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NATUPHARMA A/S — Credit Rating and Financial Key Figures

CVR number: 29805601
Sorøvej 26, 4291 Ruds Vedby
info@natupharma.dk
tel: 58544295
www.natupharma.co.uk
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit13 057.308 994.5010 152.6010 041.0713 989.55
Employee benefit expenses-6 636.57-6 619.31-6 279.85-7 154.76-9 591.38
Other operating expenses- 164.67-15.44
Total depreciation- 536.13- 686.26- 890.13-1 160.26-1 364.14
EBIT5 884.591 688.922 982.631 561.383 018.59
Other financial income103.99254.22239.3463.11120.93
Other financial expenses- 657.68-1 249.61- 859.53- 935.72- 796.20
Net income from associates (fin.)1 314.471 599.821 747.442 933.17651.97
Pre-tax profit6 645.362 293.364 109.883 621.932 995.29
Income taxes-1 187.24- 141.95- 529.62- 143.01- 509.62
Net earnings5 458.132 151.423 580.253 478.932 485.66

Assets (kDKK)

2021
2022
2023
2024
2025
Development expenditure104.98235.96326.48302.57555.87
Goodwill1 180.62944.50708.37472.25236.12
Intangible assets total1 285.601 180.461 034.85774.82791.99
Buildings409.72299.60210.032 951.952 681.88
Machinery and equipment2 207.193 729.983 420.403 155.622 877.75
Advance payments and construction in progress889.18
Tangible assets total3 506.084 029.583 630.436 107.575 559.63
Holdings in group member companies11 244.0313 061.7413 683.6215 022.226 899.81
Investments total11 300.2813 117.9813 962.9915 245.347 122.93
Long term receivables total
Raw materials and consumables3 645.304 631.013 824.85
Finished products/goods5 576.395 610.603 336.134 394.903 397.62
Inventories total5 576.395 610.606 981.439 025.927 222.47
Current trade debtors16 537.3715 522.6516 660.2320 093.0121 950.17
Current amounts owed by group member comp.5 489.706 853.998 208.51966.59
Prepayments and accrued income9.2530.00189.5022.50185.45
Current other receivables16.902.372.3826.621.68
Short term receivables total22 053.2122 409.0225 060.6120 142.1323 103.89
Cash and bank deposits29.541.624.500.6949.57
Cash and cash equivalents29.541.624.500.6949.57
Balance sheet total (assets)43 751.1046 349.2550 674.8251 296.4843 850.48

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital2 000.002 000.002 000.002 000.002 000.00
Shares repurchased13 377.815 000.00
Other reserves81.881 783.873 601.91- 213.92433.58
Retained earnings13 587.0616 535.9816 932.523 964.529 064.97
Profit of the financial year5 458.132 151.423 580.253 478.932 485.66
Shareholders equity total21 127.0722 471.2626 114.6822 607.3318 984.21
Provisions704.11730.53690.64666.50704.00
Non-current loans from credit institutions1 756.20511.55385.092 683.00
Non-current other liabilities458.68
Non-current deferred tax liabilities445.66461.26457.56505.32
Non-current liabilities total2 214.88957.22846.353 140.56505.32
Current loans from credit institutions5 251.109 834.2611 581.029 355.798 638.31
Current trade creditors7 150.458 265.829 109.165 042.105 826.11
Current owed to group member3 920.551 672.718 267.097 219.93
Short-term deferred tax liabilities120.61613.37167.15472.12
Other non-interest bearing current liabilities3 382.941 606.121 719.602 049.961 500.48
Accruals and deferred income690.72
Current liabilities total19 705.0422 190.2423 023.1524 882.0923 656.95
Balance sheet total (liabilities)43 751.1046 349.2550 674.8251 296.4843 850.48
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