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JULIUS NIELSEN PARKING SERVICES ApS — Credit Rating and Financial Key Figures

CVR number: 33078862
Østre Stationsvej 43, 5000 Odense C
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit1 325.282 359.483 951.602 711.343 022.93
Total depreciation- 213.19- 198.63- 201.35- 176.43- 176.25
EBIT1 112.092 160.853 750.252 534.902 846.68
Other financial income712.5722.76415.481 674.54428.57
Other financial expenses-82.05- 578.93-92.01-91.09-21.24
Net income from associates (fin.)853.22263.02-1 545.17901.811 371.70
Pre-tax profit2 595.821 867.702 528.565 020.164 625.71
Income taxes- 386.36- 356.02- 903.43- 922.87- 715.96
Net earnings2 209.461 511.681 625.134 097.293 909.75

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible rights900.00800.00700.00600.00500.00
Intangible assets total900.00800.00700.00600.00500.00
Land and waters1 091.431 035.01978.58922.15865.90
Machinery and equipment253.46211.26266.36246.36226.35
Tangible assets total1 344.901 246.271 244.941 168.511 092.26
Holdings in group member companies6 659.466 922.485 377.315 279.126 650.82
Investments total6 659.466 922.485 377.315 279.126 650.82
Long term receivables total
Finished products/goods1 283.021 930.081 951.90
Inventories total1 283.021 930.081 951.90
Current trade debtors247.96291.91660.95373.62430.12
Current amounts owed by group member comp.455.16511.80269.28869.52904.30
Prepayments and accrued income25.7014.557.497.656.86
Current other receivables61.5355.4954.85
Current deferred tax assets100.63
Short term receivables total728.82818.26999.251 306.291 496.76
Other current investments5 829.205 287.699 449.0610 808.2614 906.66
Cash and bank deposits843.722 577.381 564.771 879.82359.28
Cash and cash equivalents6 672.917 865.0711 013.8312 688.0815 265.94
Balance sheet total (assets)16 306.0917 652.0820 618.3522 972.0826 957.68

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital80.0080.0080.0080.0080.00
Other reserves5 877.176 140.194 595.024 496.845 868.54
Retained earnings6 131.048 077.4711 134.3212 857.6415 583.23
Profit of the financial year2 209.461 511.681 625.134 097.293 909.75
Shareholders equity total14 297.6715 809.3417 434.4721 531.7625 441.51
Provisions193.73167.45144.73125.10105.23
Non-current owed to group member209.78110.86528.25
Non-current liabilities total209.78110.86528.25
Current loans from credit institutions22.85242.45
Current trade creditors44.2137.8240.6542.3544.82
Current owed to participating58.89267.91
Short-term deferred tax liabilities445.47397.56913.28901.93660.50
Other non-interest bearing current liabilities1 102.701 093.141 302.80303.04437.70
Accruals and deferred income12.5413.0511.729.00
Current liabilities total1 604.911 564.432 510.901 315.211 410.94
Balance sheet total (liabilities)16 306.0917 652.0820 618.3522 972.0826 957.68
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