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AXDAL HOLDING ApS — Credit Rating and Financial Key Figures

CVR number: 26099048
Bryrupvej 6, 2770 Kastrup
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit540.65785.9112 445.93- 127.63- 124.02
Total depreciation- 169.07- 253.97-0.40
EBIT371.57531.9312 445.53- 127.63- 124.02
Other financial income1 633.48770.402 613.692 294.352 987.25
Other financial expenses-23.66-1 025.04- 202.45-0.48
Pre-tax profit1 981.39277.3014 856.772 166.252 863.23
Income taxes- 106.24- 165.63-3 193.56- 581.08- 637.64
Net earnings1 875.15111.6711 663.211 585.172 225.59

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters5 946.985 826.28
Machinery and equipment614.00250.00100.00100.00100.00
Tangible assets total6 560.986 076.28100.00100.00100.00
Holdings in group member companies2 605.001 605.00
Investments total2 605.001 605.00
Non-current other receivables19.5019.5019.50
Long term receivables total19.5019.5019.50
Inventories total
Current amounts owed by group member comp.643.22
Prepayments and accrued income18.38
Current other receivables21.5613.33
Short term receivables total21.56661.6013.33
Other current investments1 054.281 281.5617 594.2019 143.4521 484.87
Cash and bank deposits73.08103.49280.67113.5527.55
Cash and cash equivalents1 127.351 385.0517 874.8819 257.0121 512.42
Balance sheet total (assets)10 314.899 727.9318 007.7119 376.5121 631.92

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital125.00125.00125.00125.00125.00
Shares repurchased114.401 122.00135.00
Other reserves-1 000.00- 135.00
Retained earnings4 811.236 686.385 676.0617 339.2618 789.43
Profit of the financial year1 875.15111.6711 663.211 585.172 225.59
Shareholders equity total6 925.786 923.0517 586.2619 049.4321 140.02
Provisions169.01212.1314.5714.5714.57
Non-current loans from credit institutions2 315.992 152.90
Non-current liabilities total2 315.992 152.90
Current loans from credit institutions164.00164.003.56
Current trade creditors5.005.0015.0015.0015.00
Current owed to participating30.7929.2329.23
Current owed to group member667.5645.98
Short-term deferred tax liabilities54.17359.09297.50462.32
Other non-interest bearing current liabilities36.76141.47
Current liabilities total904.11439.85406.87312.50477.32
Balance sheet total (liabilities)10 314.899 727.9318 007.7119 376.5121 631.92
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