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FISKERISELSKABET PONDUS ApS — Credit Rating and Financial Key Figures

CVR number: 33770227
Hvedemarken 53, 7730 Hanstholm
ps@hm228.dk
tel: 40791674
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit8 385.788 848.9223 661.9813 123.1117 904.48
Employee benefit expenses-4 564.51-4 893.59-6 177.31-6 333.54-7 675.90
Other operating expenses-87.58-92.00
Total depreciation-2 968.43-2 774.57-2 902.38-3 118.66-3 179.69
EBIT765.251 180.7614 582.293 670.916 956.89
Other financial income66.9567.2710.22
Other financial expenses- 225.95-1 136.02-1 075.90-1 069.76-1 169.61
Pre-tax profit539.3044.7413 573.332 668.425 797.50
Income taxes- 118.72-13.32-2 986.10- 590.68-1 275.45
Net earnings420.5931.4210 587.232 077.744 522.05

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible rights44 521.3243 257.0341 991.9544 540.1242 938.36
Intangible assets total44 521.3243 257.0341 991.9544 540.1242 938.36
Land and waters1 181.251 113.871 046.49979.11911.73
Buildings24.2816.78142.03119.25276.75
Machinery and equipment28 174.8226 966.6725 576.3124 185.9522 865.62
Tangible assets total29 380.3428 097.3126 764.8225 284.3224 054.10
Investments total
Long term receivables total
Inventories total
Current trade debtors39.53
Prepayments and accrued income19.066.977.137.309.97
Current other receivables424.85397.79335.56224.96832.84
Current deferred tax assets157.25397.1191.77
Short term receivables total443.91562.00739.81363.56842.81
Cash and bank deposits3 723.584 359.7912 173.40
Cash and cash equivalents3 723.584 359.7912 173.40
Balance sheet total (assets)74 345.5771 916.3473 220.1674 547.7980 008.67

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital410.96410.96410.96410.96410.96
Shares repurchased46 300.0012 500.00300.00
Other reserves-10 000.00
Retained earnings- 411.319.2840.70-1 872.08-94.33
Profit of the financial year420.5931.4210 587.232 077.744 522.05
Shareholders equity total46 720.24451.6611 038.883 116.635 138.68
Provisions14 363.4214 171.9913 913.2113 655.6513 356.10
Non-current loans from credit institutions1 250.00
Non-current owed to group member23 772.7323 008.0829 675.2328 153.49
Non-current other liabilities3 034.03
Non-current deferred tax liabilities11.82
Non-current liabilities total1 250.0023 772.7323 008.0832 709.2628 165.31
Current loans from credit institutions6 266.366 749.44
Current trade creditors550.66306.62345.09429.78825.54
Current owed to participating2 809.893 034.03
Current owed to group member88.74
Short-term deferred tax liabilities85.151 575.00
Other non-interest bearing current liabilities2 299.8526 375.1524 914.9021 602.4430 948.04
Current liabilities total12 011.9133 519.9625 260.0025 066.2533 348.58
Balance sheet total (liabilities)74 345.5771 916.3473 220.1674 547.7980 008.67
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