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BENDIX TRANSPORT DANMARK A/S — Credit Rating and Financial Key Figures

CVR number: 18236133
Jernholmen 39, 2650 Hvidovre
tel: 36771502
Free credit report Annual report

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit24 343.7628 583.4727 002.7023 150.3522 878.12
Employee benefit expenses-19 831.40-20 413.10-21 135.05-19 535.34-21 536.35
Total depreciation-1 444.17-1 603.04-1 835.18-1 699.45-1 558.01
EBIT3 068.206 567.344 032.471 915.56- 216.25
Other financial income42.8319.5984.5449.3327.91
Other financial expenses- 277.12- 254.25- 272.68- 312.23- 662.12
Pre-tax profit2 833.906 332.683 844.341 652.66- 850.46
Income taxes- 573.75-1 311.79- 803.43- 288.23248.50
Net earnings2 260.155 020.883 040.901 364.43- 601.95

Assets (kDKK)

2021
2022
2023
2024
2025
Goodwill100.00
Intangible assets total100.00
Land and waters23 312.6922 801.7223 541.5023 098.8922 623.41
Buildings13 523.0213 654.9313 424.7814 234.3114 723.81
Machinery and equipment2 602.512 372.162 397.231 941.401 479.65
Tangible assets total39 438.2238 828.8039 363.5139 274.6038 826.87
Investments total
Long term receivables total
Finished products/goods488.35596.19587.86355.47322.85
Inventories total488.35596.19587.86355.47322.85
Current trade debtors20 178.2416 790.1714 427.4612 936.0711 138.83
Prepayments and accrued income380.43319.46616.57207.57270.50
Current other receivables42.1925.0025.0089.6128.55
Current deferred tax assets314.35364.41479.43
Short term receivables total20 600.8617 134.6215 383.3813 597.6611 917.31
Other current investments615.62579.29543.53508.16472.82
Cash and bank deposits1 367.494 984.242 026.81652.17
Cash and cash equivalents1 983.115 563.532 570.35508.161 125.00
Balance sheet total (assets)62 510.5462 123.1557 905.1053 735.8952 292.03

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital1 700.001 700.001 700.001 700.001 700.00
Shares repurchased2 200.003 300.002 860.001 173.33
Retained earnings15 450.9614 411.1116 571.9918 439.5719 804.00
Profit of the financial year2 260.155 020.883 040.901 364.43- 601.95
Shareholders equity total21 611.1124 431.9924 172.9022 677.3320 902.05
Provisions3 892.954 181.154 528.934 536.574 288.06
Non-current loans from credit institutions16 375.0615 443.3414 510.3713 664.4315 676.37
Non-current deferred tax liabilities1 751.781 666.971 709.761 758.531 780.09
Non-current liabilities total18 126.8317 110.3016 220.1315 422.9617 456.46
Current loans from credit institutions930.48931.72932.971 121.54956.30
Current trade creditors14 790.8711 006.898 818.488 026.226 915.46
Short-term deferred tax liabilities24.75223.60
Other non-interest bearing current liabilities3 133.544 237.503 231.691 951.281 773.69
Current liabilities total18 879.6416 399.7012 983.1411 099.039 645.46
Balance sheet total (liabilities)62 510.5462 123.1557 905.1053 735.8952 292.03
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