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H. HOFFMANN A/S — Credit Rating and Financial Key Figures

CVR number: 75258119
Søholtvej 11, 8400 Ebeltoft
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit367.431 582.71- 157.03796.22282.64
Employee benefit expenses- 273.82- 275.32- 473.98- 405.44- 518.90
Other operating expenses-99.68- 135.94- 149.25
Total depreciation-35.36-35.36-33.82-32.28-23.28
EBIT58.251 272.04- 764.51222.56- 408.80
Other financial expenses- 250.53- 247.69- 417.39- 129.37- 141.85
Pre-tax profit- 192.271 024.35-1 181.8993.19- 550.65
Income taxes38.89- 229.29128.715.12181.73
Net earnings- 153.39795.06-1 053.1998.31- 368.93

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters6 911.776 888.496 865.226 841.94
Buildings6 939.671.54
Machinery and equipment27.0018.009.00
Tangible assets total6 966.676 931.316 897.496 865.226 841.94
Investments total
Long term receivables total
Finished products/goods2 258.532 387.802 793.032 721.932 807.63
Inventories total2 258.532 387.802 793.032 721.932 807.63
Current trade debtors44.76163.26208.841 290.72865.50
Current other receivables343.16227.12150.00168.26241.85
Current deferred tax assets607.31378.02506.73511.85693.58
Short term receivables total995.24768.41865.571 970.831 800.93
Cash and bank deposits173.23
Cash and cash equivalents173.23
Balance sheet total (assets)10 220.4310 260.7510 556.1011 557.9811 450.49

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital780.00780.00780.00780.00780.00
Retained earnings518.31364.921 159.996 452.006 550.31
Profit of the financial year- 153.39795.06-1 053.1998.31- 368.93
Shareholders equity total1 144.921 939.99886.807 330.316 961.39
Non-current loans from credit institutions1 226.381 159.661 093.531 031.78914.85
Non-current other liabilities21.906.006.006.00
Non-current liabilities total1 226.381 181.571 099.531 037.78920.85
Current loans from credit institutions352.1268.0094.50678.81598.60
Current trade creditors23.59107.85115.57416.84426.08
Current owed to participating920.301 928.711 941.401 708.47
Current owed to group member6 390.376 043.056 345.20753.62
Other non-interest bearing current liabilities1 083.0485.78152.8481.48
Current liabilities total7 849.137 139.208 569.773 189.893 568.26
Balance sheet total (liabilities)10 220.4310 260.7510 556.1011 557.9811 450.49
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