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CASADANIA FINANS A/S — Credit Rating and Financial Key Figures

CVR number: 25692721
Artillerivej 90, 2300 København S

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit13 996.2714 700.0815 150.3413 064.0911 255.27
Employee benefit expenses-2 016.83-2 077.50-1 894.91-2 444.98-2 457.30
Total depreciation- 159.79- 120.32- 144.32- 231.43- 181.43
EBIT11 819.6512 502.2713 111.1110 387.688 616.54
Other financial income168.8815.8224.98205.21224.38
Other financial expenses-5 983.14-6 275.81-5 811.56-6 007.26-5 758.35
Exchange rate differences7 036.6228 796.56-17 082.641 554.02-20 784.80
Net income from associates (fin.)3 087.163 070.44973.971 700.871 945.95
Pre-tax profit16 129.1638 109.28-8 784.157 840.52-15 756.28
Income taxes-2 802.90-7 828.612 273.66-1 341.052 900.50
Net earnings13 326.2630 280.67-6 510.496 499.46-12 855.78

Assets (kDKK)

2021
2022
2023
2024
2025
Intangible assets total
Buildings263 604.25293 048.36277 642.78282 046.26264 825.34
Machinery and equipment513.70370.38756.18827.75646.33
Tangible assets total264 117.95293 418.75278 398.96282 874.02265 471.66
Participating interests17 011.8119 132.2619 256.2219 792.0920 613.03
Investments total17 011.8119 132.2619 256.2219 792.0920 613.03
Non-current other receivables6 400.00
Long term receivables total6 400.00
Inventories total
Current trade debtors10.763.82
Current owed by particip. interest comp.381.03377.51
Prepayments and accrued income611.94551.34571.39530.80483.93
Current other receivables430.03511.37244.75506.81918.62
Current deferred tax assets113.68250.00
Short term receivables total1 052.741 066.53816.141 532.322 030.05
Cash and bank deposits7 735.494 168.174 576.572 824.813 676.56
Cash and cash equivalents7 735.494 168.174 576.572 824.813 676.56
Balance sheet total (assets)296 317.99317 785.71303 047.90307 023.23291 791.31

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital505.00505.00505.00505.00505.00
Retained earnings57 285.6368 667.0699 110.5292 264.4598 477.79
Profit of the financial year13 326.2630 280.67-6 510.496 499.46-12 855.78
Minority interest (BS)2 319.804 189.632 740.373 000.952 610.23
Shareholders equity total73 436.69103 642.3695 845.40102 269.8688 737.23
Provisions30 400.8137 714.8534 539.0235 691.5032 790.98
Non-current loans from credit institutions108 529.26105 778.59101 631.35106 029.50112 568.46
Non-current owed to group member70 523.4455 476.2054 776.2047 225.8542 363.08
Non-current other liabilities5 204.531 636.721 735.711 703.941 721.91
Non-current liabilities total184 257.22162 891.51158 143.26154 959.29156 653.45
Current loans from credit institutions5 455.794 240.004 588.325 414.495 435.97
Advances received425.45270.5249.10
Current trade creditors513.82693.55526.02668.14494.23
Short-term deferred tax liabilities20.03534.59451.97
Other non-interest bearing current liabilities2 233.637 643.398 683.407 442.767 053.16
Accruals and deferred income577.20577.20
Current liabilities total8 223.2713 536.9914 520.2214 102.5913 609.65
Balance sheet total (liabilities)296 317.99317 785.71303 047.90307 023.23291 791.31
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