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Injecto Group A/S — Credit Rating and Financial Key Figures

CVR number: 35806555
Strandvejen 60, 2900 Hellerup
info@injecto.eu
tel: 27851000
www.injecto.eu
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Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales706.69718.471 813.00328.67513.92
Other operating income186.39
External services-4 169.68-5 011.09-4 940.95
Gross profit-3 462.98-4 292.62-3 127.95-5 426.53-5 902.35
Employee benefit expenses-1 631.03-2 161.44
Other operating expenses-1 563.11-3 726.86-2 865.71-5 755.19-6 416.27
Total depreciation-2 997.99-3 619.36-3 357.35-4 258.45-4 496.27
EBIT-8 024.08-11 638.84-9 351.01-11 316.00-12 373.66
Other financial income28.6834.7252.190.6810.11
Other financial expenses-1 462.00- 221.21-30.99-11.42-62.91
Pre-tax profit-9 457.40-11 825.32-9 329.81-11 326.74-12 426.46
Income taxes-1 290.76
Net earnings-9 457.40-13 116.08-9 329.81-11 326.74-12 426.46

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible rights39 509.671 531.53
Intangible assets total39 509.671 531.53
Machinery and equipment842.78769.44385.36
Advance payments and construction in progress1 065.751 842.67
Other tangible assets1 361.0554.45262.1479.72334.56
Tangible assets total2 203.831 889.642 490.1779.72334.56
Other non-current investments38 271.8647 970.5846 611.5243 216.36
Investments total38 271.8647 970.5846 611.5243 216.36
Non-current other receivables21.9121.9128.971 015.58409.29
Deferred tax assets1 290.76
Long term receivables total1 312.6621.9128.971 015.58409.29
Inventories total
Current trade debtors710.07945.19384.73219.4049.90
Current other receivables190.05160.931 077.781 047.47490.73
Short term receivables total900.121 106.121 462.511 266.87540.63
Cash and bank deposits2 161.61906.024 857.992 039.931 065.68
Cash and cash equivalents2 161.61906.024 857.992 039.931 065.68
Balance sheet total (assets)46 087.9042 195.5556 810.2251 013.6147 098.06

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital58 748.3984 864.20107 724.22112 724.22113 460.18
Share premium account244.89244.89244.892 551.78
Other reserves5 618.414 778.995 848.295 743.744 628.86
Retained earnings-29 501.12-36 101.52-49 417.72-57 542.40-65 015.35
Profit of the financial year-9 457.40-13 116.08-9 329.81-11 326.74-12 426.46
Minority interest (BS)-5.43-5.43-5.43-54.27-5.43
Shareholders equity total25 402.8640 665.0655 064.4549 789.4543 193.59
Non-current loans from credit institutions2 548.36
Non-current other liabilities19 403.68150.00130.32
Non-current liabilities total19 403.68150.00130.322 548.36
Current loans from credit institutions130.76236.16
Current trade creditors670.91982.05953.30
Other non-interest bearing current liabilities610.45398.44662.141 061.511 038.51
Accruals and deferred income31.8981.44
Current liabilities total1 281.371 380.491 615.441 224.161 356.11
Balance sheet total (liabilities)46 087.9042 195.5556 810.2251 013.6147 098.06
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