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NØRLUNDFONDEN — Credit Rating and Financial Key Figures

CVR number: 31274311
Conradsminde 30, Nørlund 9610 Nørager
tel: 98651595

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit70 551.1761 154.5433 609.9434 009.8149 005.66
Employee benefit expenses-23 933.73-24 645.34-26 102.38-26 680.53-27 036.26
Other operating expenses-1 120.24-1 442.21-1 535.41-1 576.48-3 103.95
Total depreciation-6 329.83-7 154.18-8 546.20-11 414.27-9 362.97
EBIT39 167.3727 912.81-2 574.05-5 661.479 502.48
Other financial income27.8324.4042.3055.1222.60
Other financial expenses-4 933.99-5 502.69-6 573.18-8 413.18-8 088.80
Pre-tax profit34 261.2122 434.51-9 104.92-14 019.531 436.28
Income taxes5 931.005 273.14-3 404.38-4 031.991 946.95
Net earnings40 192.2127 707.65-12 509.31-18 051.523 383.24

Assets (kDKK)

2021
2022
2023
2024
2025
Development expenditure275.72475.50915.29831.79
Intangible rights1 706.04
Intangible assets total275.72475.50915.29831.791 706.04
Land and waters335 157.96384 808.07395 343.91395 278.11455 092.89
Buildings55 819.5656 514.3697 221.2297 919.6394 860.90
Machinery and equipment529.491 154.912 520.382 314.611 253.29
Advance payments and construction in progress1 597.868 005.81157.00460.0017.33
Tangible assets total393 104.87450 483.15495 242.51495 972.36551 224.41
Investments total
Long term receivables total
Semifinished products3 241.002 620.004 452.464 836.275 329.07
Raw materials and consumables27 561.8328 514.1917 725.2121 533.7822 419.63
Other stocks4 235.485 904.105 591.006 541.40
Finished products/goods16 950.3320 337.9923 280.5916 412.6522 230.89
Inventories total51 988.6357 376.2851 049.2649 324.1049 979.59
Current trade debtors7 972.6615 221.0614 236.9618 385.0221 724.31
Prepayments and accrued income238.52396.271 158.94746.861 165.90
Current other receivables4 827.045 390.235 469.003 642.363 215.25
Current deferred tax assets9 565.0016 483.0012 932.008 504.009 700.00
Short term receivables total22 603.2237 490.5733 796.9031 278.2435 805.46
Other current investments1 377.691 498.921 597.251 613.191 566.19
Cash and bank deposits4 705.926 716.91219.1139.8190.92
Cash and cash equivalents6 083.618 215.821 816.361 653.001 657.11
Balance sheet total (assets)474 056.05554 041.32582 820.32579 059.49640 372.62

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital30 000.0030 000.0030 000.0030 000.0030 000.00
Asset revaluation reserve225 047.06258 587.06258 587.06258 587.06306 947.06
Other reserves-3 380.59
Retained earnings-69 536.07-28 946.80-1 239.15-13 748.47-31 799.99
Profit of the financial year40 192.2127 707.65-12 509.31-18 051.523 383.24
Shareholders equity total222 322.61287 347.91274 838.60256 787.07308 530.30
Provisions42 682.4153 049.2352 620.6152 102.6165 395.65
Non-current loans from credit institutions130 286.58127 660.22168 296.96174 011.90179 226.12
Non-current leasing loans347.651 634.4419 749.7223 253.3319 340.18
Non-current deferred tax liabilities2 980.20
Non-current liabilities total133 614.43129 294.67188 046.68197 265.23198 566.30
Current loans from credit institutions41 143.0644 771.8823 355.1036 091.2633 908.14
Current trade creditors25 271.0132 650.9838 946.0831 504.9327 913.26
Short-term deferred tax liabilities1 702.09744.87
Other non-interest bearing current liabilities7 320.456 181.775 013.245 308.396 058.96
Current liabilities total75 436.6084 349.5167 314.4272 904.5867 880.36
Balance sheet total (liabilities)474 056.05554 041.32582 820.32579 059.49640 372.62
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