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HOBRO LASERTEKNIK A/S — Credit Rating and Financial Key Figures

CVR number: 29797315
Benshøj Industrivej 22 A, Sdr. Onsild Kirkeby 9500 Hobro
pro@hobrorustfri.dk
tel: 98522432
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit15 042.8018 674.8219 813.6221 161.7520 919.16
Employee benefit expenses-10 904.94-12 043.55-15 449.90-17 192.97-17 059.77
Total depreciation-1 432.01-1 359.54-1 243.16- 933.13- 981.86
EBIT2 705.845 271.743 120.553 035.652 877.53
Other financial income18.1423.9929.8937.309.97
Other financial expenses- 168.08- 152.10- 134.04-81.58- 315.84
Pre-tax profit2 555.915 143.633 016.412 991.372 571.66
Income taxes- 562.40-1 132.83- 666.65- 659.06- 565.64
Net earnings1 993.514 010.792 349.762 332.322 006.03

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Buildings6 264.845 024.214 014.843 491.1414 209.45
Machinery and equipment274.35263.54159.75153.7878.62
Tangible assets total6 539.195 287.754 174.583 644.9314 288.07
Investments total473.00473.00473.00841.67841.67
Long term receivables total
Semifinished products1 081.571 984.371 954.40
Raw materials and consumables4 246.642 432.573 260.994 439.21
Finished products/goods4 024.31410.21150.24605.24
Inventories total4 024.314 246.643 924.355 395.616 998.85
Current trade debtors7 050.067 277.775 363.713 968.074 754.05
Current amounts owed by group member comp.628.231 464.409.40
Prepayments and accrued income48.90177.60234.18219.9799.80
Current other receivables117.34406.09138.54544.69466.69
Current deferred tax assets9.38371.72685.83
Short term receivables total7 844.539 325.865 745.825 113.856 006.37
Cash and bank deposits13.79869.1410.861.39
Cash and cash equivalents13.79869.1410.861.39
Balance sheet total (assets)18 881.0319 347.0515 186.8915 006.9128 136.35

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00500.00500.00500.00
Shares repurchased1 200.006 350.001 400.001 000.00
Other reserves-4 000.00
Retained earnings4 565.446 558.954 219.745 169.506 501.82
Profit of the financial year1 993.514 010.792 349.762 332.322 006.03
Shareholders equity total8 258.9511 069.749 419.509 401.8210 007.84
Provisions699.53769.86636.16541.94677.41
Non-current leasing loans1 240.50102.8645.8745.879 209.97
Non-current liabilities total1 240.50102.8645.8745.879 209.97
Current loans from credit institutions2 350.682 185.0057.002 041.125 151.12
Advances received9.66
Current trade creditors4 043.992 575.462 599.651 683.892 117.91
Current owed to group member10.67
Short-term deferred tax liabilities545.79551.29
Other non-interest bearing current liabilities1 741.602 092.832 428.711 282.62961.42
Current liabilities total8 682.057 404.585 085.355 017.288 241.12
Balance sheet total (liabilities)18 881.0319 347.0515 186.8915 006.9128 136.35
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