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Søvang Dairy ApS — Credit Rating and Financial Key Figures

CVR number: 42507636
Lyngholmsvej 10, 7280 Sønder Felding
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit8 101.6314 814.4810 699.5015 021.8618 578.54
Employee benefit expenses-3 516.46-4 925.24-5 920.30-5 704.24-6 548.94
Total depreciation-1 689.60-2 659.28-2 126.11-2 054.76-2 697.61
Reduction in value of non-current assets1 231.45-78.35818.661 361.39
EBIT2 895.577 229.952 653.097 262.869 331.99
Other financial income278.330.649.0744.729.18
Other financial expenses- 619.08- 866.14-1 857.47-2 213.21-2 453.56
Pre-tax profit2 554.826 364.46804.695 094.376 887.60
Income taxes- 473.38-1 256.28- 282.75- 906.55- 943.60
Net earnings2 081.455 108.17521.934 187.825 944.00

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible rights273.00
Intangible assets total273.00
Land and waters39 834.3739 756.1343 764.2854 000.0871 507.04
Buildings6 785.766 738.917 048.7810 174.049 812.76
Advance payments and construction in progress362.8984.19
Other tangible assets5 588.907 124.807 598.908 682.9012 096.50
Tangible assets total52 209.0353 619.8458 774.8472 941.2293 416.30
Investments total
Non-current loans receivable380.11419.32419.32463.81476.82
Long term receivables total380.11419.32419.32463.81476.82
Raw materials and consumables5 824.265 936.136 744.84
Other stocks690.80889.40846.601 295.801 267.70
Finished products/goods3 250.565 273.93
Inventories total3 941.366 163.336 670.867 231.938 012.54
Current trade debtors1 218.56164.48163.6235.5036.89
Current amounts owed by group member comp.506.28715.15981.25
Prepayments and accrued income21.18244.1140.21116.22194.20
Current other receivables740.06196.50248.09196.59411.09
Short term receivables total1 979.80605.09958.201 063.461 623.43
Cash and bank deposits646.990.213.79544.14
Cash and cash equivalents646.990.213.79544.14
Balance sheet total (assets)58 783.3061 454.5766 823.4481 704.20104 073.22

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital250.00250.00250.00250.00250.00
Share premium account8 450.26
Retained earnings10 531.7115 639.8916 161.8220 349.63
Profit of the financial year2 081.455 108.17521.934 187.825 944.00
Shareholders equity total10 781.7115 889.8916 411.8220 599.6326 543.64
Provisions2 125.002 901.002 935.003 102.002 968.98
Non-current loans from credit institutions34 360.8834 046.0938 706.4140 317.7560 401.94
Non-current leasing loans150.002 039.961 611.62
Non-current liabilities total34 510.8934 046.0938 706.4142 357.7262 013.55
Current loans from credit institutions3 549.751 679.573 200.237 415.401 992.79
Current trade creditors1 228.721 898.56808.482 001.163 295.18
Current owed to participating3 287.403 331.063 370.023 469.163 610.28
Current owed to group member1 658.39841.10852.631 321.061 997.33
Short-term deferred tax liabilities354.38480.28248.75739.551 076.62
Other non-interest bearing current liabilities1 287.06387.03290.10698.53574.85
Current liabilities total11 365.698 617.598 770.2115 644.8512 547.05
Balance sheet total (liabilities)58 783.3061 454.5766 823.4481 704.20104 073.22
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