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SOAK A/S — Credit Rating and Financial Key Figures

CVR number: 31274486
Klamsagervej 35, 8230 Åbyhøj
info@soak.dk
tel: 71741100
www.soak.dk
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit5 882.767 089.529 989.2811 050.2813 989.41
Employee benefit expenses-4 488.10-5 398.29-7 952.99-8 828.09-11 068.84
Other operating expenses-1.67-20.32
Total depreciation- 314.25- 338.62- 489.82- 451.64- 471.86
EBIT1 080.411 352.621 546.461 768.882 428.40
Other financial income1.392.6214.56137.5477.45
Other financial expenses-32.13- 101.08-43.07-63.89- 203.20
Pre-tax profit1 049.681 254.161 517.961 842.542 302.65
Income taxes- 235.25- 285.14- 346.11- 423.17- 534.54
Net earnings814.44969.011 171.851 419.371 768.11

Assets (kDKK)

2021
2022
2023
2024
2025
Development expenditure166.31174.41588.70718.92393.24
Intangible assets total166.31174.41588.70718.92393.24
Buildings33.6924.25
Machinery and equipment1 034.09823.67791.28710.35501.67
Tangible assets total1 067.78847.92791.28710.35501.67
Investments total49.8875.12113.15
Non-current other receivables64.04763.00730.00677.17682.12
Long term receivables total64.04763.00730.00677.17682.12
Raw materials and consumables6.20
Inventories total6.20
Current trade debtors1 190.062 092.442 650.102 758.753 675.64
Current amounts owed by group member comp.36.9178.3023.86
Prepayments and accrued income25.5434.60140.89185.68212.76
Current other receivables12.50124.6628.479.5118.58
Short term receivables total1 265.002 329.992 843.322 953.943 906.99
Other current investments352.82269.62282.86417.38311.17
Cash and bank deposits1 655.861 093.011 173.081 973.833 242.70
Cash and cash equivalents2 008.671 362.631 455.932 391.203 553.88
Balance sheet total (assets)4 578.015 477.956 459.107 526.709 151.03

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00500.00500.00500.00
Shares repurchased800.001 000.001 000.001 400.00
Other reserves129.73866.041 189.181 343.59988.84
Retained earnings158.48- 563.39- 917.47- 900.03- 525.91
Profit of the financial year814.44969.011 171.851 419.371 768.11
Shareholders equity total1 602.642 571.662 943.563 362.934 131.03
Provisions68.3875.23167.61199.09120.32
Non-current loans from credit institutions365.05254.19274.72399.20
Non-current deferred tax liabilities250.00
Non-current liabilities total365.05504.19274.72399.20
Current loans from credit institutions129.14137.6459.8387.7033.50
Current trade creditors281.62282.89701.69950.181 324.85
Current owed to participating3.8522.7823.32
Current owed to group member253.93235.6713.8016.31
Short-term deferred tax liabilities252.67391.20653.24
Other non-interest bearing current liabilities1 756.841 333.141 872.631 566.201 908.35
Accruals and deferred income116.55314.75149.27553.89979.75
Current liabilities total2 541.942 326.883 073.213 565.484 899.68
Balance sheet total (liabilities)4 578.015 477.956 459.107 526.709 151.03
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