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PAJO BOLTE A/S — Credit Rating and Financial Key Figures

CVR number: 10221994
Lupinvej 1, 9500 Hobro
tel: 96574211
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales54 996.92
Gross profit54 997.0040 283.0079 787.0073 571.7870 732.73
Employee benefit expenses-21 433.34-30 831.99-32 885.99
Total depreciation- 797.84- 567.30- 586.59
EBIT32 766.0024 674.0051 139.0042 172.4937 260.16
Other financial income5 761.66953.98970.80
Other financial expenses- 726.54-1 021.76- 978.24
Pre-tax profit37 800.6922 493.0039 977.0042 104.7137 252.72
Income taxes-8 303.69-9 272.44-8 304.94
Net earnings29 497.0022 493.0039 977.0032 832.2828 947.77

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Buildings187.13393.39
Machinery and equipment2 828.161 169.91776.19
Tangible assets total2 828.161 357.041 169.58
Investments total-0.30103 634.0095 263.00
Non-current loans receivable1.001.001.00
Long term receivables total1.001.001.00
Finished products/goods53 981.4556 219.0061 920.00
Advance payments792.38
Inventories total54 773.8356 219.0061 920.00
Current trade debtors26 501.8526 185.2527 983.06
Current amounts owed by group member comp.89.79143.73
Prepayments and accrued income452.96454.86
Current other receivables152.8827.00
Current deferred tax assets908.31849.22
Short term receivables total26 501.8527 789.1929 457.87
Cash and bank deposits7 519.460.349.15
Cash and cash equivalents7 519.460.349.15
Balance sheet total (assets)91 624.00103 634.0095 263.0085 366.5792 557.60

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital800.0061 990.0065 328.00830.02830.02
Shares repurchased49 526.4033 000.0029 000.00
Other reserves-29 526.59
Retained earnings9 200.19-22 493.00-39 977.00-13 502.24-9 669.97
Profit of the financial year29 497.0022 493.0039 977.0032 832.2828 947.77
Shareholders equity total59 497.0061 990.0065 328.0053 160.0649 107.83
Provisions293.011 000.001 000.00
Non-current liabilities total
Current trade creditors8 790.678 170.517 478.44
Current owed to group member8 000.005 855.2219 101.81
Short-term deferred tax liabilities8 408.759 345.428 245.85
Other non-interest bearing current liabilities6 634.687 835.377 623.68
Current liabilities total31 834.1031 206.5142 449.78
Balance sheet total (liabilities)91 624.1161 990.0065 328.0085 366.5792 557.60
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