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BEC Financial Technologies a.m.b.a. — Credit Rating and Financial Key Figures

CVR number: 13088810
Havsteensvej 4, 4000 Roskilde
tel: 46326600

Income statement (mDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales2 284.222 209.912 263.992 251.152 379.56
Manufacturing for enterprise's own use- 380.80- 301.82231.16134.47
Other operating income198.24369.64372.42617.77758.37
External services- 886.00- 885.12-1 015.87-1 101.97-1 232.17
Gross profit1 596.462 075.231 922.351 998.112 040.22
Employee benefit expenses- 813.11-1 062.58-1 059.54-1 103.93-1 158.08
Other operating expenses- 195.62- 217.15- 179.21- 183.56- 200.57
Total depreciation- 576.59- 656.14- 732.14- 601.57- 397.92
EBIT11.14139.35-48.54109.05283.65
Other financial income2.623.1941.0133.1925.91
Other financial expenses-10.69-36.54-18.29-3.22-5.65
Net income from associates (fin.)11.9410.9611.6812.9012.12
Pre-tax profit15.00116.96-14.14151.92316.03
Income taxes-10.87- 114.3317.554.94- 276.31
Net earnings4.142.633.41156.8639.72

Assets (mDKK)

2021
2022
2023
2024
2025
Development expenditure963.50959.84767.66655.22615.13
Intangible assets total963.50959.84767.66655.22615.13
Land and waters5.404.453.673.995.98
Buildings16.0243.3740.3817.9116.12
Machinery and equipment1.491.131.031.702.26
Tangible assets total22.9148.9445.0923.6024.36
Participating interests85.2195.6898.13109.34136.14
Investments total97.30107.80111.98123.22150.01
Non-curr. owed by group member comp.359.59368.38283.61280.86269.95
Long term receivables total359.59368.38283.61280.86269.95
Inventories total
Current trade debtors307.52355.53369.94429.84376.07
Current amounts owed by group member comp.0.630.110.11
Prepayments and accrued income267.94187.16190.00256.81280.99
Current other receivables21.6629.1414.8429.4914.97
Current deferred tax assets38.5815.8622.7111.19
Short term receivables total635.70587.69598.12727.43672.14
Other current investments96.08865.48577.96449.52232.08
Cash and bank deposits827.281 198.10545.97365.852 058.71
Cash and cash equivalents923.362 063.571 123.93815.382 290.79
Balance sheet total (assets)3 002.364 136.232 930.402 625.714 022.39

Equity and liabilities (mDKK)

2021
2022
2023
2024
2025
Share capital2 492.842 606.831 642.061 690.141 247.09
Other reserves884.90893.00848.81777.13758.77
Retained earnings- 893.72- 897.69- 850.84- 772.59- 596.59
Profit of the financial year4.142.633.41156.8639.72
Shareholders equity total2 488.152 604.781 643.441 851.541 448.98
Provisions0.5619.00-0.03
Non-current accruals and deferred income41.15664.98438.32219.161 404.99
Non-current liabilities total41.15664.98438.32219.161 404.99
Current trade creditors71.2543.9853.0979.11100.33
Current owed to participating21.9148.4146.4919.7528.69
Current owed to group member80.4193.14
Short-term deferred tax liabilities8.941.57275.87
Other non-interest bearing current liabilities228.08371.96285.33195.06565.46
Accruals and deferred income61.91289.97462.18261.08198.06
Current liabilities total472.50847.47848.66555.001 168.41
Balance sheet total (liabilities)3 002.364 136.232 930.402 625.714 022.39
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