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L.C. GLAD & CO. A/S — Credit Rating and Financial Key Figures

CVR number: 62639113
Vallensbækvej 65, 2625 Vallensbæk
tel: 43622000
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit6 246.494 865.505 159.355 286.474 864.59
Employee benefit expenses-3 698.81-3 304.91-2 380.46-2 113.55-2 369.75
Total depreciation-38.88-32.35-35.36- 160.51- 182.64
EBIT2 508.801 528.242 743.533 012.412 312.20
Other financial income33.0041.0042.8433.56
Other financial expenses-14.35-48.32-39.17-34.36-42.28
Pre-tax profit2 527.451 520.932 704.363 020.902 303.48
Income taxes- 557.20- 332.23- 595.88- 665.79- 509.31
Net earnings1 970.251 188.702 108.482 355.111 794.18

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Buildings75.1950.0428.18735.55608.06
Machinery and equipment16.108.9033.4018.6316.47
Advance payments and construction in progress259.50
Tangible assets total91.2958.94321.08754.19624.52
Investments total
Deferred tax assets32.0126.1022.02
Long term receivables total32.0126.1022.02
Raw materials and consumables1 083.471 531.701 001.531 059.631 399.01
Inventories total1 083.471 531.701 001.531 059.631 399.01
Current trade debtors1 734.151 692.342 410.941 555.501 404.21
Current amounts owed by group member comp.274.4659.73
Current owed by particip. interest comp.110.81
Prepayments and accrued income225.4232.6712.0062.9434.91
Current other receivables1 076.09113.586.464.69
Short term receivables total3 035.661 838.592 422.941 899.361 614.35
Cash and bank deposits1 123.482 189.063 461.563 873.624 028.16
Cash and cash equivalents1 123.482 189.063 461.563 873.624 028.16
Balance sheet total (assets)5 365.905 644.397 229.137 586.797 666.04

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital700.00700.00700.00700.00700.00
Shares repurchased1 400.00750.001 700.002 000.001 700.00
Retained earnings-1 037.65182.60- 328.70- 220.22434.89
Profit of the financial year1 970.251 188.702 108.482 355.111 794.18
Shareholders equity total3 032.602 821.304 179.784 834.894 629.06
Provisions2.606.16
Non-current deferred tax liabilities93.6194.58
Non-current liabilities total93.6194.58
Current loans from credit institutions6.8111.579.2935.6412.67
Advances received203.32923.23371.07119.46388.69
Current trade creditors1 138.93721.841 141.91904.61850.84
Current owed to group member134.86126.6478.75
Short-term deferred tax liabilities78.0778.75591.80641.16505.75
Other non-interest bearing current liabilities677.71866.49856.541 048.441 272.87
Current liabilities total2 239.692 728.513 049.352 749.303 030.81
Balance sheet total (liabilities)5 365.905 644.397 229.137 586.797 666.04
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