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BENDIXEN NEON ApS — Credit Rating and Financial Key Figures

CVR number: 83459816
Finderupvej 118, 8800 Viborg
kontakt@bxn.dk
tel: 87500100
www.bxn.dk
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit7 945.177 621.339 838.758 993.5511 821.12
Employee benefit expenses-5 669.80-6 266.12-7 016.78-7 771.30-8 914.65
Other operating expenses- 197.22
Total depreciation- 566.61- 509.31-1 120.68- 667.96- 698.80
EBIT1 511.54845.901 701.29554.292 207.66
Other financial income10.659.200.3835.847.42
Other financial expenses-52.99-46.81-45.91-47.01- 180.83
Pre-tax profit1 469.20808.291 655.77543.132 034.25
Income taxes- 306.68- 182.77- 371.98- 125.01- 445.69
Net earnings1 162.51625.531 283.78418.111 588.56

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters4 709.374 456.923 913.904 286.434 215.61
Machinery and equipment972.08796.451 647.531 969.051 890.88
Tangible assets total5 681.465 253.375 561.436 255.486 106.49
Investments total
Non-current loans receivable116.12118.80119.1899.9372.21
Long term receivables total116.12118.80119.1899.9372.21
Semifinished products322.20335.20434.40244.42324.66
Raw materials and consumables1 918.142 989.143 272.613 487.664 474.96
Advance payments98.5658.39451.60
Inventories total2 338.913 382.743 707.014 183.684 799.62
Current trade debtors2 637.091 715.324 058.001 533.782 376.49
Current other receivables705.32551.821 741.34842.63722.77
Current deferred tax assets234.23
Short term receivables total3 342.422 501.375 799.342 376.413 099.25
Cash and bank deposits1 214.08895.83623.02591.202 701.74
Cash and cash equivalents1 214.08895.83623.02591.202 701.74
Balance sheet total (assets)12 692.9812 152.1115 809.9813 506.7016 779.31

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital220.00220.00220.00220.00220.00
Shares repurchased250.00150.001 571.142 500.00
Retained earnings6 011.217 023.727 649.257 361.895 280.00
Profit of the financial year1 162.51625.531 283.78418.111 588.56
Shareholders equity total7 643.728 019.259 153.039 571.159 588.56
Provisions308.00316.00363.00418.00433.00
Non-current loans from credit institutions2 307.592 009.611 710.001 409.762 624.07
Non-current liabilities total2 307.592 009.611 710.001 409.762 624.07
Current loans from credit institutions298.00298.00299.00300.00396.00
Advances received150.00128.68
Current trade creditors456.45141.191 845.99795.621 028.43
Current owed to group member35.44300.49112.192.18986.02
Short-term deferred tax liabilities263.68324.9870.01430.69
Other non-interest bearing current liabilities1 380.091 067.571 851.78811.311 292.55
Current liabilities total2 433.661 807.254 583.942 107.804 133.68
Balance sheet total (liabilities)12 692.9812 152.1115 809.9813 506.7016 779.31
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