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FOTOGRAF STEEN EVALD ApS — Credit Rating and Financial Key Figures

CVR number: 16582840
Vermundsgade 40 B, 2100 København Ø
se@steenevald.com
tel: 39181808
www.steenevald.com
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit686.85371.58340.16320.731 758.84
Employee benefit expenses- 533.10- 482.16- 524.58- 544.55- 589.57
Total depreciation-84.10
EBIT69.64- 110.58- 184.43- 223.821 169.27
Other financial income279.55221.35191.40536.01272.30
Other financial expenses-3.65- 627.61-25.05-26.91-59.83
Net income from associates (fin.)302.27381.72158.29148.75157.41
Pre-tax profit647.81- 135.11140.22434.031 539.15
Income taxes-77.20110.820.73-65.71- 311.73
Net earnings570.60-24.29140.94368.321 227.42

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Tangible assets total
Holdings in group member companies413.82495.55353.84352.59
Investments total494.04575.76434.06432.8080.21
Long term receivables total
Raw materials and consumables24.2120.7619.4920.2816.42
Inventories total24.2120.7619.4920.2816.42
Current trade debtors216.85147.46108.85431.96293.74
Current amounts owed by group member comp.3 244.72
Prepayments and accrued income19.7141.8242.5740.6713.48
Current other receivables2.5115.3815.496.92
Current deferred tax assets187.59282.27271.3086.1137.23
Short term receivables total426.67486.94438.21565.673 589.16
Other current investments2 657.742 225.562 433.582 868.70552.51
Cash and bank deposits34.4283.7219.9649.081 026.40
Cash and cash equivalents2 692.162 309.292 453.532 917.781 578.91
Balance sheet total (assets)3 637.083 392.753 345.293 936.535 264.71

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital200.00200.00200.00200.00200.00
Shares repurchased250.00250.00250.00250.003 200.00
Other reserves63.83445.55153.84152.59
Retained earnings2 205.002 143.882 161.292 053.49- 625.60
Profit of the financial year570.60-24.29140.94368.321 227.42
Shareholders equity total3 289.433 015.132 906.083 024.404 001.82
Non-current deferred tax liabilities119.95257.01
Non-current liabilities total119.95257.01
Current trade creditors36.6535.0337.29175.4997.50
Current owed to participating63.49131.18171.40229.68248.57
Current owed to group member35.68192.78133.27353.33370.51
Short-term deferred tax liabilities40.8280.83
Other non-interest bearing current liabilities91.8918.6256.4272.79289.30
Current liabilities total227.71377.61439.21912.121 005.88
Balance sheet total (liabilities)3 637.083 392.753 345.293 936.535 264.71
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