ABSALON PENSION ApS — Credit Rating and Financial Key Figures

CVR number: 26117089
Tesch Alle 14, 2840 Holte
mh@absalon-pension.dk
tel: 33145300
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit- 478.03- 399.95- 359.51738.87678.35
Employee benefit expenses-2 849.06-3 012.17-1 758.88
Total depreciation-8.99-0.59-7.13-7.13-5.34
EBIT-3 336.09-3 412.72-2 125.52731.74673.00
Other financial income11.4553.37
Other financial expenses-1 046.30- 351.64- 243.76- 235.71- 233.89
Net income from associates (fin.)- 103.82-95.65- 505.23- 294.96- 147.73
Pre-tax profit-4 486.20-3 860.00-2 874.50212.52344.76
Income taxes959.92829.35508.51- 119.59- 195.62
Net earnings-3 526.28-3 030.65-2 365.9992.93149.14

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters7 988.458 302.568 465.428 465.428 465.42
Machinery and equipment20.1919.5912.475.34
Tangible assets total8 008.648 322.168 477.888 470.768 465.42
Holdings in group member companies63 297.3463 193.8563 021.2062 728.5762 573.88
Participating interests91.6885.08
Investments total63 389.0163 278.9363 021.2062 728.5762 573.88
Long term receivables total
Inventories total
Current trade debtors18.75
Current amounts owed by group member comp.286.11299.31
Prepayments and accrued income264.86127.2910.701.521.52
Current other receivables1 804.941 572.14613.97681.23659.33
Current deferred tax assets3 143.433 972.784 481.294 361.704 166.08
Short term receivables total5 518.095 971.515 105.955 044.454 826.93
Cash and bank deposits7 075.551 368.4491.1558.37112.86
Cash and cash equivalents7 075.551 368.4491.1558.37112.86
Balance sheet total (assets)83 991.2978 941.0376 696.1976 302.1575 979.09

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Other reserves65 318.9265 215.4465 146.2765 349.6665 194.97
Retained earnings1 933.02-1 489.78-4 451.26-7 020.64-6 779.98
Profit of the financial year-3 526.28-3 030.65-2 365.9992.93149.14
Shareholders equity total64 225.6661 195.0058 829.0258 921.9559 064.13
Non-current loans from credit institutions4 521.134 496.004 496.004 496.004 496.00
Non-current other liabilities82.0082.0082.0082.00100.00
Non-current liabilities total4 603.134 578.004 578.004 578.004 596.00
Current loans from credit institutions17.9718.170.81
Advances received31.19
Current trade creditors59.2238.2846.6847.6847.69
Current owed to participating1 452.81351.30153.70
Current owed to group member6 493.096 493.0911 678.4312 080.7111 963.87
Other non-interest bearing current liabilities8 592.216 618.48111.26290.52153.69
Current liabilities total15 162.4913 168.0313 289.1712 802.2012 318.96
Balance sheet total (liabilities)83 991.2978 941.0376 696.1976 302.1575 979.09
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