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PROVSTLUND ApS — Credit Rating and Financial Key Figures

CVR number: 36025433
Havnen 9, 8700 Horsens
kontor@provstlund.dk
tel: 20465468
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit3 945.643 617.704 024.596 855.534 725.71
Employee benefit expenses- 576.54- 584.87- 752.25- 748.77- 751.67
Other operating expenses-44.23
Total depreciation-1 493.59-1 552.56-1 973.42-2 541.76-2 546.33
EBIT1 831.281 480.271 298.923 565.001 427.72
Other financial income1 655.603 676.672 280.512 560.202 065.93
Other financial expenses-2 608.62-2 791.86-5 422.05-7 115.32-4 702.23
Net income from associates (fin.)108.009.00- 442.82106.91192.82
Pre-tax profit986.262 374.08-2 285.43- 883.21-1 015.76
Income taxes- 191.20- 450.34546.49180.00258.29
Net earnings795.061 923.74-1 738.94- 703.21- 757.47

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Land and waters122 035.94121 746.85125 105.76102 792.3490 167.25
Buildings4 082.203 814.006 046.9413 291.3012 042.17
Machinery and equipment484.52423.962 401.103 046.30
Tangible assets total126 602.67125 984.80131 152.70118 484.74105 255.72
Participating interests1 940.791 949.792 325.152 432.062 624.88
Investments total1 940.791 949.792 325.152 432.062 624.88
Non-current loans receivable2 335.002 335.002 335.002 315.003 752.50
Long term receivables total2 335.002 335.002 335.002 315.003 752.50
Inventories total
Current trade debtors0.420.01241.77241.7768.77
Current amounts owed by group member comp.83 145.6799 234.8895 741.0481 937.2189 597.45
Prepayments and accrued income331.77373.50194.60157.305.50
Current other receivables346.44427.471 598.05646.76708.12
Current deferred tax assets1 616.69
Short term receivables total83 824.31100 035.8699 392.1582 983.0490 379.83
Cash and bank deposits0.05108.8513 631.89
Cash and cash equivalents0.05108.8513 631.89
Balance sheet total (assets)214 702.82230 414.31235 205.00219 846.73202 012.93

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital50.0050.0050.0050.0050.00
Asset revaluation reserve460.20460.20
Retained earnings82 975.2285 172.2687 096.0085 357.0684 653.85
Profit of the financial year795.061 923.74-1 738.94- 703.21- 757.47
Shareholders equity total83 820.2887 146.0085 867.2685 164.0483 946.38
Provisions403.00860.002 060.001 880.001 520.00
Non-current loans from credit institutions67 678.4282 043.7084 130.4376 130.8560 419.60
Non-current liabilities total67 678.4282 043.7084 130.4376 130.8560 419.60
Current loans from credit institutions1 827.751 288.875 796.691 725.675 796.78
Advances received176.56
Current trade creditors41.68263.7368.971.23
Current owed to participating26.3627.48
Other non-interest bearing current liabilities60 755.1259 075.7457 086.8954 850.8350 301.47
Current liabilities total62 801.1260 364.6163 147.3156 671.8356 126.96
Balance sheet total (liabilities)214 702.82230 414.31235 205.00219 846.73202 012.93
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