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VK Ejendomskreditselskab A/S — Credit Rating and Financial Key Figures

CVR number: 40949585
Kalvebod Brygge 39, 1560 København V
info@vkkredit.dk
tel: 60136742
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
External services-1 668.25- 450.31-1 210.63-1 319.13
Gross profit-1 668.25- 450.31-1 210.63- 501.19-2 403.03
Employee benefit expenses- 535.48- 495.48- 523.78- 578.76-1 842.97
Total depreciation- 425.18- 603.63- 603.63- 293.04- 457.23
Reduction in value of non-current assets6 885.75-58.00
EBIT-2 628.90-8 435.16-2 338.05-1 430.99-4 703.23
Other financial income8 418.092 109.421 070.4040.0062.18
Other financial expenses-2 065.32-7 739.91-3 276.48-1 549.02- 473.75
Reduction non-current investment assets-1 100.00-2 382.30-1 191.77
Income from other inv. held as non-curr. assets530.55
Net income from associates (fin.)530.55
Pre-tax profit3 723.87-15 165.65-4 544.13-3 716.49-6 356.54
Income taxes- 797.111 885.27- 456.141 856.60
Net earnings2 926.76-13 280.37-4 544.13-4 172.64-4 499.94

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible rights2 487.601 901.521 315.44729.36436.32
Intangible assets total2 487.601 901.521 315.44729.36436.32
Machinery and equipment40.9523.405.84279.47
Tangible assets total40.9523.405.84279.47
Holdings in group member companies570.55
Other non-current investments- 293.04- 436.32
Investments total299.98- 234.88
Long term receivables total
Inventories total
Current trade debtors34 455.7614 697.158 401.204 605.504 740.48
Current amounts owed by group member comp.2 484.381 757.253 074.85787.43
Prepayments and accrued income120.51
Current other receivables168.873 163.822 450.664 109.051 123.28
Current deferred tax assets1 884.741 884.741 793.033 649.63
Short term receivables total37 109.0121 502.9615 811.4511 295.019 633.91
Cash and bank deposits938.65746.43263.87220.844 353.06
Cash and cash equivalents938.65746.43263.87220.844 353.06
Balance sheet total (assets)40 576.2224 174.3117 396.6012 545.2014 467.88

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital3 053.733 053.7310 000.0010 000.0014 000.00
Asset revaluation reserve7 645.03
Other reserves530.55
Retained earnings52.4912 780.572 553.93-2 312.41-5 954.50
Profit of the financial year2 926.76-13 280.37-4 544.13-4 172.64-4 499.94
Shareholders equity total13 678.012 553.938 009.804 045.503 545.56
Provisions2 156.82
Non-current liabilities total
Current loans from credit institutions18 748.1518 405.538 433.836 902.64
Advances received832.06
Current trade creditors2 972.151 090.35855.75926.641 006.41
Current owed to group member2 114.512 114.51610.583 865.85
Short-term deferred tax liabilities796.58
Other non-interest bearing current liabilities110.0010.0097.2159.845 218.00
Current liabilities total24 741.3921 620.399 386.808 499.7010 922.31
Balance sheet total (liabilities)40 576.2224 174.3117 396.6012 545.2014 467.88
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