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GANGSTEDFONDEN — Credit Rating and Financial Key Figures

CVR number: 18334402
Esplanaden 34 A, 1263 København K
gangstedfonden@gangstedfonden.dk
tel: 33337070
www.gangstedfonden.dk
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales7 035.077 533.157 691.527 876.41
Other operating income6 751.26
Purchases during the financial year-2 804.61-4 445.84-3 254.68-2 882.83
External services-1 163.43-1 355.83-1 213.01-1 274.91-1 179.32
Gross profit5 587.832 874.631 874.313 161.923 814.26
Employee benefit expenses- 140.00- 440.00- 475.00- 560.76- 633.02
Other operating expenses-2 367.27
Total depreciation- 463.96- 473.91- 466.82- 466.94- 466.94
EBIT2 616.601 960.72932.492 134.232 714.30
Other financial income11 842.967 785.718 857.4315 485.075 957.14
Other financial expenses- 222.70-18 925.97- 219.80- 488.70- 392.69
Net income from associates (fin.)1 433.60183.40- 314.83- 531.604 983.47
Pre-tax profit15 670.44-8 996.159 255.3016 598.9913 262.22
Net earnings15 670.44-8 996.159 255.3016 598.9913 262.22

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters38 850.2339 061.7638 045.9237 584.8137 958.36
Machinery and equipment4 430.004 430.004 430.005 324.545 383.44
Tangible assets total43 280.2343 491.7642 475.9242 909.3543 341.81
Holdings in group member companies1 533.601 716.991 402.16870.565 854.03
Participating interests5 000.0011 860.07
Investments total1 533.601 716.991 402.165 870.5617 714.10
Non-current loans receivable334.03142.5053.467.037.01
Long term receivables total334.03142.5053.467.037.01
Inventories total
Current amounts owed by group member comp.2 383.542 130.432 172.181 195.631 403.97
Current other receivables1 163.931 365.651 751.721 423.401 554.90
Current deferred tax assets1 096.131 686.84113.17624.161 548.10
Short term receivables total4 643.605 182.924 037.083 243.184 506.97
Other current investments64 874.1550 432.3855 112.9367 134.4856 668.48
Cash and bank deposits508.091 266.075 989.721 110.687 493.21
Cash and cash equivalents65 382.2551 698.4561 102.6668 245.1664 161.69
Balance sheet total (assets)115 173.70102 232.62109 071.28120 275.28129 731.58

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital500.00500.00500.00500.00500.00
Other reserves75 966.2546 949.6354 263.1563 627.6662 498.14
Other restricted equity5 000.008 000.008 000.008 000.00
Retained earnings-1 887.0735 075.9911 753.295 524.2219 136.69
Profit of the financial year15 670.44-8 996.159 255.3016 598.9913 262.22
Shareholders equity total90 249.6278 529.4883 771.7494 250.87103 397.06
Non-current loans from credit institutions16 822.4516 346.5716 486.8016 154.1715 758.52
Non-current liabilities total16 822.4516 346.5716 486.8016 154.1715 758.52
Current loans from credit institutions473.50474.69365.91348.13360.81
Current trade creditors87.63
Other non-interest bearing current liabilities7 628.136 881.888 446.839 522.1110 127.57
Current liabilities total8 101.637 356.588 812.739 870.2410 576.00
Balance sheet total (liabilities)115 173.70102 232.62109 071.28120 275.28129 731.58
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