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MACH-TECH A/S — Credit Rating and Financial Key Figures

CVR number: 33753314
Kejlstrup Tværvej 2 B, 8600 Silkeborg
Info@machtech.dk
tel: 70223576
www.machtech.dk
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit11 952.7512 243.5811 566.5611 236.075 031.86
Employee benefit expenses-6 379.21-6 334.87-7 356.94-8 498.71-6 905.31
Other operating expenses-46.49-11.92
Total depreciation- 229.06- 219.43- 165.98-68.20-77.42
EBIT5 297.995 677.364 043.632 669.16-1 950.87
Other financial income0.2551.12156.4748.22
Other financial expenses-71.58-96.63-86.28- 116.70-89.55
Pre-tax profit5 226.665 580.734 008.472 708.93-1 992.20
Income taxes-1 151.34-1 229.38- 883.57- 598.04436.60
Net earnings4 075.314 351.353 124.902 110.89-1 555.60

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Machinery and equipment1 466.351 027.64923.16854.96847.53
Tangible assets total1 466.351 027.64923.16854.96847.53
Investments total24.0024.00
Long term receivables total
Raw materials and consumables98.25139.76119.50104.70134.88
Inventories total98.25139.76119.50104.70134.88
Current trade debtors2 064.911 457.453 389.563 842.56292.75
Prepayments and accrued income93.8370.1746.5022.635.00
Current other receivables10 892.589 442.736 314.925 821.221 260.10
Short term receivables total13 051.3310 970.359 750.989 686.411 557.86
Cash and bank deposits2 087.823 269.296 937.354 295.417 685.14
Cash and cash equivalents2 087.823 269.296 937.354 295.417 685.14
Balance sheet total (assets)16 727.7515 431.0417 730.9914 941.4810 225.41

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00500.00500.00500.00
Shares repurchased4 000.004 300.003 100.002 700.001 000.00
Retained earnings1 793.381 568.692 820.043 244.944 355.83
Profit of the financial year4 075.314 351.353 124.902 110.89-1 555.60
Shareholders equity total10 368.6910 720.049 544.948 555.834 300.23
Provisions1 252.011 316.361 623.241 400.83442.83
Non-current liabilities total
Advances received3 375.49589.162 851.901 264.54698.94
Current trade creditors315.16560.87218.13630.58246.69
Current owed to group member64.57570.351 783.931 612.852 504.15
Short-term deferred tax liabilities490.781 165.03576.69820.45521.41
Other non-interest bearing current liabilities861.05509.231 132.16656.411 511.17
Current liabilities total5 107.053 394.646 562.814 984.825 482.35
Balance sheet total (liabilities)16 727.7515 431.0417 730.9914 941.4810 225.41
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