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Invita Vejle A/S — Credit Rating and Financial Key Figures

CVR number: 39695863
Løversysselvej 5 A, 7100 Vejle
vejle@invita.dk
tel: 75720455
www.invita.dk/vejle
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit17 793.0011 611.0014 247.006 191.2611 158.63
Employee benefit expenses-15 999.00-16 056.00-14 474.00-12 056.30-11 857.59
Other operating expenses-40.62
Total depreciation-1 246.00-1 189.00-1 064.00- 970.11- 925.66
EBIT548.00-5 634.00-1 291.00-6 835.14-1 665.24
Other financial income2.002.003.008.263.36
Other financial expenses- 202.00- 100.00-90.00-39.46-46.18
Pre-tax profit348.00-5 732.00-1 378.00-6 866.33-1 708.06
Income taxes-83.001 251.00296.001 508.57369.93
Net earnings265.00-4 481.00-1 082.00-5 357.77-1 338.13

Assets (kDKK)

2020
2021
2022
2023
2024
Goodwill1 391.001 113.00834.00556.25278.13
Intangible assets total1 391.001 113.00834.00556.25278.13
Buildings1 399.00953.00493.00331.18163.71
Machinery and equipment2 102.001 916.001 774.001 706.621 518.27
Tangible assets total3 501.002 869.002 267.002 037.801 681.98
Investments total
Long term receivables total
Finished products/goods691.001 133.001 004.00484.00434.01
Advance payments539.00
Inventories total1 230.001 133.001 004.00484.00434.01
Current trade debtors18 162.0013 796.009 146.005 875.636 178.48
Prepayments and accrued income272.00382.00355.00
Current other receivables2 134.002 367.002 905.002 174.082 165.96
Current deferred tax assets126.001 376.001 672.003 180.973 550.91
Short term receivables total20 694.0017 921.0014 078.0011 230.6811 895.35
Cash and bank deposits9.00559.002 810.001 611.671 273.85
Cash and cash equivalents9.00559.002 810.001 611.671 273.85
Balance sheet total (assets)26 825.0023 595.0020 993.0015 920.4015 563.33

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital800.00800.00800.00800.00800.00
Retained earnings-1 015.00- 750.00-5 231.00-6 313.16-11 670.93
Profit of the financial year265.00-4 481.00-1 082.00-5 357.77-1 338.13
Shareholders equity total50.00-4 431.00-5 513.00-10 870.93-12 209.06
Capital loans300.00
Non-current loans from credit institutions385.00
Non-current other liabilities949.001 057.001 094.001 127.971 093.08
Non-current liabilities total1 634.001 057.001 094.001 127.971 093.08
Current loans from credit institutions464.00683.00
Advances received3 793.001 872.003 453.003 501.863 377.40
Current trade creditors12 719.0018 118.0020 963.0021 249.5722 456.36
Other non-interest bearing current liabilities8 165.007 353.002 090.00911.93845.55
Current liabilities total25 141.0028 026.0026 506.0025 663.3626 679.30
Balance sheet total (liabilities)26 825.0024 652.0022 087.0015 920.4015 563.33
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