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DANBIT A/S — Credit Rating and Financial Key Figures

CVR number: 78788216
Birkevej 4, 2680 Solrød Strand
SALG@DANBIT.DK
tel: 56662020
WWW.DANBIT.COM
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit3 600.514 483.063 699.244 001.473 935.38
Employee benefit expenses-5 349.50-2 689.02-2 617.66-2 468.93-2 715.21
Total depreciation-54.25-36.67-40.00
EBIT-1 803.231 794.041 081.581 495.871 180.16
Other financial income13 055.371 148.741 476.632 464.281 106.62
Other financial expenses-99.53- 211.87- 224.33- 175.38- 321.49
Net income from associates (fin.)495.09156.99123.23163.67200.99
Pre-tax profit11 647.702 887.912 457.113 948.442 166.29
Income taxes-2 498.23- 629.41- 515.37- 833.01- 439.50
Net earnings9 149.472 258.491 941.743 115.431 726.79

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters398.63398.63398.63398.63398.63
Machinery and equipment108.50123.3383.33
Tangible assets total507.13398.63398.63521.97481.97
Holdings in group member companies361.92518.91642.14805.811 006.81
Investments total361.92518.91642.14805.811 006.81
Non-current loans receivable2 170.911 064.721 064.722 114.721 064.72
Long term receivables total2 170.911 064.721 064.722 114.721 064.72
Finished products/goods523.53427.03368.01206.97176.15
Advance payments412.66
Inventories total523.53427.03368.01206.97588.81
Current trade debtors1 174.26659.78439.37305.80302.09
Current amounts owed by group member comp.45.0022.831.751.75
Current other receivables1 325.27421.99330.88
Current deferred tax assets184.05146.4512.891.47
Short term receivables total1 403.312 154.33454.01729.54634.43
Other current investments14 085.829 225.6712 429.0513 705.3512 774.63
Cash and bank deposits43 071.044 794.274 899.852 342.221 683.55
Cash and cash equivalents57 156.8614 019.9417 328.8916 047.5714 458.18
Balance sheet total (assets)62 123.6618 583.5720 256.4120 426.5818 234.91

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital500.00500.00500.00500.00500.00
Shares repurchased40 000.0010 000.001 000.00
Other reserves325.43482.42605.65769.32970.32
Retained earnings-1 260.317 732.169 867.431 645.503 559.93
Profit of the financial year9 149.472 258.491 941.743 115.431 726.79
Shareholders equity total48 714.5910 973.0812 914.8216 030.257 757.04
Provisions104.02110.00130.00130.73130.00
Non-current deferred tax liabilities358.13
Non-current liabilities total358.13
Advances received634.35123.22603.41145.55227.33
Current trade creditors105.8687.8129.0349.99821.37
Current owed to group member571.072 844.222 957.992 538.608 072.41
Short-term deferred tax liabilities2 392.26295.83773.49337.64
Other non-interest bearing current liabilities9 601.514 445.232 967.19757.97889.11
Current liabilities total13 305.067 500.496 853.464 265.6010 347.87
Balance sheet total (liabilities)62 123.6618 583.5720 256.4120 426.5818 234.91
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