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BEMA A/S — Credit Rating and Financial Key Figures

CVR number: 15525991
Bredholm 3, 6100 Haderslev
info@bema.as
tel: 74526050
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit37 703.8336 391.5143 100.9241 506.5745 493.69
Employee benefit expenses-28 688.51-27 976.67-30 287.72-32 363.01-37 848.42
Total depreciation-1 312.55-1 046.52-1 004.84-1 023.45-1 283.12
EBIT7 702.787 368.3211 808.368 120.126 362.14
Other financial income91.09235.55280.17511.41163.77
Other financial expenses- 357.12- 293.35- 118.93-86.11-69.75
Net income from associates (fin.)1 945.111 940.283 671.731 750.58-1 561.83
Pre-tax profit9 381.869 250.7915 641.3210 295.994 894.33
Income taxes-1 639.21-1 585.24-2 637.92-1 909.07-1 424.91
Net earnings7 742.657 665.5513 003.408 386.923 469.43

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible rights40.0020.00
Intangible assets total40.0020.00
Buildings3 433.202 977.912 998.522 720.196 069.49
Machinery and equipment524.20270.32143.04579.90430.68
Tangible assets total3 957.393 248.243 141.563 300.086 500.18
Holdings in group member companies10 217.524 657.806 329.5317 006.219 819.38
Investments total10 217.524 657.806 329.5317 006.219 819.38
Non-current other receivables900.00900.00900.00900.00900.00
Long term receivables total900.00900.00900.00900.00900.00
Semifinished products3 275.004 600.004 301.902 764.203 882.03
Raw materials and consumables3 698.283 098.362 881.803 023.014 088.81
Finished products/goods1 690.012 701.641 675.553 335.642 741.18
Inventories total8 663.2910 400.008 859.259 122.8610 712.02
Current trade debtors16 206.626 510.9610 665.356 900.5911 116.57
Current amounts owed by group member comp.5 486.963 508.965 855.537 074.032 015.81
Prepayments and accrued income168.66462.32524.90267.10630.52
Current other receivables289.42285.72207.275 291.1075.23
Short term receivables total22 151.6710 767.9617 253.0419 532.8213 838.13
Cash and bank deposits277.494 859.668 316.944 449.495 461.07
Cash and cash equivalents277.494 859.668 316.944 449.495 461.07
Balance sheet total (assets)46 167.3634 833.6644 840.3354 331.4647 230.77

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital1 000.001 000.001 000.001 000.001 000.00
Shares repurchased12 000.003 000.002 000.003 000.003 500.00
Other reserves80.10
Retained earnings3 811.558 554.2014 219.7424 143.0529 110.07
Profit of the financial year7 742.657 665.5513 003.408 386.923 469.43
Shareholders equity total24 554.2020 219.7430 223.1536 610.0737 079.50
Provisions40.50166.80148.70197.50415.56
Non-current loans from credit institutions23.22
Non-current leasing loans1 786.941 005.44590.04296.09
Non-current other liabilities869.17
Non-current liabilities total2 679.341 005.44590.04296.09
Current loans from credit institutions1 487.631 175.38415.40263.94176.09
Advances received2 687.772 379.902 774.203 152.111 054.88
Current trade creditors4 669.635 657.415 212.409 420.385 627.83
Current owed to group member5 387.48
Short-term deferred tax liabilities2 042.811 458.942 656.021 860.27
Other non-interest bearing current liabilities2 618.022 770.032 820.422 531.082 876.91
Current liabilities total18 893.3213 441.6713 878.4417 227.799 735.71
Balance sheet total (liabilities)46 167.3634 833.6644 840.3354 331.4647 230.77
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