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FESTIVAL FONDEN AF 2006 — Credit Rating and Financial Key Figures

CVR number: 29413770
Møllegade 10, 7300 Jelling
tel: 75872888
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit1 471.493 907.034 220.074 871.156 809.30
Employee benefit expenses- 795.65-1 365.23-1 236.11-1 676.14-2 127.16
Other operating expenses-12.40
Total depreciation- 521.69- 363.61- 530.53- 747.48- 937.93
EBIT154.162 178.202 453.432 447.543 731.80
Other financial income21.300.05122.0349.5147.63
Other financial expenses- 120.04-67.84-47.98-50.38-42.29
Pre-tax profit55.412 110.402 527.472 446.663 737.15
Income taxes-99.78- 493.20- 540.79- 576.36- 732.84
Net earnings-44.371 617.201 986.681 870.303 004.31

Assets (kDKK)

2021
2022
2023
2024
2025
Development expenditure190.9095.45
Intangible rights90.0045.00
Intangible assets total90.00235.9095.45
Land and waters3 194.543 003.872 813.213 620.643 408.47
Machinery and equipment342.13450.81622.38650.071 198.94
Tangible assets total3 536.673 454.683 435.584 270.714 607.41
Investments total
Non-current loans receivable0.000.000.000.000.00
Long term receivables total0.000.000.000.000.00
Finished products/goods119.38267.29122.30
Inventories total119.38267.29122.30
Current trade debtors663.961 527.24947.261 694.722 669.47
Prepayments and accrued income17.7629.43299.13
Current other receivables557.8467.5077.22992.321 447.73
Current deferred tax assets271.00290.50321.30454.60669.10
Short term receivables total1 492.801 885.241 363.543 171.075 085.43
Other current investments38.7335.5248.2050.22
Cash and bank deposits5 994.107 643.6110 102.199 326.3211 950.10
Cash and cash equivalents6 032.837 679.1310 150.389 376.5411 950.10
Balance sheet total (assets)11 062.3013 019.0515 158.8917 321.5121 860.69

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital300.00300.00300.00300.00300.00
Other reserves5 643.10
Other restricted equity5 643.105 493.105 693.106 293.10
Retained earnings1 392.241 347.872 965.084 751.766 022.06
Profit of the financial year-44.371 617.201 986.681 870.303 004.31
Shareholders equity total7 290.978 908.1810 744.8612 615.1615 619.47
Provisions700.00950.001 200.001 700.001 700.00
Non-current loans from credit institutions921.30841.90760.01675.55588.44
Non-current other liabilities72.5974.12
Non-current deferred tax liabilities76.7179.0982.02
Non-current liabilities total993.89916.02836.72754.64670.46
Current loans from credit institutions76.9879.4081.8984.4687.11
Advances received79.90
Current trade creditors597.46499.46800.81546.39647.91
Short-term deferred tax liabilities673.48500.34693.30667.10778.60
Other non-interest bearing current liabilities649.621 115.67801.31478.761 395.14
Accruals and deferred income50.00475.00962.00
Current liabilities total2 077.442 244.862 377.312 251.713 870.76
Balance sheet total (liabilities)11 062.3013 019.0515 158.8917 321.5121 860.69
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