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Industrien i Valby's Sociale Fond — Credit Rating and Financial Key Figures

CVR number: 37552925
Druehaven 25, 2500 Valby
admin@valbyfonden.dk
tel: 23707714
www.valbyfonden.dk
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales8 227.528 300.878 569.238 988.989 443.98
External services- 467.69- 387.25- 863.40- 756.85- 983.75
Rents-3 358.66-3 092.44-3 875.11-6 957.35-3 933.43
Gross profit4 401.174 821.183 830.721 274.784 526.80
Employee benefit expenses-1 023.17- 902.49- 977.16- 703.17- 581.54
Total depreciation- 668.74- 668.74- 668.74- 711.50- 711.50
EBIT2 709.263 249.952 184.83- 139.893 233.77
Other financial income6.813.0088.16136.4281.46
Other financial expenses- 469.90- 478.84- 440.66- 634.07-1 163.01
Pre-tax profit2 246.172 774.111 832.32- 637.532 152.22
Income taxes- 214.12- 277.34- 428.28-32.22- 549.37
Net earnings2 032.052 496.771 404.04- 669.751 602.85

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters122 810.56122 164.54121 518.51127 670.35126 981.58
Machinery and equipment151.35128.63105.9183.1960.48
Tangible assets total122 961.91122 293.17121 624.43127 753.55127 042.05
Investments total
Long term receivables total
Inventories total
Current trade debtors23.87168.0864.4432.1148.90
Prepayments and accrued income11.4819.20
Current other receivables254.84112.85115.0471.50219.10
Current deferred tax assets205.191.88
Short term receivables total290.19280.93179.47308.80289.09
Other current investments247.71229.06269.12333.97394.94
Cash and bank deposits2 947.844 314.156 004.943 767.344 368.94
Cash and cash equivalents3 195.554 543.216 274.064 101.304 763.88
Balance sheet total (assets)126 447.65127 117.31128 077.96132 163.65132 095.02

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital79 812.2779 812.2779 812.2779 812.2779 812.27
Other restricted equity2 228.002 129.691 029.45449.03750.00
Retained earnings-1 536.76-1 504.71492.061 896.10476.35
Profit of the financial year2 032.052 496.771 404.04- 669.751 602.85
Shareholders equity total82 535.5782 934.0182 737.8281 487.6582 641.47
Provisions8.9510.049.608.035.60
Non-current loans from credit institutions41 110.1541 141.2841 172.4146 675.0046 705.94
Non-current liabilities total41 110.1541 141.2841 172.4146 675.0046 705.94
Current trade creditors406.9570.00363.641 313.39356.60
Short-term deferred tax liabilities60.4299.42365.940.00
Other non-interest bearing current liabilities2 274.432 783.833 354.842 485.042 301.52
Accruals and deferred income51.1978.7273.71194.5583.90
Current liabilities total2 792.993 031.974 158.133 992.972 742.02
Balance sheet total (liabilities)126 447.65127 117.31128 077.96132 163.65132 095.02
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