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Ulkind A/S — Credit Rating and Financial Key Figures

CVR number: 41472650
Diagonalvejen 112, Ulkind 7323 Give
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit8 665.5412 947.6819 042.1215 586.4017 081.98
Employee benefit expenses-3 342.89-3 626.74-3 988.94-4 311.45-6 514.44
Total depreciation-3 024.07-3 085.37-3 617.31-3 712.23-4 087.86
Reduction in value of non-current assets340.10139.00- 103.00-54.40
EBIT2 298.586 235.5711 435.877 562.736 479.68
Other financial income0.232 311.33105.19167.2644.05
Other financial expenses-1 284.81-1 883.30-3 132.20-3 100.37-2 702.07
Pre-tax profit1 013.996 663.608 408.864 629.623 821.66
Income taxes- 360.06-1 225.12-1 681.40-1 119.20- 730.08
Net earnings653.935 438.496 727.463 510.423 091.58

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible rights111.451 500.603 110.605 394.165 465.43
Intangible assets total111.451 500.603 110.605 394.165 465.43
Land and waters56 059.3955 179.7954 526.3258 293.8058 403.60
Buildings15 609.7626 174.8423 547.7322 681.3622 667.55
Other tangible assets2 199.602 796.102 921.002 900.002 691.10
Tangible assets total73 868.7584 150.7380 995.0583 875.1683 762.25
Investments total-5 530.01
Non-current loans receivable1 933.63804.23841.07778.73710.74
Long term receivables total1 933.63804.23841.07778.73710.74
Semifinished products427.96536.68536.68536.68536.68
Raw materials and consumables2 781.491 772.781 745.601 425.123 269.78
Other stocks6 634.157 463.337 397.976 200.15
Finished products/goods6 920.465 535.566 725.892 288.065 628.94
Inventories total10 129.9214 479.1716 471.5011 647.8315 635.54
Current trade debtors1 129.362 874.395 535.285 640.075 085.85
Prepayments and accrued income117.47137.20137.1556.67249.76
Current other receivables220.73665.781 053.59800.00
Current deferred tax assets2.721 478.73
Short term receivables total1 246.833 232.326 340.926 750.337 614.35
Cash and bank deposits2 854.651 638.60
Cash and cash equivalents2 854.651 638.60
Non-current assets for sale5 530.01
Balance sheet total (assets)90 145.22104 167.06107 759.14110 084.81113 188.31

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital1 000.001 000.001 000.001 000.001 000.00
Shares repurchased1 500.002 400.002 400.003 300.002 400.00
Retained earnings10 081.248 335.1711 373.6614 801.1215 911.54
Profit of the financial year653.935 438.496 727.463 510.423 091.58
Shareholders equity total13 235.1817 173.6721 501.1222 611.5422 403.12
Provisions1 006.002 231.113 912.523 716.583 925.39
Capital loans8 250.008 250.008 250.008 250.008 250.00
Non-current loans from credit institutions52 222.4354 975.6054 257.3357 675.1555 310.65
Non-current leasing loans5 738.499 010.338 055.736 772.315 892.72
Non-current other liabilities2 274.421 617.87
Non-current deferred tax liabilities853.13720.00586.88
Non-current liabilities total68 485.3473 853.8071 416.1973 417.4670 040.24
Current loans from credit institutions2 444.754 872.263 398.402 339.554 710.69
Current trade creditors1 715.213 012.652 299.272 329.183 262.84
Current owed to participating722.271 481.852 144.163 088.254 803.06
Short-term deferred tax liabilities308.53
Other non-interest bearing current liabilities2 536.47-9 105.043 087.482 273.734 042.95
Current liabilities total7 418.70261.7210 929.3110 339.2316 819.55
Balance sheet total (liabilities)90 145.2293 520.30107 759.14110 084.81113 188.31
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