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GP GLASS-PEENING A/S — Credit Rating and Financial Key Figures

CVR number: 26098963
Danmarksvej 27 A, 8660 Skanderborg
jm@gpg.dk
tel: 87930054
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit6 507.376 166.757 454.247 781.739 077.01
Employee benefit expenses-4 173.22-4 193.94-4 617.14-4 424.75-5 015.06
Total depreciation- 197.28-68.71-59.11-56.40-53.17
EBIT2 136.871 904.102 777.993 300.594 008.78
Other financial income41.9254.746.6822.0524.69
Other financial expenses-4.92-9.39-3.08-10.81-17.13
Pre-tax profit2 173.881 949.452 781.593 311.824 016.35
Income taxes- 481.78- 439.88- 639.34- 730.69- 888.90
Net earnings1 692.091 509.572 142.242 581.133 127.45

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Buildings461.85298.48239.37182.97129.80
Tangible assets total461.85298.48239.37182.97129.80
Investments total150.00150.00
Long term receivables total
Raw materials and consumables10.0010.0010.0010.0010.00
Inventories total10.0010.0010.0010.0010.00
Current trade debtors898.931 099.251 381.101 342.681 357.09
Current amounts owed by group member comp.911.891 435.1022.08
Current other receivables124.7522.08
Current deferred tax assets38.4723.1922.2026.02137.13
Short term receivables total1 974.042 557.551 425.381 390.781 494.22
Other current investments20.6832.4429.3638.0057.00
Cash and bank deposits1 026.992 250.643 110.862 663.64
Cash and cash equivalents1 047.6732.442 280.003 148.862 720.64
Balance sheet total (assets)3 643.573 048.463 954.754 732.614 354.65

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00500.00500.00500.00
Shares repurchased1 700.001 596.692 142.242 581.133 127.45
Retained earnings-1 604.98-1 509.57-2 142.24-2 581.13-3 127.45
Profit of the financial year1 692.091 509.572 142.242 581.133 127.45
Shareholders equity total2 287.122 096.692 642.243 081.133 627.45
Non-current liabilities total
Current loans from credit institutions11.37
Current trade creditors93.9787.39106.65383.20116.41
Current owed to participating0.11
Short-term deferred tax liabilities498.57424.34637.98733.84
Other non-interest bearing current liabilities763.90428.67567.87534.43610.69
Current liabilities total1 356.45951.771 312.501 651.48727.21
Balance sheet total (liabilities)3 643.573 048.463 954.754 732.614 354.65
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