.00
Other reserves666.41
Retained earnings4 796.196 782.977 847.548 697.856 559.92
Profit of the financial year5 986.786 064.565 450.313 818.485 009.23
Shareholders equity total15 282.9717 347.5418 797.8517 616.3318 025.56
Provisions262.44288.00359.00440.00
Non-current other liabilities290.15
Non-current liabilities total290.15
Current loans from credit institutions1 313.313 466.1545.304 689.714 533.63
Current trade creditors4 275.976 576.727 611.165 155.195 288.73
Current owed to group member228.50
Short-term deferred tax liabilities1 668.471 719.451 529.18322.80
Other non-interest bearing current liabilities3 321.841 086.161 411.381 882.33972.60
Current liabilities total10 579.5812 848.4810 597.0312 278.5110 794.96
Balance sheet total (liabilities)26 152.7130 458.4529 682.8830 253.8429 260.52
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