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IVAN JAKOBSEN ENTREPRENØRFIRMA A/S — Credit Rating and Financial Key Figures

CVR number: 15033975
Farvervej 13, 7600 Struer
tel: 97852310

Income statement (kDKK)

2016
2017
2018
2019
2020
Fiscal period length1212121212
Net sales
Gross profit12 832.135 147.7712 142.1718 168.7116 581.61
Costs of management-3 178.62-4 498.18-3 564.26-4 549.08-3 272.30
Costs of distribution- 803.84- 926.90- 359.89
EBIT9 653.50649.599 381.7512 692.7312 949.42
Other financial income106.39164.5149.56129.3951.37
Other financial expenses- 306.45- 365.78- 671.65- 598.03- 404.60
Net income from associates (fin.)163.34216.69496.39418.57206.67
Pre-tax profit9 616.78665.019 256.0612 642.6612 802.86
Income taxes-2 099.05- 128.42-1 975.58-2 697.87-2 800.73
Net earnings7 517.73536.607 280.489 944.7810 002.13

Assets (kDKK)

2016
2017
2018
2019
2020
Intangible assets total
Land and waters3 542.433 742.053 533.603 270.873 127.22
Buildings15 398.8334 201.5930 130.1632 576.6030 448.84
Tangible assets total18 941.2637 943.6433 663.7635 847.4733 576.06
Participating interests1 286.481 430.661 854.552 128.121 394.71
Investments total1 286.481 430.661 854.552 128.121 394.71
Non-current loans receivable63.2567.0664.07158.54140.36
Non-current other receivables964.061 012.26981.67981.67900.98
Long term receivables total1 027.301 079.321 045.741 140.211 041.34
Raw materials and consumables3 522.035 141.934 680.774 759.124 198.32
Inventories total3 522.035 141.934 680.774 759.124 198.32
Current trade debtors20 344.5323 837.9021 940.9719 953.8226 152.26
Prepayments and accrued income115.6734.5977.85152.38161.72
Current other receivables7 412.287 530.0612 403.2822 150.7413 853.72
Current deferred tax assets471.45879.30
Short term receivables total27 872.4731 874.0135 301.4042 256.9440 167.70
Cash and bank deposits8 728.012 915.7410 476.576 043.2111 280.59
Cash and cash equivalents8 728.012 915.7410 476.576 043.2111 280.59
Balance sheet total (assets)61 377.5580 385.2987 022.7992 175.0891 658.71

Equity and liabilities (kDKK)

2016
2017
2018
2019
2020
Share capital600.00600.00600.00600.00600.00
Shares repurchased5 000.006 000.007 000.006 000.00
Other reserves1 228.471 372.661 796.552 070.121 354.71
Retained earnings19 954.8127 328.3521 441.0621 447.9726 108.17
Profit of the financial year7 517.73536.607 280.489 944.7810 002.13
Shareholders equity total34 301.0229 837.6137 118.0941 062.8844 065.01
Provisions2 308.922 323.784 299.364 649.556 285.52
Non-current leasing loans463.929 829.637 359.635 114.592 831.27
Non-current owed to participating1 366.981 191.809 188.69
Non-current other liabilities9 735.8011 666.19
Non-current liabilities total1 830.9011 021.4316 548.3214 850.3914 497.46
Current loans from credit institutions365.982 548.362 470.002 433.802 479.25
Advances received928.983 950.825 306.804 829.563 856.49
Current trade creditors8 663.4710 741.709 821.3415 640.4214 534.38
Current owed to participating6 818.2613 498.765 781.84
Short-term deferred tax liabilities777.704 181.921 207.21
Other non-interest bearing current liabilities5 336.905 825.435 669.584 526.574 733.40
Accruals and deferred income45.42637.387.45
Current liabilities total22 936.7137 202.4729 057.0231 612.2726 810.73
Balance sheet total (liabilities)61 377.5580 385.2987 022.7992 175.0891 658.71
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