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Dansk Mobilopvask ApS — Credit Rating and Financial Key Figures

CVR number: 39518295
Langgade 1, 7321 Gadbjerg
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit548.074 695.334 471.865 414.225 719.20
Employee benefit expenses- 181.11-3 099.68-3 134.65-3 140.16-3 269.66
Other operating expenses-70.00
Total depreciation- 211.72- 488.14- 908.15-1 228.48-1 349.46
EBIT155.251 107.51429.071 045.581 030.08
Other financial income19.8723.1330.8654.4610.65
Other financial expenses-43.01- 111.76- 251.01- 362.49- 422.48
Pre-tax profit132.101 018.88208.92737.55618.25
Income taxes-29.06- 196.33-28.08- 154.08- 145.64
Net earnings103.04822.54180.83583.47472.61

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Buildings63.92244.95246.79211.36138.45
Machinery and equipment1 058.953 848.475 345.996 132.625 082.45
Tangible assets total1 122.874 093.425 592.786 343.995 220.90
Investments total112.50112.50112.50112.50112.50
Non-curr. owed by group member comp.576.90550.13428.24177.30
Long term receivables total576.90550.13428.24177.30
Raw materials and consumables53.29
Inventories total53.29
Current trade debtors549.423 433.961 299.862 058.255 058.48
Current amounts owed by group member comp.362.32624.22
Prepayments and accrued income9.8227.6528.4732.1468.06
Current other receivables139.43133.51165.88108.36123.83
Current deferred tax assets98.6378.67
Short term receivables total797.303 595.121 935.212 822.965 250.36
Cash and bank deposits230.57159.373 258.213 120.29
Cash and cash equivalents230.57159.373 258.213 120.29
Balance sheet total (assets)2 840.148 510.548 068.7212 714.9613 757.34

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital125.00125.00125.00125.00125.00
Shares repurchased1 255.08
Retained earnings440.20543.241 365.78291.53875.00
Profit of the financial year103.04822.54180.83583.47472.61
Shareholders equity total668.241 490.781 671.622 255.081 472.61
Provisions79.47245.53352.28417.41389.05
Non-current leasing loans140.011 191.99
Non-current owed to group member2 736.923 287.297 731.944 534.17
Non-current liabilities total140.012 736.923 287.297 731.945 726.16
Current loans from credit institutions128.50139.96210.932 408.01
Current trade creditors279.521 956.891 517.55245.61267.89
Current owed to participating6.257.1023.4927.45
Current owed to group member1 422.4787.3499.95
Short-term deferred tax liabilities30.2888.95174.00
Other non-interest bearing current liabilities121.931 816.591 021.961 952.473 192.23
Current liabilities total1 952.424 037.312 757.542 310.526 169.52
Balance sheet total (liabilities)2 840.148 510.548 068.7212 714.9613 757.34
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