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LBH INTERNATIONAL A/S — Credit Rating and Financial Key Figures

CVR number: 84890715
Kohaven 9, 5300 Kerteminde
tel: 65324511
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit16 355.0012 060.3015 428.0319 911.9717 151.69
Employee benefit expenses-11 353.00-10 584.67-11 895.81-12 791.67-12 532.54
Other operating expenses-44.00
Total depreciation- 472.00- 654.24- 786.64- 989.23- 863.03
EBIT4 486.00821.392 745.586 131.073 756.12
Other financial income0.030.0617.1658.08
Other financial expenses- 712.00- 613.63-1 036.76- 918.24- 568.05
Reduction non-current investment assets- 293.49
Income from other inv. held as non-curr. assets221.65
Net income from associates (fin.)-2 260.00267.35597.231 462.38
Pre-tax profit1 514.00429.431 976.235 533.724 708.53
Income taxes- 847.00-48.00- 617.91-1 243.57- 720.22
Net earnings667.00381.431 358.324 290.153 988.31

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible rights137.0091.3745.68
Intangible assets total137.0091.3745.68
Land and waters3 481.003 349.893 305.243 124.252 945.98
Machinery and equipment1 177.002 070.722 978.042 981.542 567.72
Tangible assets total4 658.005 420.616 283.276 105.795 513.70
Holdings in group member companies2 241.002 241.1929.43
Participating interests1 008.531 008.531 008.53
Investments total2 241.002 241.191 008.531 008.531 037.96
Non-current other receivables2 342.002 342.502 458.002 342.552 231.02
Long term receivables total2 342.002 342.502 458.002 342.552 231.02
Raw materials and consumables3 067.002 878.743 167.303 593.854 037.05
Finished products/goods445.00413.23382.16214.54124.75
Inventories total3 512.003 291.973 549.463 808.394 161.80
Current trade debtors5 445.005 702.977 291.337 803.115 548.17
Current amounts owed by group member comp.2.00278.48585.17
Current owed by particip. interest comp.351.00301.92845.1350.25232.14
Prepayments and accrued income668.00361.471 349.48323.10420.01
Current other receivables3 122.003 758.822 401.892 059.994 346.51
Current deferred tax assets373.00325.00
Short term receivables total9 961.0010 728.6611 887.8310 236.4511 132.01
Cash and bank deposits173.001 377.12270.563 227.276 030.87
Cash and cash equivalents173.001 377.12270.563 227.276 030.87
Balance sheet total (assets)23 024.0025 493.4125 503.3426 728.9930 107.37

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital856.00856.00856.00770.40770.40
Shares repurchased800.001 300.00
Retained earnings5 604.006 270.896 652.325 796.248 786.39
Profit of the financial year667.00381.431 358.324 290.153 988.31
Shareholders equity total7 127.007 508.328 866.6411 656.7914 845.10
Provisions292.91955.561 127.18
Non-current loans from credit institutions2 190.002 065.841 941.671 803.781 170.83
Non-current leasing loans281.00537.63973.83915.02661.47
Non-current other liabilities1 533.001 044.74
Non-current deferred tax liabilities933.511 542.101 531.11
Non-current liabilities total4 004.003 648.213 849.004 260.893 363.41
Current loans from credit institutions6 275.007 289.926 474.555 342.574 058.54
Advances received320.001 308.84588.93758.52695.34
Current trade creditors2 646.003 781.883 245.402 077.474 120.02
Short-term deferred tax liabilities597.12
Other non-interest bearing current liabilities2 596.001 956.242 185.911 677.191 300.66
Accruals and deferred income56.00
Current liabilities total11 893.0014 336.8812 494.799 855.7510 771.67
Balance sheet total (liabilities)23 024.0025 493.4125 503.3426 728.9930 107.37
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