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HENRIK HENRIKSENS FOND — Credit Rating and Financial Key Figures

CVR number: 73051711
Tangevej 62 C, 6760 Ribe
kristensen@henrikhenriksen.dk
tel: 23344088
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit107.87126.8457.69706.87- 277.95
Employee benefit expenses- 165.00- 116.90- 105.00- 120.00- 150.00
EBIT-57.139.94-47.31586.87- 427.95
Other financial income0.082 578.2617 917.734 798.833 086.89
Other financial expenses-4.31- 677.51-22.06-9.54-2 321.84
Income from other inv. held as non-curr. assets13 953.77
Net income from associates (fin.)10 128.37-5 812.4510 445.511 564.79-2 563.20
Pre-tax profit24 020.78-3 901.7628 293.876 940.95-2 226.10
Income taxes-2 810.54212.34-3 898.11-1 297.990.30
Net earnings21 210.24-3 689.4224 395.765 642.97-2 225.80

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters14 328.0014 328.0014 328.002 306.642 306.64
Tangible assets total14 328.0014 328.0014 328.002 306.642 306.64
Holdings in group member companies156 299.77150 487.32160 932.83136 950.04134 386.84
Investments total156 299.77150 487.32160 932.83136 950.04134 386.84
Non-current loans receivable55 850.71
Long term receivables total55 850.71
Inventories total
Current trade debtors6.466.46
Current other receivables168.69172.13171.2682.218.86
Current deferred tax assets118.36182.24273.08448.76
Short term receivables total287.04360.82450.8082.21457.62
Other current investments56 147.2972 053.0466 321.4363 441.22
Cash and bank deposits0.560.004 909.47
Cash and cash equivalents0.5656 147.2972 053.0471 230.9063 441.22
Balance sheet total (assets)226 766.08221 323.43247 764.66210 569.80200 592.32

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital24 668.4824 668.4824 668.4824 668.4824 668.48
Asset revaluation reserve9 376.669 376.669 376.66
Other reserves143 853.27138 040.82148 486.32124 503.54121 940.34
Other restricted equity3 042.224 453.325 441.646 642.896 642.89
Retained earnings13 217.0337 239.7220 104.7939 935.7546 644.43
Profit of the financial year21 210.24-3 689.4224 395.765 642.97-2 225.80
Shareholders equity total215 367.89210 089.57232 473.65201 393.63197 670.34
Provisions9 552.009 292.0013 194.001 033.871 911.37
Non-current liabilities total
Current loans from credit institutions622.08797.511 419.60663.17
Current trade creditors33.7512.1937.44102.5088.63
Short-term deferred tax liabilities7 705.07
Other non-interest bearing current liabilities1 063.671 005.47511.97227.97150.00
Accruals and deferred income126.69126.68128.00106.76108.83
Current liabilities total1 846.181 941.852 097.018 142.301 010.62
Balance sheet total (liabilities)226 766.08221 323.43247 764.66210 569.80200 592.32
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