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HJERTEGARN A/S — Credit Rating and Financial Key Figures

CVR number: 14820787
Fallesgårdevej 8 A, Grønhøj 7470 Karup J
tel: 86662484
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit14 044.8614 150.0814 754.2512 549.9011 693.13
Employee benefit expenses-9 690.65-9 448.66-9 410.33-8 653.04-9 012.43
Total depreciation- 306.17- 293.40- 290.64- 279.15- 259.68
EBIT4 048.044 408.025 053.283 617.712 421.02
Other financial income6.012.320.8311.1921.09
Other financial expenses-41.40-37.01- 274.66-1 154.36-1 210.17
Pre-tax profit4 012.654 373.334 779.452 474.541 231.93
Income taxes- 883.38- 963.03-1 057.56- 577.75- 267.70
Net earnings3 129.273 410.313 721.891 896.79964.24

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters6 530.766 338.876 146.975 955.085 763.19
Machinery and equipment317.74253.79155.0467.78
Tangible assets total6 848.496 592.666 302.026 022.875 763.19
Investments total124.86124.86124.86124.86124.86
Long term receivables total
Raw materials and consumables15 481.3618 024.5416 818.7515 290.4916 086.36
Inventories total15 481.3618 024.5416 818.7515 290.4916 086.36
Current trade debtors2 312.822 752.932 534.832 333.382 834.91
Prepayments and accrued income54.50
Current other receivables4.434.434.434.434.43
Current deferred tax assets430.03169.63598.04
Short term receivables total2 747.282 926.992 593.762 337.823 437.38
Other current investments8.608.128.1610.3212.00
Cash and bank deposits9 188.898 556.8915 830.8420 064.6317 049.50
Cash and cash equivalents9 197.498 565.0015 839.0020 074.9517 061.50
Balance sheet total (assets)34 399.4736 234.0541 678.3943 850.9742 473.29

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital10 000.0010 000.00400.00400.00400.00
Shares repurchased2 300.0016 930.403 700.001 900.00
Other reserves9 600.00
Retained earnings10 390.82-3 410.31-3 700.007 721.899 618.67
Profit of the financial year3 129.273 410.313 721.891 896.79964.24
Shareholders equity total25 820.0926 930.4013 721.8911 918.6810 982.91
Provisions136.00153.00165.00175.00186.00
Non-current deferred tax liabilities878.431 110.74886.54392.3818.71
Non-current liabilities total878.431 110.74886.54392.3818.71
Current loans from credit institutions0.15
Current trade creditors3 556.811 970.892 273.782 472.06139.68
Current owed to participating2 300.004 600.0021 803.5426 510.7029 511.26
Short-term deferred tax liabilities953.74783.57
Other non-interest bearing current liabilities1 702.231 463.121 867.861 592.701 628.83
Accruals and deferred income5.905.905.905.905.90
Current liabilities total7 564.958 039.9126 904.9631 364.9231 285.67
Balance sheet total (liabilities)34 399.4736 234.0541 678.3943 850.9742 473.29
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