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AKF HOLDING A/S — Credit Rating and Financial Key Figures

CVR number: 10363977
Bispevej 2, 2400 København NV
info@akfholding.dk
tel: 38102107

Income statement (mDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales281.20832.51293.34366.17476.31
Costs of manufacturing- 419.84-3.53-53.09- 131.00
External services-44.99-31.66-31.28-43.77
Rents-55.16-60.94-54.20-69.96
Gross profit199.90312.52197.22227.61231.59
Employee benefit expenses-55.06-46.81-54.12-87.92
Other operating expenses-0.38
Total depreciation-8.02-17.39-8.43-2.41
EBIT125.50249.43133.02165.06145.70
Other financial income13.8629.9539.7321.35
Other financial expenses-46.86- 109.55- 132.71- 126.87
Exchange rate differences89.0086.20103.04326.20
Net income from associates (fin.)152.1051.9248.23149.17
Pre-tax profit640.20457.53191.54223.35515.56
Income taxes- 101.50-61.75-5.37-34.18-96.90
Net earnings538.70395.79186.18189.17418.66

Assets (mDKK)

2021
2022
2023
2024
2025
Development expenditure2.562.101.491.04
Goodwill61.7747.8640.8018.59
Intangible assets total64.3349.9642.3019.64
Land and waters47.3248.3149.2951.42
Buildings6 104.485 975.226 778.317 909.79
Machinery and equipment4.915.075.677.62
Tangible assets total6 156.716 028.606 833.277 968.83
Participating interests72.6369.94112.04407.67
Investments total63 176.0272.6369.94112.04407.67
Non-curr. owed by particip. interest comp.0.600.600.901.25
Non-current loans receivable599.20699.24722.85855.38
Non-current other receivables195.47120.0880.75114.63
Long term receivables total795.27819.91804.50971.25
Semifinished products16.2824.0134.76132.66
Finished products/goods1.691.69
Inventories total17.9625.7034.76132.66
Current trade debtors17.1124.2516.4524.88
Current owed by particip. interest comp.0.080.182.9622.00
Prepayments and accrued income1.441.511.651.65
Current other receivables14.10208.2334.1333.44
Current deferred tax assets6.055.89
Short term receivables total32.73240.2161.0881.97
Cash and bank deposits201.9894.64232.77219.14201.56
Cash and cash equivalents201.9894.64232.77219.14201.56
Balance sheet total (assets)63 378.007 234.267 467.098 107.099 783.58

Equity and liabilities (mDKK)

2021
2022
2023
2024
2025
Share capital2 747.10225.11245.11245.11245.11
Shares repurchased22.5024.5024.5024.50
Other reserves179.66127.3195.99114.65
Retained earnings- 538.702 118.012 672.892 825.352 980.80
Profit of the financial year538.70395.79186.18189.17418.66
Minority interest (BS)297.94103.1597.01474.60
Shareholders equity total2 747.103 239.013 359.133 477.134 258.33
Provisions523.14451.35485.43582.84
Non-current loans from credit institutions2 668.232 744.093 373.743 835.65
Non-current owed to participating10.2010.2010.20
Non-current deferred tax liabilities12.306.580.1117.07
Non-current liabilities total2 690.732 760.883 384.053 852.72
Current loans from credit institutions510.36685.41586.34897.14
Advances received22.4122.7323.7425.47
Current trade creditors31.7977.6330.3635.37
Current owed to participating0.150.15
Short-term deferred tax liabilities57.577.81
Other non-interest bearing current liabilities159.00109.37119.39123.40
Accruals and deferred income0.240.430.490.49
Current liabilities total781.38895.73760.481 089.68
Balance sheet total (liabilities)2 747.107 234.267 467.098 107.099 783.58
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