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ADAMSHØJ GODS A/S — Credit Rating and Financial Key Figures

CVR number: 28970838
Adamshøj Alle 30, Kværkeby 4100 Ringsted
adamshoj@ager.dk
tel: 40510104
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit6 633.946 668.27-3 156.661 416.784 060.69
Employee benefit expenses-2 322.33- 388.86
Other operating expenses- 886.29- 598.93- 869.31-1 254.57- 422.07
Total depreciation-2 246.14-2 211.72-2 176.51-1 584.46-1 409.21
EBIT1 179.183 468.76-6 202.48-1 422.252 229.41
Other financial income1 252.50328.361 060.031 933.451 012.70
Other financial expenses-1 398.07-3 046.31-3 136.47-3 470.22-2 816.27
Net income from associates (fin.)205.04322.23-71.4395.17- 106.10
Pre-tax profit1 238.651 073.03-8 350.35-2 863.85319.74
Income taxes- 272.47- 120.981 818.67604.45- 219.79
Net earnings966.17952.05-6 531.69-2 259.4099.95

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters90 546.1089 709.2888 782.1988 008.8987 235.60
Buildings11 121.649 124.437 895.026 282.054 189.69
Tangible assets total101 667.7498 833.7196 677.2194 290.9491 425.29
Holdings in group member companies229.74551.96480.53575.70
Participating interests575.70469.60
Investments total223.74551.96480.531 151.40469.60
Non-current loans receivable717.62901.70851.82221.05686.31
Long term receivables total717.62901.70851.82221.05686.31
Semifinished products483.50321.86391.60658.04532.16
Raw materials and consumables1 645.38913.521 720.581 213.31409.13
Finished products/goods9 052.747 793.105 462.105 723.566 565.27
Inventories total11 181.619 028.487 574.287 594.917 506.56
Current trade debtors1 917.531 037.401 293.171 155.191 283.42
Current amounts owed by group member comp.1 004.691 216.26331.38429.47
Prepayments and accrued income63.1886.27202.28168.49168.49
Current other receivables583.74733.63751.441 159.87991.10
Current deferred tax assets89.35216.761 377.591 989.191 757.85
Short term receivables total2 653.793 078.744 840.754 804.124 630.32
Other current investments11 832.989 200.299 486.279 504.109 667.04
Cash and bank deposits56.2670.0422.65113.1390.48
Cash and cash equivalents11 889.239 270.339 508.919 617.239 757.52
Non-current assets for sale6.00
Balance sheet total (assets)128 339.73121 664.93119 933.50117 679.65114 475.61

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00500.00500.00500.00
Other reserves501.96430.53525.70419.60
Retained earnings37 258.1137 722.3338 745.8132 118.9629 965.66
Profit of the financial year966.17952.05-6 531.69-2 259.4099.95
Shareholders equity total38 724.2939 676.3433 144.6630 885.2630 985.20
Provisions236.20477.87
Non-current loans from credit institutions67 500.4766 282.6165 830.8065 019.1264 099.68
Non-current leasing loans3 756.563 072.79635.581 143.35259.03
Non-current other liabilities53.78
Non-current liabilities total71 310.8269 355.4066 466.3866 162.4764 358.72
Current loans from credit institutions11 457.828 065.6511 775.2711 434.218 768.07
Advances received5.005.005.005.005.00
Current trade creditors2 998.281 343.474 881.692 294.431 630.29
Current owed to participating1 470.701 999.175 799.556 239.43
Current owed to group member352.94401.201 025.36616.401 773.21
Other non-interest bearing current liabilities3 254.38869.29635.97482.33715.69
Current liabilities total18 068.4212 155.3120 322.4720 631.9219 131.68
Balance sheet total (liabilities)128 339.73121 664.93119 933.50117 679.65114 475.61
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