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Dansk Motor Finans A/S — Credit Rating and Financial Key Figures

CVR number: 39311151
H.C. Ørsteds Vej 18, 6000 Kolding
info@danskmotorfinans.dk
tel: 70261515
danskmotorfinans.dk
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit18 256.399 327.6617 190.6033 244.2439 420.64
Employee benefit expenses-4 897.25-4 342.58-7 304.06-11 787.60-14 296.40
Total depreciation- 329.76- 366.04- 377.17- 361.94- 397.03
EBIT13 029.384 619.059 509.3721 094.7024 727.21
Other financial income252.769.13396.34484.66805.36
Other financial expenses- 388.21- 778.73-1 762.89-2 038.21-2 317.68
Net income from associates (fin.)2 089.72510.25
Pre-tax profit14 983.664 359.698 142.8319 541.1523 214.88
Income taxes-2 983.28- 727.02-1 798.30-4 318.11-5 118.68
Net earnings12 000.383 632.676 344.5215 223.0418 096.20

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Buildings990.51707.74636.42985.58981.44
Machinery and equipment241.09157.8274.5513.1537.81
Tangible assets total1 231.60865.56710.97998.731 019.25
Holdings in group member companies1 853.582 363.83
Investments total1 853.582 363.83239.97272.17272.17
Long term receivables total
Finished products/goods4 495.141 839.693 789.133 809.913 385.96
Inventories total4 495.141 839.693 789.133 809.913 385.96
Current trade debtors38 627.6150 052.6680 250.07123 881.6098 408.90
Current amounts owed by group member comp.16.48507.177 469.458 889.159 633.00
Prepayments and accrued income648.50576.44504.38
Current other receivables1 907.26503.68288.476 323.851 585.52
Current deferred tax assets46.4219.78
Short term receivables total40 597.7851 083.2988 656.48139 671.04110 131.80
Cash and bank deposits32 801.28634.14534.2697.36194.43
Cash and cash equivalents32 801.28634.14534.2697.36194.43
Balance sheet total (assets)80 979.3756 786.5193 930.81144 849.20115 003.61

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00500.00500.00500.00
Shares repurchased10 000.0020 000.00
Other reserves1 666.862 177.11-10 000.00
Retained earnings22 551.8929 042.0234 851.7931 196.3126 419.35
Profit of the financial year12 000.383 632.676 344.5215 223.0418 096.20
Shareholders equity total36 719.1235 351.7941 696.3156 919.3555 015.55
Provisions1 985.301 874.103 382.595 943.606 759.18
Non-current liabilities total
Current loans from credit institutions5 069.2013 618.7941 167.7116 578.18
Current trade creditors41 498.4411 588.6927 741.1133 800.5128 088.24
Current owed to participating1 175.22356.7570.00
Current owed to group member3.10975.441 265.16986.91368.74
Short-term deferred tax liabilities289.821 757.104 303.11
Other non-interest bearing current liabilities773.401 927.294 761.823 917.273 820.62
Current liabilities total42 274.9519 560.6348 851.9181 986.2453 228.88
Balance sheet total (liabilities)80 979.3756 786.5193 930.81144 849.20115 003.61
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