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Holmen II Wind Park ApS — Credit Rating and Financial Key Figures

CVR number: 38875515
Københavnsvej 81, 4000 Roskilde
finance@momentum-gruppen.com
Free credit report Annual report

Income statement (kEUR)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales3 133.348 097.854 753.394 582.454 154.09
Costs of manufacturing-1 522.91-1 633.82-1 829.17-1 720.05-1 788.22
Gross profit1 610.436 464.032 924.222 862.402 365.88
Costs of management-62.67- 120.88-98.26- 100.35- 113.42
EBIT1 547.766 343.152 825.962 762.052 252.45
Other financial income7.11316.87316.95155.81
Other financial expenses- 837.94- 777.08-1 064.84-1 025.54- 797.60
Pre-tax profit716.935 566.072 077.992 053.471 610.66
Income taxes- 193.22-1 224.39- 595.95- 493.33- 410.06
Net earnings523.724 341.681 482.041 560.141 200.61

Assets (kEUR)

2021
2022
2023
2024
2025
Intangible assets total
Buildings22 283.2921 253.1620 222.5519 158.0318 103.42
Tangible assets total22 283.2921 253.1620 222.5519 158.0318 103.42
Other non-current investments-1 362.97
Investments total-1 362.97
Non-current other receivables1 362.972 794.332 243.271 963.311 957.23
Long term receivables total1 362.972 794.332 243.271 963.311 957.23
Inventories total
Current trade debtors254.401 063.11484.26460.86433.68
Current other receivables1 420.06748.56280.47239.16208.57
Current deferred tax assets180.76139.83108.46
Short term receivables total1 674.471 811.67945.48839.85750.72
Cash and bank deposits85.131 314.16216.79133.17678.97
Cash and cash equivalents85.131 314.16216.79133.17678.97
Balance sheet total (assets)24 042.8827 173.3223 628.0922 094.3721 490.35

Equity and liabilities (kEUR)

2021
2022
2023
2024
2025
Share capital6.726.726.726.726.72
Shares repurchased500.004 000.001 602.98700.00
Other reserves- 772.021 412.44938.79- 900.2319.63
Retained earnings951.04-2 525.241 816.441 695.502 556.36
Profit of the financial year523.724 341.681 482.041 560.141 200.61
Shareholders equity total1 209.467 235.604 243.983 965.104 483.32
Provisions834.891 225.701 474.661 736.911 888.48
Non-current loans from credit institutions13 460.689 315.499 809.648 671.988 009.11
Non-current owed to group member5 681.065 681.065 683.735 790.235 664.86
Non-current deferred tax liabilities309.90
Non-current liabilities total19 451.6414 996.5515 493.3714 462.2013 673.97
Current loans from credit institutions1 687.071 769.311 753.541 151.23756.55
Current trade creditors6.863.06102.06210.7825.88
Current owed to group member254.43
Short-term deferred tax liabilities1 308.69
Other non-interest bearing current liabilities598.53634.42560.48568.14662.14
Current liabilities total2 546.903 715.482 416.081 930.151 444.58
Balance sheet total (liabilities)24 042.8827 173.3223 628.0922 094.3721 490.35
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