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PAJ EMS ApS — Credit Rating and Financial Key Figures

CVR number: 34591199
Ellegårdvej 25 P, 6400 Sønderborg
paj@paj-group.com
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit3 119.471 448.2510 247.602 818.843 436.67
Employee benefit expenses-1 914.08-1 928.76-2 771.95-2 633.72-2 796.35
Total depreciation- 308.56- 286.64- 393.41- 384.95-10 359.60
EBIT896.84- 767.157 082.23- 199.83-9 719.28
Other financial income19.822.26221.51494.31266.52
Other financial expenses- 119.08-65.13-21.13-19.95-25.30
Pre-tax profit797.58- 830.027 282.61274.54-9 478.06
Income taxes- 126.90252.16-1 657.91-60.402 070.91
Net earnings670.68- 577.865 624.69214.14-7 407.15

Assets (kDKK)

2021
2022
2023
2024
2025
Development expenditure1 002.01802.3410 359.4810 537.495 688.36
Intangible assets total1 002.01802.3410 359.4810 537.495 688.36
Machinery and equipment277.87190.90125.0830.24203.02
Tangible assets total277.87190.90125.0830.24203.02
Investments total121.50121.50123.93
Long term receivables total
Raw materials and consumables2 011.112 447.331 539.121 671.00
Finished products/goods1 851.12
Inventories total1 851.122 011.112 447.331 539.121 671.00
Current trade debtors7.529.26
Current amounts owed by group member comp.11 592.6012 162.235 403.905 026.002 400.00
Prepayments and accrued income25.8625.8625.8625.8625.86
Current other receivables0.610.6128.23
Short term receivables total11 625.9812 188.705 430.385 080.092 435.12
Other current investments5 216.384 722.473 029.98
Cash and bank deposits4 692.692 996.851 010.622 424.69
Cash and cash equivalents4 692.698 213.235 733.095 454.67
Balance sheet total (assets)14 756.9919 885.7426 697.0023 041.5215 576.10

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.001 520.002 620.001 040.001 042.55
Shares repurchased2 000.007 000.00
Other reserves7 610.3110 110.074 436.92
Retained earnings2 878.523 549.203 213.578 918.517 852.85
Profit of the financial year670.68- 577.865 624.69214.14-7 407.15
Shareholders equity total4 049.204 491.3421 068.5820 282.7212 925.17
Provisions254.542.372 125.622 310.39795.57
Non-current other liabilities1 138.70938.70
Non-current deferred tax liabilities202.81212.93
Non-current liabilities total1 138.70938.70202.81212.93
Current loans from credit institutions1 751.33
Advances received1 152.473 970.022 641.50
Current trade creditors356.77412.07197.7342.6263.50
Current owed to group member5 138.739 397.70
Short-term deferred tax liabilities23.350.69
Other non-interest bearing current liabilities915.25-13 106.27460.77169.52187.80
Accruals and deferred income1 603.36
Current liabilities total9 314.55673.523 299.99235.481 855.35
Balance sheet total (liabilities)14 756.996 105.9526 697.0023 041.5215 576.10
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