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CABICON A/S — Credit Rating and Financial Key Figures

CVR number: 31619297
Emil Neckelmanns Vej 5, Fraugde 5220 Odense SØ
tel: 76234400
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit13 680.9512 905.6611 503.9914 209.5314 943.49
Employee benefit expenses-9 417.65-10 896.46-10 099.64-11 083.68-11 036.18
Other operating expenses-64.16
Total depreciation- 451.52- 449.25- 396.58- 399.66- 346.47
EBIT3 811.781 559.951 007.772 726.183 496.68
Other financial income388.10556.04327.63211.59317.86
Other financial expenses- 552.92- 818.59- 560.41- 528.52- 475.61
Income from other inv. held as non-curr. assets0.73
Net income from associates (fin.)-24.00
Pre-tax profit3 646.971 274.14774.992 409.263 338.94
Income taxes- 815.52- 307.00- 178.97- 545.39- 763.01
Net earnings2 831.45967.13596.021 863.872 575.93

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Buildings1 496.711 289.531 042.98768.63491.36
Machinery and equipment339.49302.96246.38193.65159.46
Advance payments and construction in progress109.681 516.77468.02
Tangible assets total1 945.891 592.491 289.362 479.051 118.84
Holdings in group member companies2 169.572 145.572 145.572 145.572 089.57
Investments total2 594.572 570.572 561.632 561.632 505.63
Non-current loans receivable7.257.257.257.257.25
Long term receivables total7.257.257.257.257.25
Finished products/goods7 572.218 308.306 979.088 311.608 423.29
Advance payments54.91328.38558.40932.15
Inventories total7 627.128 308.307 307.468 870.009 355.43
Current trade debtors6 051.515 166.904 751.407 381.236 639.43
Current amounts owed by group member comp.545.313 215.832 154.482 298.451 791.77
Prepayments and accrued income274.29160.39487.36350.64716.77
Current other receivables1.2531.16205.070.7432.53
Current deferred tax assets9.727.612.15
Short term receivables total6 872.368 574.287 608.0310 038.679 182.64
Cash and bank deposits2 046.215.865.745.1912.45
Cash and cash equivalents2 046.215.865.745.1912.45
Balance sheet total (assets)21 093.3821 058.7418 779.4623 961.7822 182.24

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00500.00500.00500.00
Shares repurchased2 950.00240.00800.00600.00
Other reserves-2 450.00
Retained earnings4 227.614 109.064 836.194 632.215 896.08
Profit of the financial year2 831.45967.13596.021 863.872 575.93
Shareholders equity total7 559.066 076.196 172.217 796.089 572.01
Provisions56.6628.47
Non-current loans from credit institutions356.91105.01
Non-current other liabilities685.91173.75
Non-current deferred tax liabilities458.75474.80489.52507.63
Non-current liabilities total1 042.82737.51474.80489.52507.63
Current loans from credit institutions477.537 353.715 769.318 085.524 325.94
Current trade creditors2 233.902 406.242 707.623 272.283 161.85
Current owed to group member697.322 143.711 264.021 474.701 707.18
Short-term deferred tax liabilities610.42149.19226.64543.28757.54
Other non-interest bearing current liabilities8 415.672 163.722 164.842 300.422 150.08
Current liabilities total12 434.8414 216.5712 132.4515 676.1912 102.60
Balance sheet total (liabilities)21 093.3821 058.7418 779.4623 961.7822 182.24
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