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POULSEN & FINSEN A/S — Credit Rating and Financial Key Figures

CVR number: 21037494
Grønløkkevej 10, 5000 Odense C
tel: 66136629
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit8 881.898 801.727 149.088 063.716 776.22
Employee benefit expenses-7 413.85-7 879.44-9 844.74-11 095.90-7 545.04
Total depreciation- 508.36- 307.47- 465.92- 676.57- 888.42
EBIT959.68614.81-3 161.59-3 708.76-1 657.24
Other financial income8 086.995 446.574 170.774 703.435 176.73
Other financial expenses- 520.39-5 260.72- 135.19-24.80-80.06
Pre-tax profit8 526.27800.67874.00969.873 439.43
Income taxes-1 882.86- 185.62- 195.22- 218.99- 799.55
Net earnings6 643.41615.05678.78750.882 639.89

Assets (kDKK)

2020
2021
2022
2023
2024
Goodwill5 440.93
Intangible assets total5 440.93
Buildings836.31622.76513.28416.82815.96
Machinery and equipment120.68826.661 355.91978.741 600.38
Tangible assets total956.991 449.421 869.201 395.562 416.33
Investments total
Non-curr. owed by group member comp.42 000.0048 000.0073 933.3174 453.4174 227.20
Long term receivables total42 000.0048 000.0073 933.3174 453.4174 227.20
Finished products/goods3 299.142 496.111 183.571 720.691 402.55
Advance payments865.271 267.54630.57334.082 083.45
Inventories total4 164.423 763.651 814.142 054.773 486.00
Current trade debtors7 719.154 707.893 865.632 954.782 386.42
Current amounts owed by group member comp.4 611.8415 313.5110 982.783 619.845 325.79
Prepayments and accrued income55.14222.19102.55209.1462.33
Current other receivables17 602.1920 935.117 292.749 824.9311 602.85
Current deferred tax assets102.43619.69476.37527.1552.95
Short term receivables total30 090.7541 798.3922 720.0717 135.8419 430.34
Other current investments13 684.25
Cash and bank deposits17 037.3412 899.477 121.0511 570.787 858.48
Cash and cash equivalents30 721.5912 899.477 121.0511 570.787 858.48
Balance sheet total (assets)107 933.75107 910.94107 457.77106 610.37112 859.28

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital4 000.004 000.004 000.004 000.004 000.00
Other reserves187.24-20.20
Retained earnings86 360.1593 003.5693 618.6294 297.3995 048.27
Profit of the financial year6 643.41615.05678.78750.882 639.89
Shareholders equity total97 003.5697 805.8598 297.3999 048.27101 667.96
Non-current deferred tax liabilities271.58763.80
Non-current liabilities total271.58763.80
Current trade creditors4 794.836 606.224 873.424 206.372 863.05
Current owed to participating344.92
Current owed to group member255.711 028.171 370.824 947.16
Short-term deferred tax liabilities1 897.24675.52674.601 010.22
Other non-interest bearing current liabilities3 893.192 567.632 584.181 713.331 607.10
Current liabilities total10 930.1810 105.089 160.387 290.5210 427.53
Balance sheet total (liabilities)107 933.75107 910.94107 457.77106 610.37112 859.28
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