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NAK INVEST ApS — Credit Rating and Financial Key Figures

CVR number: 31089891
Eggersvej 6, 2900 Hellerup

Income statement (kDKK)

2015
2016
2017
2018
2019
Fiscal period length1212121212
Net sales
Gross profit18 106.5318 288.9517 760.0217 342.0019 058.28
Costs of management-7 102.69-5 727.48-4 569.86-5 279.02-5 407.67
Costs of distribution-8 667.66-11 163.45-12 031.49-13 933.83-13 668.44
Wages and salaries-18 614.29-19 669.15-19 420.59
Social security expenses-2 451.83-2 421.30-2 471.68
Other operating expenses- 409.85
EBIT2 336.181 398.02-19 907.45-24 371.15-21 910.10
Other financial income2.7923.7715.1827.276.41
Other financial expenses-2 414.86-2 585.42-2 054.61-2 048.10-2 694.78
Pre-tax profit-75.89-1 163.63- 880.76-4 301.53-2 706.20
Income taxes- 237.14-6.10-61.15283.58377.36
Net earnings- 313.04-1 169.72- 941.91-4 017.95-2 328.84

Assets (kDKK)

2015
2016
2017
2018
2019
Development expenditure2 649.472 748.782 752.512 844.823 432.49
Intangible rights29.92860.30907.44719.48462.37
Goodwill8 598.647 523.816 448.985 374.154 099.32
Intangible assets total11 278.0311 132.8910 108.928 938.457 994.18
Land and waters22 738.8122 385.5921 959.6621 866.9120 933.12
Buildings2 956.902 599.803 943.843 896.985 173.35
Machinery and equipment543.491 144.851 057.22779.19956.27
Tangible assets total26 239.2026 130.2326 960.7226 543.0927 062.74
Investments total799.90135.04135.04137.54293.65
Long term receivables total
Semifinished products6 268.8310 024.8510 404.0112 471.2311 241.01
Raw materials and consumables18 420.5213 782.5513 070.3610 464.2010 865.95
Finished products/goods1 506.312 283.452 845.883 209.523 519.39
Advance payments177.66112.85280.03173.38
Inventories total26 373.3226 090.8426 433.1026 424.9825 799.73
Current trade debtors7 996.886 404.855 500.366 828.384 356.96
Prepayments and accrued income796.99418.96806.05447.24449.87
Current other receivables174.0236.15582.39
Current deferred tax assets234.79228.69167.54451.121 095.84
Short term receivables total9 028.667 052.506 647.977 762.896 485.06
Cash and bank deposits76.79160.1895.80171.58148.02
Cash and cash equivalents76.79160.1895.80171.58148.02
Balance sheet total (assets)73 795.9070 701.6970 381.5569 978.5367 783.38

Equity and liabilities (kDKK)

2015
2016
2017
2018
2019
Share capital125.00125.00125.00125.00125.00
Asset revaluation reserve4 875.274 875.274 875.274 875.274 060.88
Other reserves631.001 135.701 893.562 068.81
Retained earnings17 661.3016 717.2615 042.8313 343.069 016.34
Profit of the financial year- 313.04-1 169.72- 941.91-4 017.95-2 328.84
Shareholders equity total22 348.5321 178.8020 236.8916 218.9312 942.18
Capital loans6 269.913 740.514 647.152 954.382 011.40
Non-current loans from credit institutions4 281.9914 558.2612 669.139 567.708 675.61
Non-current leasing loans1 221.501 112.161 738.641 286.261 901.04
Non-current other liabilities1 614.58
Non-current liabilities total11 773.4019 410.9319 054.9213 808.3414 202.64
Current loans from credit institutions28 279.0018 283.6217 959.2425 405.1426 617.85
Advances received586.39
Current trade creditors6 253.524 767.037 097.567 516.064 994.30
Short-term deferred tax liabilities3.4664.75
Other non-interest bearing current liabilities4 790.667 061.316 032.937 026.598 375.27
Accruals and deferred income350.80
Current liabilities total39 673.9730 111.9631 089.7339 951.2540 638.56
Balance sheet total (liabilities)73 795.9070 701.6970 381.5569 978.5367 783.38
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