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PRO-SEC A/S — Credit Rating and Financial Key Figures

CVR number: 89975816
Egegårdsvej 11, 4621 Gadstrup
tel: 56168270
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit15 359.5217 144.7817 822.0617 774.7920 273.70
Employee benefit expenses-10 734.08-12 100.91-12 746.06-12 726.68-13 843.13
Total depreciation- 396.07- 350.50- 270.23- 341.58- 341.19
EBIT4 229.384 693.374 805.764 706.536 089.37
Other financial income6.1210.8517.7559.0235.37
Other financial expenses-48.21-61.26-18.18-34.24- 222.65
Pre-tax profit4 187.304 642.964 805.334 731.315 902.10
Income taxes- 937.16-1 037.42-1 047.74-1 080.54-1 318.71
Net earnings3 250.143 605.543 757.593 650.774 583.39

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible rights252.05202.54314.25215.77
Intangible assets total252.05202.54314.25215.77
Buildings180.87135.9881.5738.14
Machinery and equipment557.92135.27336.47257.65202.63
Tangible assets total557.92316.14472.45339.22240.77
Investments total233.28262.35272.79279.57302.41
Long term receivables total
Finished products/goods6 383.526 737.427 329.977 966.617 348.89
Inventories total6 383.526 737.427 329.977 966.617 348.89
Current trade debtors6 321.095 441.925 015.394 761.155 655.33
Current amounts owed by group member comp.40.2819.18
Prepayments and accrued income54.90
Current other receivables65.8345.46116.86
Current deferred tax assets5.5374.04
Short term receivables total6 321.095 507.755 061.204 954.735 772.19
Cash and bank deposits1 303.913 558.082 603.821 603.034 568.38
Cash and cash equivalents1 303.913 558.082 603.821 603.034 568.38
Balance sheet total (assets)14 799.7216 633.7815 942.7715 457.4118 448.41

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00500.00500.00500.00
Shares repurchased2 200.002 800.003 000.003 000.009 745.29
Other reserves-5 745.29
Retained earnings281.25731.391 336.932 094.52-4 000.00
Profit of the financial year3 250.143 605.543 757.593 650.774 583.39
Shareholders equity total6 231.397 636.938 594.529 245.295 083.39
Provisions3.755.4149.0426.46
Non-current liabilities total
Current trade creditors4 534.894 982.392 976.343 152.383 438.60
Current owed to group member12.762.435 367.76
Short-term deferred tax liabilities611.80235.7658.68241.29
Other non-interest bearing current liabilities3 405.143 770.864 313.223 010.704 290.92
Current liabilities total8 564.588 991.447 348.256 163.0713 338.56
Balance sheet total (liabilities)14 799.7216 633.7815 942.7715 457.4118 448.41
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