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NY KIRSTINELUND ApS — Credit Rating and Financial Key Figures

CVR number: 32323693
Kirstinelundsvej 1, 8740 Brædstrup
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit3 703.333 848.203 743.933 210.743 420.99
Employee benefit expenses- 697.76- 967.24- 937.03- 941.01- 944.86
Other operating expenses- 569.83- 112.48-85.93
Total depreciation- 271.19- 571.69- 857.20- 442.65- 368.42
EBIT2 164.552 421.762 035.631 827.072 107.71
Other financial income88.80341.97315.39326.44416.85
Other financial expenses- 328.91- 679.84-1 314.32-1 147.85- 976.95
Net income from associates (fin.)12.7920.68
Pre-tax profit1 924.442 083.901 036.701 018.451 568.29
Income taxes- 497.81- 363.95-91.072 582.72447.17
Net earnings1 426.631 719.95945.623 601.172 015.46

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible rights227.79116.99
Intangible assets total227.79116.99
Land and waters43 151.2943 636.9645 281.3744 998.1844 774.14
Buildings28.13
Machinery and equipment503.241 256.341 096.88952.50
Other tangible assets119.10226.50365.80260.10268.00
Tangible assets total43 298.5344 366.7046 903.5146 355.1645 994.64
Participating interests100.64120.77
Other non-current investments- 119.10
Investments total- 119.10100.64120.77
Non-current loans receivable77.7588.7192.34
Non-current other receivables562.00452.00342.00
Long term receivables total77.7588.71654.34452.00342.00
Semifinished products860.0091.74
Raw materials and consumables186.0010 076.959 544.50132.25200.80
Other stocks57.4054.4047.10109.30
Finished products/goods7 723.6010 098.079 432.12
Inventories total8 769.6010 134.359 598.9010 277.429 833.97
Current trade debtors1 234.03675.98926.60590.511 258.57
Current amounts owed by group member comp.23.5534.8535.6047.95563.11
Current owed by particip. interest comp.7.878.350.080.08
Prepayments and accrued income9.71179.38
Current other receivables914.16518.3657.88267.321 728.26
Current deferred tax assets58.82123.8247.31
Short term receivables total2 230.571 360.881 038.141 132.553 550.02
Other current investments778.46769.07794.84
Cash and bank deposits1 083.691 165.341 264.571 158.03413.82
Cash and cash equivalents1 083.691 165.342 043.021 927.101 208.66
Balance sheet total (assets)55 568.8257 232.9760 237.9160 244.8761 050.06

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital330.00330.00330.00330.00330.00
Share premium account12 109.49
Retained earnings16 467.5530 003.6631 723.6132 669.2436 270.41
Profit of the financial year1 426.631 719.95945.623 601.172 015.46
Shareholders equity total30 333.6732 053.6132 999.2436 600.4138 615.87
Provisions6 322.006 307.006 093.003 202.302 360.95
Non-current loans from credit institutions7 656.627 116.156 995.825 971.615 544.88
Non-current owed to group member10 307.9812 042.37
Non-current other liabilities41.8041.8041.8041.8041.80
Non-current deferred tax liabilities214.52393.50
Non-current liabilities total7 698.4217 465.9319 079.996 227.935 980.18
Current loans from credit institutions301.10289.171 655.521 017.13989.64
Current trade creditors256.31327.34262.11218.13469.61
Current owed to participating9 843.4112 716.0212 113.83
Short-term deferred tax liabilities287.244.93307.98
Other non-interest bearing current liabilities813.92502.68143.13262.95212.00
Current liabilities total11 214.741 406.432 065.6814 214.2314 093.06
Balance sheet total (liabilities)55 568.8257 232.9760 237.9160 244.8761 050.06
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